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Lease Right-of-Use Assets - Summary of Reconciliation of Lease Right of Use Assets (Detail) - CAD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Disclosure of quantitative information about right-of-use assets [line items]    
Beginning Balance [1] $ 78,372  
Additions 44,583 $ 9,977
Ending Balance 82,213 78,372 [1]
Gross carrying amount [member]    
Disclosure of quantitative information about right-of-use assets [line items]    
Beginning Balance 119,165 82,739
Acquisition (Note 6)   32,432
Additions 44,418 11,202
Disposal (22,540) (10,064)
Currency translation effects (1,606) 2,856
Lease measurement adjustment (7,413)  
Reclassified to assets held for sale (Note 10) (6,971)  
Ending Balance 125,053 119,165
Accumulated depreciation and amortisation [member]    
Disclosure of quantitative information about right-of-use assets [line items]    
Beginning Balance (40,793) (32,852)
Depreciation charge (23,083) (15,818)
Disposal 17,011 9,274
Currency translation effects 1,060 (1,397)
Lease measurement adjustment 1,900  
Reclassified to assets held for sale (Note 10) 1,065  
Ending Balance (42,840) (40,793)
Land and buildings [member]    
Disclosure of quantitative information about right-of-use assets [line items]    
Beginning Balance 66,950  
Ending Balance 55,395 66,950
Land and buildings [member] | Gross carrying amount [member]    
Disclosure of quantitative information about right-of-use assets [line items]    
Beginning Balance 94,107 58,380
Acquisition (Note 6)   31,192
Additions 22,131 7,173
Disposal (15,444) (3,935)
Currency translation effects (1,344) 1,297
Lease measurement adjustment (7,413)  
Reclassified to assets held for sale (Note 10) (6,971)  
Ending Balance 85,066 94,107
Land and buildings [member] | Accumulated depreciation and amortisation [member]    
Disclosure of quantitative information about right-of-use assets [line items]    
Beginning Balance (27,157) (20,198)
Depreciation charge (16,866) (9,994)
Disposal 10,428 3,543
Currency translation effects 959 (508)
Lease measurement adjustment 1,900  
Reclassified to assets held for sale (Note 10) 1,065  
Ending Balance (29,671) (27,157)
Equipment [Member]    
Disclosure of quantitative information about right-of-use assets [line items]    
Beginning Balance 11,422  
Ending Balance 26,818 11,422
Equipment [Member] | Gross carrying amount [member]    
Disclosure of quantitative information about right-of-use assets [line items]    
Beginning Balance 25,058 24,359
Acquisition (Note 6)   1,240
Additions 22,287 4,029
Disposal (7,096) (6,129)
Currency translation effects (262) 1,559
Ending Balance 39,987 25,058
Equipment [Member] | Accumulated depreciation and amortisation [member]    
Disclosure of quantitative information about right-of-use assets [line items]    
Beginning Balance (13,636) (12,654)
Depreciation charge (6,217) (5,824)
Disposal 6,583 5,731
Currency translation effects 101 (889)
Ending Balance $ (13,169) $ (13,636)
[1] Certain balances as at December 31, 2022 have been re-presented as a result of measurement period adjustments for the acquisition of Exterran as required by IFRS 3 “Business Combinations”, refer to Note 6 “Acquisition” for more information.