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Note 14 - Segment Information (Tables)
12 Months Ended
Jan. 01, 2022
Notes Tables  
Schedule of Segment Reporting Information, by Segment [Table Text Block]

Fiscal Year Ended

January 1, 2022

 

Engineering

  

Specialty Health Care

  

Information

Technology

  

Corporate

  

Total

 
                     

Revenue

 $66,172  $98,495  $39,208  $-  $203,875 
                     

Cost of services

  50,109   73,177   27,465   -   150,751 
                     

Gross profit

  16,063   25,318   11,743   -   53,124 
                     

Selling, general and administrative

  14,210   19,490   8,319   -   42,019 
                     

Depreciation and amortization of

   property and equipment

  521   373   113   -   1,007 
                     

Amortization of acquired intangible assets

  95   -   -   -   95 
                     

Remeasurement of acquisition-related

   contingent consideration

  (1,713

)

  -   -   -   (1,713

)

                     

Gain on sale of assets

  (2,420

)

  -   -   -   (2,420

)

                     

Operating income (loss)

 $5,370  $5,455  $3,331  $-  $14,136 
                     

Total assets as of January 1, 2022

 $28,343  $32,809  $8,676  $3,024  $72,852 

Capital expenditures

 $481  $563  $173  $359  $1,576 

Fiscal Year Ended

January 2, 2021

 

Engineering

  

Specialty Health Care

  

Information

Technology

  

Corporate

  

Total

 
                     

Revenue

 $57,715  $60,481  $32,213  $-  $150,409 
                     

Cost of services

  41,227   47,116   23,211   -   111,554 
                     

Gross profit

  16,488   13,365   9,002   -   38,855 
                     

Selling, general and administrative

  13,021   15,601   9,169   -   37,791 
                     

Depreciation and amortization of

   property and equipment

  638   319   108   -   1,065 
                     

Amortization of acquired intangible assets

  321   -   -   -   321 
                     

Write-off of receivables and

   professional fees incurred

   related to arbitration

  8,397   -   -   -   8,397 
                     

Impairment of right of use assets and

   related costs

  -   -   -   2,231   2,231 
                     

Operating income (loss)

 $(5,889

)

 $(2,555

)

 $(275

)

 $(2,231

)

 $(10,950

)

                     

Total assets as of January 2, 2021

 $33,782  $19,141  $7,498  $7,918  $68,339 

Capital expenditures

 $26  $36  $48  $350  $460 
Schedule of Revenue from External Customers Attributed to Foreign Countries by Geographic Area [Table Text Block]
  

Fiscal Year Ended

 
  

January 1,

  

January 2,

 
  

2022

  

2021

 

Revenues

        

   United States

 $186,169  $126,238 

   Canada

  9,578   15,310 

   Puerto Rico

  5,237   5,702 

   Serbia

  2,891   3,159 
  $203,875  $150,409 
Schedule of Disclosure on Geographic Areas, Long-Lived Assets in Individual Foreign Countries by Country [Table Text Block]
  

Fiscal Year Ended

 
  

January 1,

  

January 2,

 
  

2022

  

2021

 

Total Assets

        

   United States

 $67,296  $56,308 

   Canada

  1,327   7,067 

   Puerto Rico

  963   1,483 

   Serbia

  3,266   3,481 
  $72,852  $68,339