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Cash and cash equivalents (Tables)
12 Months Ended
Dec. 31, 2023
Text Block [Abstract]  
Summary of Cash and Cash Equivalents in the Statement of Cash Flows
          
   2023
$m
          
   2022
$m
 
Cash at bank and in hand
   
 
179
 
    
 
165
 
Short-term deposits
   
 
632
 
    
 
421
 
Money market funds
   
 
375
 
    
 
360
 
Repurchase agreements
   
 
136
 
    
 
30
 
Cash and cash equivalents as recorded in the Group statement of financial position
   
 
1,322
 
    
 
976
 
Bank overdrafts
   
 
(44
    
 
(55
Cash and cash equivalents as recorded in the Group statement of cash flows
   
 
1,278
 
    
 
921
 
Summary of Restricted Cash and Cash Equivalents
Cash and cash equivalents with restrictions on use 
 
          
   2023 
$m 
          
   2022 
$m 
 
Countries with restrictions on repatriation
   
 
30 
 
    
 
24 
 
Capital expenditure under lease agreements
   
 
14 
 
    
 
11 
 
Other restrictions
   
 
12 
 
    
 
12 
 
 
   
 
56 
 
    
 
47