35 Financial instruments

For general information on financial instruments and associated risks, please see Note 25 Financial instruments and associated risks of the consolidated financial statements.

35.1 Exposure to credit risk

Maximum exposure to credit risk as at 30 September is as follows:

EUR 000

30 September 2022

30 September 2021

Amounts due from group companies

59,383

48,877

Cash and cash equivalents

176,187

162,969

235,570

211,846

35.2 Liquidity risk

Summary of financial liabilities:

EUR 000

Carrying
amount

Contractual
cash flow

Due within
1 year

Due between
1 and 5 years

Due after
5 years

30 September 2022

Loans and borrowings

162,407

187,428

113,309

41,719

32,400

Total

162,407

187,428

113,309

41,719

32,400

30 September 2021

Loans and borrowings

141,598

166,679

102,302

37,441

26,936

Total

141,598

166,679

102,303

37,441

26,936

Further details on financial instruments are provided in Note 25 Financial instruments and associated risks to the consolidated financial statements.