v3.26.3
Net finance costs (Details) - GBP (£)
£ in Thousands
12 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Jun. 30, 2024
Net finance costs      
Interest payable on bank loans and overdrafts £ (775) £ (1,331) £ (1,247)
Interest payable on secured term loan facility, senior secured notes and revolving facilities (35,585) (35,730) (35,298)
Interest payable on lease liabilities (Note 14) (300) (638) (681)
Amortization of issue costs on secured term loan facility, senior secured notes and revolving facilities (2,530) (1,938) (1,551)
Foreign exchange losses on retranslation of unhedged US dollar borrowings (9,963)   (2,755)
Unwinding of discount relating to registrations (18,864) (16,712) (15,593)
Transfer receivable transactions (4,820)    
Interest on provisions (374)    
Hedge ineffectiveness on cash flow hedges (4,388)    
Fair value movement on derivative financial instruments:      
Embedded foreign exchange derivatives (58) (2,639) (6,742)
Total finance costs (77,657) (58,988) (63,867)
Interest receivable on short-term bank deposits 2,088 3,350 1,686
Release of discounts related to transfer receivable transactions 5,949    
Foreign exchange gains on retranslation of unhedged US dollar borrowings   22,931  
Interest on release of provisions   73 26
Hedge ineffectiveness on cash flow hedges   11,400 784
Total finance income 8,037 37,754 2,496
Net finance costs £ (69,620) £ (21,234) £ (61,371)