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Cash flows from changes in working capital (Tables)
12 Months Ended
Mar. 31, 2021
Statement of cash flows [abstract]  
Disclosure of Detailed Information about Cash Flows from Changes in Working Capital Cash flows from changes in working capital
(EUR thousand)For the financial year ended March 31
202120202019
Trade receivables111,033 105,169 20,792 
Other current receivables3,450 14,690 (15,579)
Prepaid expenses3,023 6,890 (540)
(Increase) / Decrease in operating receivables117,506 126,749 4,673 
Trade payables(89,462)(25,432)(7,040)
Other current liabilities(1,622)(14,795)10,888 
Accrued liabilities(6,579)2,458 (5,200)
Increase / (decrease) in operating payables(97,663)(37,769)(1,352)
Cash flows from changes in working capital19,843 88,980 3,321