v3.26.1
Cash Flow Adjustments and Changes in Working Capital - Schedule of cash flow statement adjustments (Details) - GBP (£)
£ in Thousands
6 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Non-cash adjustments    
Depreciation, amortisation and impairment of non-financial assets £ 20,785 £ 24,133
Interest income (1,249) (720)
Interest expense 6,386 5,604
Unrealised foreign exchange gain (567) (2,493)
Grant income (1,435) (923)
Research and development tax credit (485) (271)
Share-based compensation expense 14,176 21,965
Fair value movement on contingent consideration (169) (1,871)
Fair value movement of financial liabilities (2) 25
Loss on disposal of non-current assets (tangibles and intangibles) 225 688
Loss on disposal of right-of-use asset 0 70
Total non-cash adjustments 37,665 46,207
Net changes in working capital    
Decrease in trade and other receivables 15,350 700
Decrease in trade and other payables (4,672) (13,416)
Total changes in working capital £ 10,678 £ (12,716)