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Employee Benefit Plans - Schedule of Changes in Projected Benefit Obligations (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Retirement Benefits [Abstract]      
Opening balance sheet asset/provision (funded status) $ 4,769 $ 6,768 $ 6,880
Net Service cost 213 263 436
Interest cost/(credit) 52 29 50
Expected return on Assets (157) (177) (167)
Amortization on Net (gain)/loss 152 270 284
Amortization on Prior service cost/(credit) (28) (12) 61
Settlement / curtailment cost / (credit) 0 (194) 0
Currency translation adjustment (5) 6 20
Total Net Periodic Benefit Cost/(credit) 227 185 684
Actuarial (gain)/loss on liabilities due to experience 109 (342) (72)
Actuarial gain/loss on liab. from changes to fin. assump (3,001) (420) 0
Actuarial (gain)/loss on liab. from changes to demo. assump 0 (645) 0
Asset (gain) / loss 82 224 (29)
Prior service costs for the current period 0 (123) (698)
Amortization on Net (gain)/loss (152) (270) (284)
Amortization on Prior service cost/(credit) 28 12 (61)
Currency translation adjustment 0 (8) (45)
Total gain/loss recognized via OCI (2,934) (1,572) (1,189)
Total cashflow (214) (379) (274)
Currency translation adjustment (89) (233) 669
Reclassifications 0 0 (2)
Closing balance sheet asset/provision (funded status) 1,759 4,769 6,768
Reconciliation of Net Gain / Loss      
Amount at beginning of year 2,651 4,237 4,258
Amortization during the year (152) (270) (284)
Liability (gain) / loss (2,892) (1,407) (72)
Currency translation adjustment (27) (133) 366
Amount at year-end (338) 2,651 4,237
Reconciliation of prior service cost/(credit)      
Amount at beginning of year (537) (440) 300
Amortization during the year 28 12 (61)
Currency translation adjustment 6 14 19
Amount at year-end $ (503) $ (537) $ (440)