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Notes to statement of cash flows (Tables)
12 Months Ended
Jun. 30, 2024
Notes and other explanatory information [abstract]  
Schedule of Statement of Cash Flows

 

             
  

2024

$

   2023
$
  

2022

$

 
             
Loss after income tax   (14,408,346)   (20,597,436)   (11,197,450)
Non-cash flows in operating loss:
               
Accrued interest on convertible notes   3,207,497    4,420,225    2,162,646 
Share-based payments   4,521,598    2,365,384    1,546,983 
Convertible notes issued in lieu of payment for services   -    624,426    - 
Depreciation and amortisation expense   520,697    360,021    260,651 
                
Fair value movement of derivatives   (3,400,685)   6,870,729    (2,751,564)
                
Changes in assets and liabilities:
               
Decrease in trade and other receivables   372,390    506,737    130,933 
(Increase)/Decrease in other assets   (189,621)   33,091    1,015,343 
Increase/(decrease) in trade and other payables   100,719    (153,292)   993,662 
Decrease in net deferred revenue   (174,290)   (121,453)   (339,222)
(Decrease)/increase in provision for refund   (70,000)   (25,000)   20,000 
Increase in employee entitlement   133,845    160,700    102,833 
                
Net cash used in operating activities   (9,386,196)   (5,555,868)   (8,055,185)