22. Other receivables
The maximum exposure of credit risk at the reporting date is the carrying value of the other receivables. TMF Group does not hold any collateral as security. TMF Group has no significant concentrations of credit risk.
In millions of Euro |
31 December 2023 |
31 December 2022 |
---|---|---|
Total other receivables |
43.7 |
- |
Prepayments |
15.7 |
- |
Rental and other deposits |
4.8 |
- |
Unbilled disbursements |
2.6 |
- |
Other tax and social security receivables |
10.2 |
- |
Other receivables |
10.4 |
- |