NOTES TO THE FINANCIAL STATEMENTS – NOTE 12

12. Cash and cash equivalents
    GROUP
June 2015
R000
  GROUP
June 2014
R000
  COMPANY
June 2015
R000
  COMPANY
June 2014
R000
 
  Cash held on call account as security for municipal and other guarantees 10 533   8 620   10 533   8 620  
  Bank balances and cash 73 308   68 733   52 437   52 637  
  Balance at end of year 83 841   77 353   62 970   61 257