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SUPPLEMENTAL CASH FLOW DISCLOSURE (Tables)
12 Months Ended
Dec. 29, 2019
Cash flow statement [Abstract]  
Disclosure of detailed information about adjustments to reconcile profit (loss) explanatory
Adjustments to reconcile net earnings to cash flows from operating activities:
 
2019

 
2018

 
 
 
 
Depreciation and amortization (note 20)
$
156,794

 
$
158,076

Restructuring charges related to property, plant and equipment, right-of-use assets, and software (note 17)
13,061

 
12,394

Loss on disposal of property, plant and equipment and software
1,399

 
1,124

Share-based compensation
16,272

 
19,513

Deferred income taxes (note 18)
(23,623
)
 
8,872

Unrealized net (gain) loss on foreign exchange and financial derivatives
(330
)
 
882

Timing differences between settlement of financial derivatives and transfer of deferred gains and losses in accumulated OCI to inventory and net earnings
907

 

Other non-current assets
5,971

 
(1,445
)
Other non-current liabilities
5,097

 
2,839

 
$
175,548

 
$
202,255

Disclosure of detailed information about variations in non-cash transactions explanatory
Variations in non-cash transactions:
 
2019

 
2018

 
 
 
 
Additions to property, plant and equipment and intangible assets included in accounts payable and accrued liabilities
$
16,144

 
$
4,977

Proceeds on disposal of property, plant and equipment included in other current assets
(9
)
 
(86
)
Additions to right-of-use assets included in lease obligations
7,753

 

Impact of initial adoption of new accounting standards (note 2(c))
(2,176
)
 
(1,515
)
Non-cash ascribed value credited to contributed surplus for dividends attributed to Treasury RSUs
954

 
754

Non-cash ascribed value credited to share capital from shares issued or distributed pursuant to vesting of restricted share units and exercise of stock options
10,789

 
6,681