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Condensed Consolidated Balance Sheets (USD $)
In Thousands, unless otherwise specified
Sep. 30, 2013
Jun. 30, 2013
CURRENT ASSETS    
Cash and cash equivalents $ 47,670 $ 53,665 [1]
Pre-funded social welfare grants receivable (Note 2) 4,263 2,934 [1]
Accounts receivable, net of allowances of - September: $935; June: $4,701 118,025 102,614 [1]
Finance loans receivable, net of allowances of - September $701; June: $ - 17,338 8,350 [1]
Inventory (Note 3) 11,063 12,222 [1]
Deferred income taxes 5,125 4,938 [1]
Total current assets before settlement assets 203,484 184,723 [1]
Settlement assets (Note 4) 685,305 752,476 [1]
Total current assets 888,789 937,199 [1]
PROPERTY, PLANT AND EQUIPMENT, NET OF ACCUMULATED DEPRECIATION OF - September: $92,099; June: $84,808 48,716 48,301 [1]
EQUITY-ACCOUNTED INVESTMENTS 1,270 1,183 [1]
GOODWILL (Note 6) 180,950 175,806 [1]
INTANGIBLE ASSETS, net (Note 6) 76,915 77,257 [1]
OTHER LONG-TERM ASSETS, including reinsurance assets (Note 7) 36,150 36,576 [1]
TOTAL ASSETS 1,232,790 1,276,322 [1]
CURRENT LIABILITIES    
Accounts payable 14,036 26,567 [1]
Other payables 38,802 33,808 [1]
Current portion of long-term borrowings (Note 9) 15,007 14,209 [1]
Income taxes payable 9,261 2,275 [1]
Total current liabilities before settlement obligations 77,106 76,859 [1]
Settlement obligations (Note 4) 685,305 752,476 [1]
Total current liabilities 762,411 829,335 [1]
DEFERRED INCOME TAXES 18,703 18,727 [1]
LONG-TERM BORROWINGS (Note 9) 70,374 66,632 [1]
OTHER LONG-TERM LIABILITIES, including insurance policy liabilities (Note 7) 21,499 21,659 [1]
TOTAL LIABILITIES 872,987 936,353 [1]
COMMITMENTS AND CONTINGENCIES (Note 16)       [1]
EQUITY    
COMMON STOCK (Note 10) Authorized: 200,000,000 with $0.001 par value; Issued and outstanding shares, net of treasury - September: 45,780,513; June: 45,592,550 59 59 [1]
PREFERRED STOCK Authorized shares: 50,000,000 with $0.001 par value; Issued and outstanding shares, net of treasury: September: -; June: -       [1]
ADDITIONAL PAID-IN-CAPITAL 161,605 160,670 [1]
TREASURY SHARES, AT COST: September: 13,455,090; June: 13,455,090 (175,823) (175,823) [1]
ACCUMULATED OTHER COMPREHENSIVE LOSS (93,544) (100,858) [1]
RETAINED EARNINGS 464,214 452,618 [1]
TOTAL NET1 EQUITY 356,511 336,666 [1]
NON-CONTROLLING INTEREST 3,292 3,303 [1]
TOTAL EQUITY 359,803 339,969 [1]
TOTAL LIABILITIES AND SHAREHOLDERS' EQUITY $ 1,232,790 $ 1,276,322 [1]
[1] Derived from audited financial statements