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Cash flows from changes in working capital (Tables)
12 Months Ended
Mar. 31, 2024
Statement of cash flows [abstract]  
Disclosure of Cash Flows from Changes in Working Capital
(EUR thousand)For the financial year ended March 31
202420232022
Trade receivables(62,704)(92,896)(70,374)
Other current receivables(14,875)(5,841)4,350 
Prepaid expenses(2,220)185 (225)
Changes in operating receivables(79,799)(98,552)(66,249)
Trade payables65,577 44,883 19,950 
Other current liabilities9,516 5,277 4,088 
Accrued liabilities1,349 10,302 (4,046)
Changes in operating payables76,442 60,462 19,992 
Cash flows used in working capital(3,357)(38,090)(46,257)