This note provides information about the contractual terms of the Company’s interest-bearing borrowings and other debt. For more information about the Company’s exposure to interest rate risk and liquidity risk, see note 22.
Notes  | 
31-Dec-24  | 
31-Dec-23  | 
|
Facilities from Government  | 
(998,559)  | 
(814,499)  | 
|
Lease liabilities  | 
(14,794)  | 
(15,574)  | 
|
Total  | 
(1,013,353)  | 
(830,073)  | 
|
Analysed as follows:  | 
|||
Non-current  | 
(1,007,685)  | 
(826,539)  | 
|
Current  | 
(5,668)  | 
(3,534)  | 
|
Total  | 
(1,013,353)  | 
(830,073)  | 
|
Repayable other than by instalment:  | 
|||
Less than one year  | 
(5,668)  | 
(3,534)  | 
|
Between one and five years  | 
(4,924)  | 
(5,723)  | 
|
More than five years  | 
(1,002,761)  | 
(820,816)  | 
|
Total  | 
(1,013,353)  | 
(830,073)  | 
Net debt
Notes  | 
31-Dec-24  | 
31-Dec-23  | 
|
Total borrowings and other debt  | 
(1,013,353)  | 
(830,073)  | 
|
Less cash and cash equivalents - available for company use  | 
345,428  | 
289,352  | 
|
Less cash and cash equivalents - third party balances  | 
71,408  | 
6,322  | 
|
Net debt  | 
(596,517)  | 
(534,399)  | 
Changes in liabilities arising from financing activities
Notes  | 
Facilities from   | 
Lease   | 
Total   | 
|
At 1 January 2023  | 
(613,499)  | 
(31,006)  | 
(644,505)  | 
|
Proceeds  | 
(231,000)  | 
-  | 
(231,000)  | 
|
Repayment  | 
30,000  | 
-  | 
30,000  | 
|
Repayment of lease liabilities  | 
-  | 
5,247  | 
5,247  | 
|
Non-cash  | 
-  | 
10,185  | 
10,185  | 
|
At 31 December 2023  | 
(814,499)  | 
(15,574)  | 
(830,073)  | 
|
Proceeds  | 
(644,060)  | 
-  | 
(644,060)  | 
|
Repayment  | 
460,000  | 
-  | 
460,000  | 
|
Repayment of lease liabilities  | 
-  | 
4,103  | 
4,103  | 
|
Non-cash  | 
-  | 
(3,323)  | 
(3,323)  | 
|
At 31 December 2024  | 
(998,559)  | 
(14,794)  | 
(1,013,353)  | 
