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Cash (used in)/generated from operations (Details) - GBP (£)
£ in Thousands
3 Months Ended 6 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2022
Dec. 31, 2021
Cash (used in)/generated from operations        
Profit/(loss) before income tax £ 9,255 £ (2,067) £ (25,115) £ (21,887)
Depreciation 3,609 3,579 7,087 7,270
Amortization 44,971 38,653 85,110 73,787
Loss/(profit) on disposal of intangible assets 2,588 318 (14,020) (17,158)
Net finance (income)/costs (12,115) 7,472 18,873 17,126
Non-cash employee benefit expense - equity-settled share-based payments 626 433 1,155 968
Foreign exchange losses/(gains) on operating activities 5,140 (398) 3,967 (302)
Reclassified from hedging reserve (367) 90 (530) 30
Changes in working capital:        
Inventories 480 (105) (1,072) (796)
Prepayments 4,638 4,776 (10,928) (13,751)
Contract assets - accrued revenue (7,366) (34,471) (17,266) (29,284)
Trade receivables (64,070) (5,832) (48,087) (5,541)
Other receivables (497) 151 (857) (650)
Contract liabilities - deferred revenue (23,898) (25,963) (14,716) 39,615
Trade and other payables (19,821) (12,532) (36,974) (3,864)
Provisions 194 329 359 557
Cash (used in)/generated from operations £ (56,633) £ (25,567) £ (53,014) £ 46,120