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CONTINGENT LIABILITIES - Reserves Roll Forward (Details)
$ in Thousands
1 Months Ended 3 Months Ended 12 Months Ended 60 Months Ended
Jul. 30, 2021
USD ($)
May 31, 2018
USD ($)
Dec. 31, 2022
USD ($)
Dec. 31, 2022
USD ($)
Dec. 31, 2021
USD ($)
Dec. 31, 2020
USD ($)
Dec. 31, 2014
examination
Sep. 15, 2021
installment
Reconciliation of changes in other provisions [abstract]                
Balance at beginning of year       $ 9,637        
Balance at end of year     $ 13,615 13,615 $ 9,637      
Grupo Assa                
Reconciliation of changes in other provisions [abstract]                
Gross amounts set off in the balance sheet     6,071 6,071 2,883      
Reserve for labor claims                
Reconciliation of changes in other provisions [abstract]                
Balance at beginning of year       5 53 $ 91    
Additions       370 8 72    
Recovery       (1) (10) (50)    
Utilization of provision for contingencies       (89) (38) 0    
Foreign exchange       (100) (8) (60)    
Balance at end of year     185 185 5 53    
Reserve for regulatory claims                
Reconciliation of changes in other provisions [abstract]                
Balance at beginning of year       9,632 10,130 1,511    
Additions       4,260 863 176    
Additions related to business combinations       569 0 9,124    
Recovery       (270) (258) 0    
Utilization of provision for contingencies       (961) (509) (615)    
Foreign exchange       200 (594) (66)    
Balance at end of year     13,430 13,430 9,632 10,130    
Reserve for regulatory claims | Non-U.S. Subsidiaries                
Reconciliation of changes in other provisions [abstract]                
Additions   $ 1,400 1,300          
Reserve for regulatory claims | Grupo Assa Brazil                
Reconciliation of changes in other provisions [abstract]                
Balance at beginning of year       7,670        
Balance at end of year     10,858 10,858 7,670      
Number of examinations | examination             2  
Reserve for commercial claims                
Reconciliation of changes in other provisions [abstract]                
Balance at beginning of year       0 2,400 1,000    
Additions       700 5,166 1,400    
Utilization of provision for contingencies       (700) (7,566) 0    
Balance at end of year     $ 0 $ 0 $ 0 $ 2,400    
Reserve for commercial claims | Certified Collectible Group, LLC                
Reconciliation of changes in other provisions [abstract]                
Number of installment payments | installment               2
Reserve for commercial claims | Globant LLC                
Reconciliation of changes in other provisions [abstract]                
Recovery $ (2,700)              
Utilization of provision for contingencies $ (7,250)