RE: Dripped a little more in6 Apr 2023 11:55
" Cash reserves of £12.1 million as at 31 December 2022 (31 December 2021: £26.3 milion) with borrowings under the EFF of £36.8 million (31 Dec 2021: £nil) and a tax rebate receivable of £40.8 million (31 December 2021: £8.1 million) due in November 2023. "