CONDENSED CONSOLIDATED STATEMENT OF CASH FLOWS |
|
Audited
year ended
30 June 2014
R’000 |
|
Audited
year ended
30 June 2013
R’000 |
|
Cash generated from operations |
321 044 |
|
340 413 |
|
Net finance income |
17 699 |
|
8 168 |
|
Distribution to shareholders |
(70 178) |
|
(33 196) |
|
Tax and other payments |
(126 624) |
|
(88 305) |
|
Net cash inflow in operating activities |
141 941 |
|
227 080 |
|
Net cash outflow from investing activities |
(62 940) |
|
(114 459) |
|
Net cash inflow from financing activities |
(49 846) |
|
3 780 |
|
Effect of foreign exchange benefit |
83 |
|
1 900 |
|
Net increase in cash and cash equivalents |
29 238 |
|
118 301 |
|
Cash and cash equivalents at beginning of the period |
360 211 |
|
241 910 |
|
Cash and cash equivalents at end of the period |
389 449 |
|
360 211 |
|
|