Exxaro Resources Limited
Group and company annual financial statements for the year ended 31 December 2024 
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Chapter 10Assets

  • 10.4Other assets
  • 10.4.1 Other assets composition
Group   Company
At 31 December 2024
Rm
2023
Rm
  2024
Rm
2023
Rm
Non-current

 

Reimbursements1 443 588      
Biological assets 37 33      
Lease receivables2 18 29      
Other 71 79   1 1
Total non-current other assets 569 729   1 1
Current

 

VAT 62 37   11 4
Diesel rebates 40 58  

Royalties 63 69  

Prepayments3 229 254   32 30
Lease receivables2 11 9  

Other 51 55   1 1
Total current other assets 456 482   44 35
Total other assets 1 025 1 211   45 36
1 Amounts recoverable from Eskom in respect of the rehabilitation, environmental expenditure and retirement employee obligations of the Matla operation at the end of LoM.
2 The lease relates to the upgrade of the Zeeland Water Treatment Works (in Lephalale, South Africa), of which Exxaro funds the capital for a period of 15 years. The municipality's share of the capital expenditure will be recovered through fixed monthly instalments over this period. The minimum lease instalments are payable monthly with no escalation and calculated at a rate of 14.3% (2023: 14.3%) per annum.
3 Includes an amount of R83.7 million (2023: R123 million) which relates to advance payments for assets under construction.