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Cash Flow Information - Summary of Analysis of Net Debt and Movements in Net Debt (Details) - AUD ($)
12 Months Ended
Jun. 30, 2022
Jun. 30, 2021
Jun. 30, 2020
Jun. 30, 2019
Disclosure of reconciliation of liabilities arising from financing activities [line items]        
Cash and cash equivalents $ 207,083,935 $ 136,663,976 $ 38,807,662 $ 6,054,664
Lease liability - repayable within one year (489,846) (410,792)    
Borrowings - repayable within one year (including overdraft) (1,474,090) (277,060)    
Lease liability - repayable after one year (7,265,686) (7,120,396)    
Borrowings - repayable after one year (52,152,452) (5,986,565)    
Net cash (debt) 145,701,861 122,869,163    
Cash and cash equivalents 207,083,935 136,663,976 $ 38,807,662 $ 6,054,664
Gross debt - fixed interest rates (9,518,941) (8,386,881)    
Gross debt - variable interest rates (51,863,133) (5,407,932)    
Net cash (debt) 145,701,861 122,869,163    
Cash flows from financing activities        
Beginning Balance 122,869,163 33,675,547    
Cashflows (17,007,804) 94,156,418    
Other non-cash movements 5,824,894 (4,962,802)    
Ending Balance 145,701,861 122,869,163    
Cash        
Cash flows from financing activities        
Beginning Balance 136,663,976 38,807,662    
Cashflows 61,654,881 97,856,314    
Other non-cash movements 8,765,078      
Ending Balance 207,083,935 136,663,976    
Borrowings due within 1year        
Cash flows from financing activities        
Beginning Balance (687,852) (416,041)    
Cashflows 669,246 329,873    
Other non-cash movements (1,945,330) (601,684)    
Ending Balance (1,963,936) (687,852)    
Borrowings due after 1 year        
Cash flows from financing activities        
Beginning Balance (13,106,961) (4,716,074)    
Cashflows (45,316,323) (4,029,769)    
Other non-cash movements (994,854) (4,361,118)    
Ending Balance $ (59,418,138) $ (13,106,961)