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Recent Accounting Pronouncements and Changes to Accounting Policies (Tables)
12 Months Ended
Dec. 31, 2024
Accounting Policies, Changes In Accounting Estimates And Errors [Abstract]  
Disclosure of Initial Application of Standards or Interpretations The impacts on the Company’s consolidated financial statements were as follows:
Consolidated Statements of Financial Position

December 31, 2023
(as previously stated)
Increase (Decrease)
December 31, 2023
(revised)
January 1, 2023
(as previously stated)
Increase (Decrease)
January 1, 2023
(revised)
$$$$$$
Non-current assets
Goodwill: Canada359.5 (65.7)293.8 359.5 (65.7)293.8 
  United States
1,452.4 (136.4)1,316.0 1,408.0 (139.6)1,268.4 
  Global
572.1 (108.3)463.8 578.9 (108.5)470.4 
Total Goodwill
2,384.0 (310.4)2,073.6 2,346.4 (313.8)2,032.6 
Total assets6,076.7 (310.4)5,766.3 5,652.9 (313.8)5,339.1 
Current liabilities
Trade and other payables818.5 23.9 842.4 755.7 29.1 784.8 
Long-term debt146.7 (22.7)124.0 52.2 (29.0)23.2 
Non-current liabilities
Long-term debt982.3 (8.1)974.2 1,183.6 (26.5)1,157.1 
Deferred tax liabilities
24.4 2.0 26.4 28.2 6.8 35.0 
Total liabilities3,320.1 (4.9)3,315.2 3,366.9 (19.6)3,347.3 
Total shareholders' equity2,756.6 (305.5)2,451.1 2,286.0 (294.2)1,991.8 
Total liabilities and equity6,076.7 (310.4)5,766.3 5,652.9 (313.8)5,339.1 

Consolidated Statements of Income

2023
(as previously stated)
Increase (Decrease)2023
(revised)
$$$
Administrative and marketing expenses1,945.8 19.5 1,965.3 
Income before income taxes427.2 (19.5)407.7 
Deferred income taxes
(45.6)(4.8)(50.4)
Net income
331.2 (14.7)316.5 
Earnings per share, basic and diluted2.98(0.13)2.85
Consolidated Statements of Comprehensive Income

2023
(as previously stated)
Increase (Decrease)2023
(revised)
$$$
Exchange differences on translation of foreign operations(64.0)3.4 (60.6)
Other comprehensive income (loss), net of tax
(50.9)3.4 (47.5)
Total comprehensive income, net of tax
280.3 (11.3)269.0 

Consolidated Statements of Cash Flows

2023
(as previously stated)
Increase (Decrease)2023
(revised)
$$$
Net income331.2 (14.7)316.5 
Deferred income taxes
(45.6)(4.8)(50.4)
Trade and other payables and other accruals
(54.4)(5.2)(59.6)
Net cash flows from operating activities544.7 (24.7)520.0 
Repayment of notes payable and other financing obligations(52.4)24.7 (27.7)
Net cash flows used in financing activities(134.0)24.7 (109.3)