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Other Long-Term Liabilities (Details) - Schedule of other long-term liabilities - Other Long-Term Liabilities [Member] - CAD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Other Long-Term Liabilities (Details) - Schedule of other long-term liabilities [Line Items]    
Deferred revenue [1] $ 289,926 $ 332,363
Accrued benefit liabilities (Note 32) 45,221 47,984
Uncertain tax positions 175 175
Decommissioning liabilities [2] 2,402 3,145
Lease liabilities 33,729 26,920
Other long-term liabilities $ 371,453 $ 410,587
[1] Remaining performance obligations, which the Company also refers to as contract revenue backlog (“backlog”) represents the expected future revenue under existing customer contracts, includes both cancellable and non-cancellable contracts, and any deferred revenue that will be recognized in the future in respect to cash already received. The Company does not include revenue beyond the stated expiration of the contract regardless of potential for renewal.
[2] The current and long-term decommissioning liabilities on property and equipment were $3.4 million (December 31, 2020 — $3.9 million). The decommissioning liabilities are for the restoration of leased buildings and teleports. During the year ended December 31, 2021, $0.1 million was recorded as interest expense (December 31, 2020 — $0.1 million) with $0.6 million decommissioning liabilities derecognized (December 31, 2020 — $Nil). It is expected that the decommissioning liabilities will mature between 2022 and 2062.