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SUPPLEMENTARY CASH FLOW INFORMATION
12 Months Ended
Mar. 31, 2022
Disclosure of cash flow statement [text block] [Abstract]  
SUPPLEMENTARY CASH FLOW INFORMATION
23.SUPPLEMENTARY CASH FLOW INFORMATION

 

Changes in non-cash operating working capital:  Year Ended March 31, 
   2022   2021 
Trade and other receivables  $(2,101)  $(470)
Inventories   753    (859)
Prepaids and deposits   (650)   (1,133)
Accounts payable and accrued liabilities   8,014    4,158 
Deposits received   422    1,352 
Due from a related party   (14)   27 
   $6,424   $3,075 

 

   March 31, 2022   March 31, 2021 
Cash on hand and at bank  $72,782   $111,191 
Bank term deposits and short-term money market investments   40,520    7,544 
Total cash and cash equivalents  $113,302   $118,735