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Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
12 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Cash Flow from Operating Activities    
Net income $ 0 $ 1,142
Adjustments to reconcile net income to net cash flow provided by operating activities    
Unrealized foreign exchange loss 450 159
Depreciation and amortization 2,741 4,234
(Gain) / Loss on sale and write-off of property, plant and equipment (102) 46
Stock compensation 448 465
Addition of provision for obsolete inventory, net 150 44
Payment of interest portion of finance lease (3) (6)
Bad debt recovery, net of allowance charged 1 (5)
Accrued interest income, net accrued interest expense (30) (72)
Addition of income tax provision (12) (7)
Assurance warranty utilisation, net 4 0
Deferred tax expenses / (benefit) 48 (22)
Repayment of operating lease (1,450) (1,415)
Changes in operating assets and liabilities, net of acquisition effects    
Trade accounts receivable (142) (838)
Other receivables (67) 398
Other assets (11) (51)
Inventories 898 (1,046)
Prepaid expenses and other current assets 150 159
Accounts payable and accrued expenses (1,881) 798
Contract liabilities (505) (523)
Income taxes payable (320) (176)
Other non-current liabilities 4 (567)
Net Cash Provided by Operating Activities 371 2,717
Cash Flow from Investing Activities    
Withdrawal from unrestricted term deposits 5,799 4,796
Investment in unrestricted term deposits (4,838) (4,627)
Proceeds from disposal of assets for sale 0 200
Proceeds from disposal of property, plant and equipment 173 60
Additions to property, plant and equipment (967) (542)
Net Cash Provided by / (Used in) Investing Activities 167 (113)
Cash Flow from Financing Activities    
Payment on lines of credit (98) (961)
Payment of bank loans (279) (475)
Payment of principal portion of finance leases (59) (112)
Proceeds from exercising stock options 165 506
Proceeds from lines of credit 231 952
Net Cash Used in Financing Activities (40) (90)
Effect of Changes in Exchange Rate 587 4
Net Increase in Cash, Cash Equivalents, and Restricted Cash 1,085 2,518
Cash, Cash Equivalents, and Restricted Cash at Beginning of Period 12,556 10,038
Cash, Cash Equivalents, and Restricted Cash at End of Period 13,641 12,556
Supplementary Information of Cash Flows    
Interest 46 75
Income taxes 438 425
Cash 10,890 10,035
Restricted Term-Deposits in Current Assets 816 750
Restricted Term-Deposits in Non-Current Assets 1,935 1,771
Total Cash, Cash Equivalents, and Restricted Cash Shown in Statements of Cash Flows $ 13,641 $ 12,556