RAND WATER ANNUAL REPORT 2023

Consolidated Annual Financial Statements for the year ended 30 June 2023

2021

Total acquisitions 1 534 482 1 805 426 2 996 854 1 534 482 1 805 426 2 996 854 Acquisitions not paid (289 822) (240 247) (517 211) (289 822) (240 247) (517 211)

Restated *

Figures in Rand thousand Group Rand Water 2023 2022 Restated * 2021 Restated * 2023 2022 Restated *

Borrowing costs capitalised Borrowing costs capitalised to qualifying assets 403 921 415 533 393 457 403 921 415 533 393 457 Capitalisation rate used to determine the amount of borrowing costs eligible for capitalisation 9,83% 9,44% 9,92% 9,83% 9,44% 9,92% Reconciliation to Statement of Cash Flows

Acquisition of property, plant and equipment 1 244 660 1 565 179 2 479 643 1 244 660 1 565 179 2 479 643

Notes to the Consolidated Annual Financial Statements 4. Property, plant and equipment (Continued)

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