Notes to the Company financial statements – Note 2

    2015
R’000
    2014
R’000
 
2. Cash generated by operations          
  Profit before taxation 3 000 594     2 538 029  
  Adjustment for non-cash items 14 118     95 359  
  Retained to finance working capital          
     Decrease in trade and other receivables –     36 391  
     Increase (decrease) in trade and other payables 257     (60)  
  Cash generated by operations 3 014 969     2 669 719  

Notes to the Company financial statements– Note 2