Skip to article navigation Skip to content

A page refresh occures when a subject is selected.

Skip article navigation.

Consolidated statement of cash flow for the year ended May 31, 2023

(Prepared using the indirect method)

in € thousands

Note

2022/2023

 

2021/2022

Cash flow generated from operating activities

2.7

48,309

 

70,454

     

Interest received

 

69

 

23

Interest paid

 

(7,318)

 

(8,017)

Interest paid on lease liabilities

5.3

(2,363)

 

(2,214)

Corporate income tax paid

 

(6,378)

 

(13,660)

  

(15,990)

 

(23,868)

Net cash from operating activities

 

32,319

 

46,586

     

Net cash from investing activities

    

Investments in intangible fixed assets

4.2

(19)

 

0

Purchase of property, plant and equipment

4.3

(14,593)

 

(8,943)

Proceeds on disposals of property, plant and equipment

4.3

335

 

563

Acquisition of subsidiary, net of cash acquired

4.1

(2,097)

 

(4,228)

Investments in other financial assets

8.1

(1,125)

 

(1,243)

Repayment of other financial assets

8.1

2

 

502

Cash flow from/(used in) investment activities

 

(17,497)

 

(13,349)

     

Net cash from financing activities

    

Stichting Financiering Deloitte/Members:

    

- Receipts subordinated loans

5.2

13,300

 

12,350

- Repayment of subordinated loans

5.2

(5,887)

 

(10,834)

Net cash inflow from members

 

7,413

 

1,516

     

Receipts from non-current liabilities

5.1

700

 

650

Payments to non-current liabilities

5.1

(325)

 

(600)

Repayment of lease liabilities

4.4

(38,774)

 

(33,603)

Repayment of other (interest-bearing) loans

5.2

0

 

(21,532)

     

Net cash from / (used in) financing activities

 

(30,986)

 

(53,569)

     

Net cash flow

 

(16,164)

 

(20,332)

     

Cash and cash equivalents at start of financial year

 

23,810

 

44,350

Movements in cash and cash equivalents

 

(16,164)

 

(20,332)

Effect of foreign exchange rate changes

 

(10)

 

(208)

Cash and cash equivalents at end of financial year

5.2

7,636

 

23,810