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Employee Benefit Plans - Schedule of Changes in Projected Benefit Obligations (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Retirement Benefits [Abstract]      
Opening balance sheet asset / provision (funded status) $ 396 $ 575 $ 1,015
Net service cost 38 43 71
Interest cost / (credit) 14 4 3
Settlement / curtailment cost / (credit) 0 0 (194)
Currency translation adjustment (1)
Total net periodic benefit cost / (credit) 52 47 (121)
Actuarial (gain) / loss on liabilities due to experience (11) (170) (142)
Total (gain) / loss recognized via OCI (11) (170) (142)
Total cashflow (22) (24) (116)
Currency translation adjustment 11 (32) (61)
Closing balance sheet asset / provision (funded status) 426 396 575
Reconciliation of Net gain / loss      
Amount at beginning of year (364) (205) (68)
Liability (gain) / loss (11) (170) (142)
Currency translation adjustment (10) 11 5
Amount at December 31, $ (385) $ (364) $ (205)