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Consolidated statements of cash flows - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Statement of cash flows [abstract]      
Net loss for the year $ (52,419) $ (60,514) $ (825)
Adjustments for:      
Depreciation and amortization 4,616 4,072 2,400
Deferred income tax (4,902) (11,118) (616)
Loss on disposal of rights of use, property, equipment, and intangible assets (9) 54 132
Expected credit losses from trade receivables 852 887 972
Share-based compensation 12,202 9,217 2,803
Provision for payroll taxes (share-based compensation) (1,125) 7,611 0
Adjustment of hyperinflation 5,175 2,274 779
Equity results (1,106) (587) (78)
Fair value (gains) losses 2,522 (1,188) (1,454)
Others and foreign exchange, net 534 666 1,714
Change in operating assets and liabilities      
Trade receivables (3,579) (16,749) (10,104)
Recoverable taxes (671) (2,692) (2,215)
Prepaid expenses 3,947 (2,741) (3,727)
Other assets (583) 186 (13)
Accounts payable and accrued expenses 5,229 7,417 7,961
Taxes payable (1,495) 3,102 5,944
Deferred revenue 1,157 12,330 9,641
Other liabilities 745 (364) (210)
Cash provided by (used in) operating activities (28,910) (48,137) 13,104
Income tax paid (312) (4,854) (1,939)
Net cash provided by (used in) operating activities (29,222) (52,991) 11,165
Cash flows from investing activities      
Dividends received from joint venture 147 0 0
Purchase of short-term investment (111,612) (177,816) 0
Redemption of short-term investment 78,011 1,053 0
Purchase of marketable securities (9,003) 0 (3,846)
Redemption of marketable securities 0 16,857 2,007
Interest and dividend received from short-term investments 1,110 588 1,037
Payment of business acquired (1,692) (5,712) (3,646)
Acquisitions of intangible assets 0 (368) 0
Acquisitions of property and equipment (340) (1,383) (1,648)
Net cash used in investing activities (43,379) (166,781) (6,096)
Cash flows from financing activities      
Derivative financial instruments (746) 0 0
Changes in restricted cash (348) 246 1,337
Proceeds from the exercise of stock options 567 3,830 313
Net-settlement of share-based payment (1,615) (2,705) 0
Capital increase 0 1,000 156,650
Capital increase - proceeds from initial public offering, net of transaction costs 0 296,318 0
Buyback of shares (12,798) (2,423) (129,031)
Payment of loans and financing (2,651) (10,886) (2,999)
Interest paid (56) (104) (186)
Principal elements of lease payments (1,263) (913) (350)
Lease interest paid (670) (680) (775)
Net cash provided by (used in) financing activities (19,580) 283,683 24,959
Net increase (decrease) in cash and cash equivalents (92,181) 63,911 30,028
Cash and cash equivalents, beginning of the year 121,006 58,557 29,762
Effect of exchange rate changes (4,431) (1,462) (1,233)
Cash and cash equivalents, end of the year 24,394 121,006 58,557
Non-cash transactions:      
Lease liabilities arising from obtaining right-of-use assets 983 494 820
Accounts payable related to buyback of shares 0 0 2,016
Issue of ordinary shares as consideration for a business combination 3 1,469 93
Unpaid amount related to acquisition of non-controlling interest 0 27 0
Unpaid amount related to business combinations 0 8,264 0
Dividends from joint venture used to pay accounts from acquisition of subsidiaries 448 0 0
Transactions with non-controlling interests $ 13 $ 7 $ 0