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SUPPLEMENTAL CASH FLOW DISCLOSURE (Tables)
12 Months Ended
Jan. 03, 2021
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:
20202019
Depreciation and amortization (note 20)$147,190 $156,794 
Non cash restructuring charges related to property, plant and equipment, right-of-use assets, and computer software (note 17)23,933 13,061 
Impairment of goodwill and intangible assets (note 10)93,989 — 
Loss on disposal of property, plant and equipment and software25,909 1,399 
Share-based compensation2,090 16,272 
Deferred income taxes (note 18)(7,724)(23,623)
Unrealized net (gain) loss on foreign exchange and financial derivatives8,439 (330)
Timing differences between settlement of financial derivatives and transfer of deferred gains and losses in accumulated OCI to inventory and net earnings(1,708)907 
Other non-current assets1,530 5,971 
Other non-current liabilities4,154 5,097 
$297,802 $175,548 
Disclosure of detailed information about variations in non-cash transactions explanatory Variations in non-cash transactions:
20202019
Additions to property, plant and equipment and intangible assets included in accounts payable and accrued liabilities
$(13,751)$16,144 
Proceeds on disposal of property, plant and equipment included in other current assets
(375)(9)
Additions to right-of-use assets included in lease obligations16,189 7,753 
Impact of initial adoption of new accounting standards (note 2(c))
 (2,176)
Non-cash ascribed value credited to contributed surplus for dividends attributed to Treasury RSUs
336 954 
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
7,552 10,789