v3.26.1
Consolidated Balance Sheets - USD ($)
$ in Thousands
Jun. 30, 2026
Jun. 30, 2025
CURRENT ASSETS    
Cash and cash equivalents $ 81,409 $ 76,520
Restricted cash related to short-term credit facilities (Note 12) 129 119
Accounts receivable, net and other receivables (Note 4) 43,765 42,525
Finance loans receivable, net (Note 4) 103,810 74,110
Inventory (Note 5) 20,113 23,551
Total current assets before settlement assets 249,226 216,825
Settlement assets 18,504 27,098
Total current assets 267,730 243,923
PROPERTY, PLANT AND EQUIPMENT, NET (Note 1 and Note 7) 50,212 44,924
OPERATING LEASE RIGHT-OF-USE (Note 8) 20,161 9,691
EQUITY-ACCOUNTED INVESTMENTS (Note 9) 295 199
GOODWILL (Note 10) 215,298 199,395
INTANGIBLE ASSETS, NET (Note 10), including integrated platform - 2026: $73,211; 2025: $79,343 123,425 139,215
DEFERRED TAX ASSETS, NET 12,470 10,338
OTHER LONG-TERM ASSETS, including equity securities (Note 9 and 11) 9,697 3,809
TOTAL ASSETS 699,288 651,494
CURRENT LIABILITIES    
Short-term credit facilities (Note 12) 20,671 24,469
Accounts payable 23,986 19,867
Other payables (Note 13) 83,262 76,035
Operating lease liability - current (Note 8) 4,408 4,007
Current portion of long-term borrowings (Note 12) 16,114 11,956
Income taxes payable 1,691 1,400
Total current liabilities before settlement obligations 150,132 137,734
Settlement obligations 18,530 26,695
Total current liabilities 168,662 164,429
DEFERRED TAX LIABILITIES, NET 28,379 33,921
OPERATING LEASE LIABILITY - LONG TERM (Note 8) 19,338 6,129
LONG-TERM BORROWINGS (Note 12) 194,597 188,813
OTHER LONG-TERM LIABILITIES, including insurance policy liabilities (Note 11) 3,988 2,991
TOTAL LIABILITIES 414,964 396,283
REDEEMABLE COMMON STOCK (Note 14) 78,972 88,957
EQUITY    
COMMON STOCK (Note 14) Authorized: 200,000,000 with $0.001 par value; Issued and outstanding shares, net of treasury - 2026: 83,306,794; 2025: 81,249,097 84 84
PREFERRED STOCK Authorized shares: 50,000,000 with $0.001 par value; Issued and outstanding shares, net of treasury: 2026: - ; 2025: -
ADDITIONAL PAID-IN CAPITAL 152,554 135,505
TREASURY SHARES, AT COST: 2026: 2,548,472; 2025: 3,999,049 (234) (7,059)
ACCUMULATED OTHER COMPREHENSIVE LOSS (Note 15) (166,319) (185,626)
RETAINED EARNINGS 219,267 216,509
TOTAL LESAKA EQUITY 205,352 159,413
NON-CONTROLLING INTEREST 0 6,841
TOTAL EQUITY 205,352 166,254
TOTAL LIABILITIES, REDEEMABLE COMMON STOCK AND SHAREHOLDERS' EQUITY $ 699,288 $ 651,494