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BORROWINGS (Schedule of Movement in the Term Loan and the 7-year Convertible Notes) (Details) - USD ($)
$ in Thousands
6 Months Ended 12 Months Ended
Jun. 30, 2024
Jun. 30, 2023
Dec. 31, 2023
Disclosure of fair value measurement of liabilities [line items]      
Eir Catch Up Adjustment $ 3,566 $ 0  
Non-current liability [Member] | Senior secured term loan [Member]      
Disclosure of fair value measurement of liabilities [line items]      
Balance at January 1 (40,109) (44,301) $ (44,301)
Cash drawdown (28,500)   (5,000)
Loan origination costs 325   194
Derivative financial liability at date of issue 0   90
Derivative financial asset at date of issue (24)   (11)
Accretion interest (1,068)   (1,131)
Cash repayment of principal 0   10,050
Eir Catch Up Adjustment 3,567   0
Balance at end of the period (65,809)   (40,109)
Non-current liability [Member] | 7-year Convertible Note [Member]      
Disclosure of fair value measurement of liabilities [line items]      
Balance at January 1 (14,542) $ (13,746) (13,746)
Accretion interest (422)   (796)
Balance at end of the period $ (14,964)   $ (14,542)