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Note 21 - Supplemental Cash Flow Information
12 Months Ended
Jan. 31, 2021
Notes to Financial Statements  
Cash Flow, Supplemental Disclosures [Text Block]
Note
21
– Supplemental Cash Flow Information
 
The following tables presents the cash flow changes in operating asset and liabilities:
 
Year Ended     January 31,       January 31,       January 31,  
      2021       2020       2019  
Trade accounts receivable    
143
     
3,733
     
(135
)
Other accounts receivable    
(7,098
)    
(2,547
)    
(451
)
Prepaid expenses and other    
(5,029
)    
(5,942
)    
(4,466
)
Inventory    
99
     
(345
)    
74
 
Accounts payable    
(686
)    
1,768
     
(1,065
)
Accrued liabilities    
(999
)    
3,265
     
2,570
 
Income taxes payable    
3,835
     
(1,550
)    
(2,423
)
Operating leases    
283
     
546
     
-
 
Deferred revenue    
5,877
     
(4,184
)    
2,047
 
     
(3,575
)    
(5,256
)    
(3,849
)