XML 378 R15.htm IDEA: XBRL DOCUMENT v3.21.2
Net finance income/(costs)
12 Months Ended
Jun. 30, 2021
Net finance income/(costs)  
Net finance income/(costs)

9

Net finance income/(costs)

    

2021

    

2020

    

2019

    

£’000

    

£’000

    

£’000

Interest payable on bank loans and overdrafts

 

(1,952)

 

(1,038)

 

(1,162)

Interest payable on secured term loan facility, senior secured notes and revolving facilities

 

(17,262)

 

(19,485)

 

(18,351)

Interest payable on lease liabilities (note 14)

(109)

(131)

Amortization of issue costs on secured term loan facility and senior secured notes

 

(626)

 

(579)

 

(647)

Foreign exchange losses on retranslation of unhedged US dollar borrowings

 

 

(4,436)

 

(2,650)

Unwinding of discount relating to registrations

 

(892)

 

(1,508)

 

(2,280)

Reclassified from hedging reserve (1)

(14,631)

Hedge ineffectiveness on cash flow hedges

(119)

Fair value movements on derivative financial instruments:

 

 

 

Embedded foreign exchange derivatives

 

 

(95)

 

(380)

Foreign currency options

(939)

Total finance costs

 

(36,411)

 

(27,391)

 

(25,470)

Interest receivable on short-term bank deposits

3

1,352

2,822

Foreign exchange gains on retranslation of unhedged US dollar borrowings (2)

48,015

Hedge ineffectiveness on cash flow hedges

 

1,234

 

 

139

Fair value movement on derivative financial instruments:

Embedded foreign exchange derivatives

58

Total finance income

49,310

1,352

2,961

Net finance income/(costs)

 

12,899

 

(26,039)

 

(22,509)

(1)Foreign exchange losses immediately reclassified from the hedging reserve for hedged future revenues no longer meeting the hedge accounting criteria due to a change in denomination of the contract currency.
(2)Unrealized foreign exchange gains on unhedged USD borrowings due to a favorable swing in foreign exchange rates.