29. Cash and cash equivalents
€ million |
30/9/2020 |
30/9/2021 |
---|---|---|
Cheques and cash on hand |
20 |
24 |
Bank deposits and other financial assets with short-term liquidity |
1,505 |
1,450 |
|
1,525 |
1,474 |
There were no restrictions on title in relation to cash and cash equivalents in the previous or in the current reporting period.
- For more information, see the cash flow statement and no. 40 – notes to the cash flow statement.