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Business Update

Strong balance sheet Actual Adjustments Pro-forma Balance sheet ($M) 31-Dec-20 31-Dec-20 31-Dec-20 Cash 251 270 521 Liquidity available for future acquisitions Trade and other receivables 27 27 Total assets 1,132 359 1,491 Customer deposits 6 6 Trade and other payables 36 36 46% Committed credit facility 54% Loans and borrowings 405 (167) 238 Cash Convertible debentures 345 345 Equity 557 192 749 Credit metrics Debt/ Adjusted EBITDA FY2022 1.19 Current N.M. Current N.M. ~$1B in dry powder for future acquisitions Dye & Durham 34
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