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Cash generated from/(used in) operations (Details) - GBP (£)
£ in Thousands
3 Months Ended 6 Months Ended
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2020
Dec. 31, 2019
Cash generated from/(used in) operations        
Profit before income tax £ 68,171 £ 51,745 £ 41,096 £ 54,274
Depreciation 3,663 3,626 7,449 7,268
Amortization 32,459 31,257 64,002 63,444
(Profit)/loss on disposal of intangible assets (14,278) 715 (1,683) (11,302)
Net finance income (19,702) (15,258) (19,723) (6,820)
Non-cash employee benefit expense - equity-settled share-based payments 488 227 1,753 365
Foreign exchange losses/(gains) on operating activities 50 87 1,174 (286)
Reclassified from hedging reserve 114 2,957 (412) 5,811
Changes in working capital:        
Inventories 750 129 (606) (405)
Prepayments 3,519 2,171 (9,908) (181)
Contract assets - accrued revenue (38,920) (38,165) (19,829) (38,566)
Trade receivables 9,950 6,160 63,256 8,504
Other receivables 67 14,655 (132) 574
Contract liabilities - deferred revenue (41,234) (66,449) (39,114) (56,318)
Trade and other payables (2,997) (7,690) (12,813) (44,801)
Cash generated from/(used in) operations £ 2,100 £ (13,833) £ 74,510 £ (18,439)