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FINANCIAL INSTRUMENTS (Tables)
12 Months Ended
Dec. 31, 2021
Disclosure of detailed information about financial instruments [abstract]  
Disclosure of detailed information about aging of accounts receivable [Table Text Block]
    December 31, 2021     December 31, 2020  
Current $ 9,509   $ 1,990  
Past due 31-60 days   160     328  
Past due 61-90 days   90     34  
Past due 91-120 days   32     24  
Past due over 120 days   150     376  
Trade accounts receivable   9,941     2,752  
Less allowance for doubtful accounts   (37 )   (169 )
Net trade accounts receivable   9,904     2,583  
Other receivables   3,195     976  
Accounts receivable $ 13,099   $ 3,559  
Disclosure of detailed information about allowance for doubtful accounts for trade accounts receivable [Table Text Block]
    2021     2020  
Balance, beginning of year $ 169   $ 188  
Reversal of doubtful accounts   (17 )   (13 )

Bad debts written off, net of recoveries

 

(115

)  

(6

)
Balance, end of year $ 37   $ 169  
Disclosure of detailed information about contractual cash flow maturities [Table Text Block]
          Contractual Cash Flow Maturities  
As at December 31, 2021   Carrying
Amount
    Total     Within 1
year
    1 year
to 3
years
    3 years
and
beyond
 
Accounts payable and accrued liabilities $ 9,307   $ 9,307   $ 9,307   $ -   $ -  
Income taxes payable   1,560     1,560     1,560     -     -  
Payable to loyalty program partners   75,275     75,275     75,275     -     -  
  $ 86,142   $ 86,142   $ 86,142   $ -   $ -  

          Contractual Cash Flow Maturities  
As at December 31, 2020   Carrying
Amount
    Total     Within 1
year
    1 year
to 3
years
    3 years
and
beyond
 
Accounts payable and accrued liabilities $ 5,766   $ 5,766   $ 5,766   $ -   $ -  
Income taxes payable   489     489     489     -     -  
Payable to loyalty program partners   50,629     50,629     50,629     -     -  
Long term debt including interest payments(1)   15,000     15,522     3,502     12,020     -  
  $ 71,884   $ 72,406   $ 60,386   $ 12,020   $ -  

1 Interest on long term debt is based on LIBOR and SOFR rate as at year end 2020, which represents Management's best estimate based on information available.

Disclosure of detailed information about foreign currency risk [Table Text Block]
As at December 31, 2021   CAD     GBP     EUR     JPY  
FX Rates used to translate to USD   0.78588     1.34973     1.13249     0.00869  
Balances below in source currency (in thousands)                        
Financial assets                        
Cash and cash equivalents   5,403     1,815     8,968     52,645  
Cash held in trust   1,816     -     -     -  
Funds receivable from payment processors   45     112     1,413     4,762  
Accounts receivable   775     239     197     60,181  
    8,039     2,166     10,578     117,588  
Financial liabilities                        
Accounts payable and accrued liabilities   7,216     269     224     23,003  
Payable to loyalty program partners   1,126     1,254     8,540     4,515  
    8,342     1,523     8,764     27,518  
 
As at December 31, 2020   CAD     GBP     EUR     JPY  
FX Rates used to translate to USD   0.7849     1.3663     1.2278     0.009701  
Balances below in source currency (in thousands)                        
Financial assets                        
Cash and cash equivalents   6,692     4,825     5,680     67,097  
Cash held in trust   357     -     -     -  
Funds receivable from payment processors   29     306     1,070     11,482  
Accounts receivable   1,428     188     55     25,497  
    8,506     5,319     6,805     104,076  
Financial liabilities                        
Accounts payable and accrued liabilities   3,697     365     34     725  
Payable to loyalty program partners   476     2,896     5,114     14,058  
    4,173     3,261     5,148     14,783  
Disclosure of fair value measurement [Table Text Block]
2021   Carrying Value     Level 2  
Assets:            
Foreign exchange forward contracts designated as cash flow hedges(i) $ 118   $ 118  
Liabilities:            
Foreign exchange forward contracts designated as cash flow hedges(i)   (282 )   (282 )
  $ (164 ) $ (164 )
2020   Carrying Value     Level 2  
Assets:            
Foreign exchange forward contracts designated as cash flow hedges(i) $ 827   $ 827  
  $ 827   $ 827  

(i) The carrying values of the Corporation's foreign exchange forward contracts are included in prepaid expenses, deposits and other assets and/or current portion of other liabilities in the consolidated statements of financial position.