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Restatement of prior periods following implementation of IFRS 15 - Consolidated statement of cash flows (Details) - GBP (£)
£ in Thousands
12 Months Ended
Jun. 30, 2019
Jun. 30, 2018
Jun. 30, 2017
Statement of cash flows      
Profit before tax £ 27,476 £ 25,833 [1] £ 56,588 [1]
Depreciation 11,726 10,755 10,228
Impairment reversal 1,124   (4,753)
Amortization 129,154 138,380 124,434
Profit on disposal of intangible assets (25,799) (18,119) (10,926)
Net finance costs 22,509 18,038 24,277
(Profit)/loss on disposal of property, plant and equipment   (81) 43
Equity-settled share-based payments 699 2,915 2,187
Foreign exchange (gains)/losses on operating activities (76) 994 2,646
Reclassified from hedging reserve 6,250 13,914 5,290
Changes in working capital:      
Inventories (714) 221 (711)
Prepayments (2,168) 2,638 895
Contract assets - accrued revenue (1,514) (9,263) 12,198
Trade receivables 82,086 (64,492) 5,089
Other receivables (1,081) 163 (657)
Contract liabilities - deferred revenue 5,903 (25,496) 18,576
Trade and other payables 8,034 23,204 6,355
Cash generated from operations £ 263,609 119,604 251,759
As previously reported      
Statement of cash flows      
Profit before tax   26,097 56,538
Depreciation   10,755 10,228
Impairment reversal     (4,753)
Amortization   138,380 124,434
Profit on disposal of intangible assets   (18,119) (10,926)
Net finance costs   18,038 24,277
(Profit)/loss on disposal of property, plant and equipment   (81) 43
Equity-settled share-based payments   2,915 2,187
Foreign exchange (gains)/losses on operating activities   994 2,646
Reclassified from hedging reserve   14,395 4,765
Changes in working capital:      
Inventories   221 (711)
Prepayments   2,638 895
Contract assets - accrued revenue   (9,263) 12,198
Trade receivables   (64,492) 5,089
Other receivables   163 (657)
Contract liabilities - deferred revenue   (26,241) 19,151
Trade and other payables   23,204 6,355
Cash generated from operations   119,604 251,759
Adjustment      
Statement of cash flows      
Profit before tax   (264) 50
Reclassified from hedging reserve   (481) 525
Changes in working capital:      
Contract liabilities - deferred revenue   £ 745 £ (575)
[1] Comparative amounts have been restated—see note 33 for further details.