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INTERIM CONSOLIDATED STATEMENTS OF FINANCIAL POSITION - USD ($)
$ in Thousands
Jun. 30, 2023
Dec. 31, 2022
CURRENT ASSETS:    
Cash and cash equivalents $ 9,294 $ 6,492
User funds 3,525 3,328
Trade receivables, net 2,177 1,936
Short-term bank deposit 20,484  
Short-term investments 31,119  
Other receivables and prepaid expenses 2,289 1,215
Current assets 68,888 12,971
NON-CURRENT ASSETS:    
Property and equipment, net 704 767
Right-of-use assets, net 1,219 1,384
Intangible assets, net 8,569 9,465
Goodwill 15,628 15,628
Deferred taxes 626 573
Other long-term assets 1,571 1,018
Non-current assets 28,317 28,835
Total assets 97,205 41,806
CURRENT LIABILITIES:    
Short-term bank loan and credit   2,505
Trade payables 3,532 3,234
User accounts 3,525 3,328
Current maturity of lease liabilities 668 613
Accrued expenses and other payables 6,268 7,400
Current liabilities 13,993 17,080
LONG TERM LIABILITIES:    
Lease liabilities 202 395
Employee benefit liabilities, net 1,271 1,294
Warrants liability 3,522  
Other long-term liabilities 433 1,377
Long term liabilities 5,428 3,066
EQUITY:    
Share capital 0 0
Share premium 251,351 140,229
Reserve from remeasurement of defined benefit plans 137 137
Accumulated deficit (173,704) (118,706)
Total equity 77,784 21,660
Total liabilities and equity $ 97,205 $ 41,806