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Dispositions And Discontinued Operations (Impact Of Deconsolidation And Calculation Of Net Loss Recognized On Deconsolidation) (Details)
$ in Thousands, ₩ in Millions, R in Millions
1 Months Ended 12 Months Ended
Mar. 01, 2022
KRW (₩)
Mar. 01, 2022
USD ($)
May 31, 2020
USD ($)
Sep. 30, 2020
KRW (₩)
Sep. 30, 2020
USD ($)
Dec. 31, 2019
USD ($)
Jun. 30, 2022
USD ($)
Jun. 30, 2021
USD ($)
Jun. 30, 2020
USD ($)
Mar. 01, 2020
USD ($)
Dec. 31, 2019
ZAR (R)
Less: carrying value, comprising             $ 0 $ 0      
Settlement assets             15,916 466      
Settlement liabilities             (15,276) (466)      
Gain (loss) recognized on disposal, after tax             0 0 $ 6,402    
Net1 Korea [Member] | Discontinued [Member]                      
Proceeds from disposal, net of cash disposed                   $ 192,619  
Add: Cash and cash equivalents disposed                   23,473  
Add: Cash withheld by purchaser to settle South Korean taxes                   21,128  
Fair value of consideration received                   237,220  
Less: carrying value, comprising                   200,843  
Cash and cash equivalents                   23,473  
Accounts receivable, net                   30,467  
Finance loans receivable, net                   13,695  
Inventory                   2,377  
Property, plant and equipment, net                   7,601  
Operating lease right of use asset                   181  
Goodwill (Note 10)                   107,964  
Intangible assets, net                   4,655  
Deferred income taxes assets (Note 18)                   1,719  
Other long-term assets                   10,984  
Accounts payable                   (5,484)  
Other payables                   (5,523)  
Operating lease lease liability - current                   (69)  
Income taxes payable                   (3,481)  
Deferred income taxes liabilities                   (1,497)  
Operating lease liability - long-term                   (112)  
Long-term debt                   (335)  
Released from accumulated other comprehensive income - foreign currency translation reserve (Note 15)   $ 14,228                  
Settlement assets                   44,111  
Settlement liabilities                   $ (44,111)  
Taxes related to gain recognized on disposal   15,279                  
Gain recognized on disposal, before transaction costs and tax   36,377                  
Transaction costs   8,644                  
Gain recognized on disposal, before tax   27,733                  
Gain (loss) recognized on disposal, after tax   12,454             6,402    
Transaction costs incurred directly related to the disposal   7,500                  
Transaction costs related to non-refundable securities transfer tax ₩ 1,400.0 1,200                  
Capital gains taxes withheld from purchase price by purchaser 23,800.0 $ 19,900   ₩ 23,800.0 $ 20,100            
Total tax withholding from purchase price by purchaser | ₩ ₩ 21.1                    
FIHRST [Member]                      
Fair value of consideration received           $ 10,900         R 159.7
Released from accumulated other comprehensive income - foreign currency translation reserve (Note 15)             0 0 (1,578)    
FIHRST [Member] | Discontinued [Member]                      
Proceeds from disposal, net of cash disposed           10,895          
Add: Cash and cash equivalents disposed           854          
Fair value of consideration received           11,749          
Less: carrying value, comprising           1,870          
Cash and cash equivalents           854          
Accounts receivable, net           367          
Property, plant and equipment, net           64          
Goodwill (Note 10)           599          
Intangible assets, net           30          
Deferred income taxes assets (Note 18)           42          
Accounts payable           (7)          
Other payables           (1,437)          
Income taxes payable           (220)          
Released from accumulated other comprehensive income - foreign currency translation reserve (Note 15)           1,578          
Settlement assets           17,406          
Settlement liabilities           (17,406)          
Taxes related to gain recognized on disposal           0          
Capital gains tax           2,654          
Release of valuation allowance related to capital gains tax previously unutilized           (2,654)          
Transaction costs           136          
Gain recognized on disposal, before tax           9,879          
Gain (loss) recognized on disposal, after tax           $ 9,743          
DNI [Member]                      
Released from accumulated other comprehensive income - foreign currency translation reserve (Note 15)             $ 0 $ 0 (11,323)    
CPS [Member]                      
Released from accumulated other comprehensive income - foreign currency translation reserve (Note 15)                 $ (32,451)    
CPS [Member] | Discontinued [Member]                      
Fair value of consideration received     $ 0                
Less: carrying value, comprising     (68)                
Cash and cash equivalents     328                
Accounts receivable, net     303                
Inventory     12                
Property, plant and equipment, net     236                
Deferred income taxes assets (Note 18)     0                
Accounts payable     (238)                
Other payables     (33,160)                
Released from accumulated other comprehensive income - foreign currency translation reserve (Note 15)     32,451                
Intercompany accounts written off/ provided for     7,216                
Taxes related to gain recognized on disposal     0                
Gain recognized on disposal, before tax     68                
Gain (loss) recognized on disposal, after tax     7,148                
Capital gain (loss) as a result of disposal of business     5,399                
Valuation allowance against capital loss resulted from disposal of DNI     $ (5,399)