Cash flows from opes ating acthities Net flosslearnits 5(878)5116 Adfustmens to recencile net cath frem operating activities Depreclatian of property plant and equipment and amortization of contract dusets =5:6109.1949 Share-based comoensation 11329105 Prance costa 13396419 Crow incentlve 111.52.9 Gain on olsposai of procerty plant and equipment. Impairitent of propertyiplant and equipment Employtenensiontlability. inarre tax piovision. Falr valun adfustmertionstock warrant Gain en total return swad Unre ied for elpr exchangetain Gainon estinguinheritef dett. Dther reits and expenses - Iriter estgaid - Cash geferatedtram operatina actlyltias Changes in non cashwocking capitaritecti ind deposts Contrect acpulytion atst Trade and cther rectivabies Inveraterles Peepaid eratioes and depoeits Trade qther payalaies Net cash kenerated fras operatline activaties Cach flews from ivvesting act kities: P Purshase of erisertwiars asd equiprient Prestedr foem insur ance talaim Proceestefrmi tutalieturos swap fi sett ment of Ashulaleladrin tushinsts Gain on exingulatiment of debt 13(11) Other Ealis and expenses: [47] Interest paid Cashigenerated from coerating activities Changes in non-cashworking capital items and deposits Contract acquisition asset Trade and other recelvables Imventories Prepald expenses and deposits Trade other payables Net cash generated from operating activities Cash flows from investing activities Purchase of property, plant and equipment 8(246.6)(218.1) Proceeds from dieposal of property, plant and equipment 190.813 Proceeds from insurance claim Proceeds from total return swap \& settiement of derivative financlal imatrument 2714541 Acquisition of businesis Settiement of provision Net cash used in investing activities Cash flows from financine activities Repayment of barrowings (1713) (61.6) Proceeds from borrowings Repayment of oblizations under lease liabilities Options settied in cash Proceeds from debenture iseuance net of tswance costs (14, 1099,1097 11) (24)(32) Withholdlig tax paid on vented REUYs Dividends paid to shareholders Net cash lused in provided from furanding actlvities Net change in cash Cash (tank overdrafti, beginning ot Year: canh, end of year What effect did the change in the company's trade and other payables have on cash flows from operating activities in 2020 ? (Round ariswer to 1 decimal place, es. 52.6.) The balance in trade and other payables