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Supplemental Cash Flow Information - Summary of Changes in Liabilities Arose From Financing Activities (Details) - CAD ($)
$ in Thousands
9 Months Ended
Jan. 31, 2024
Jan. 31, 2023
Disclosure Of Reconciliation Of Liabilities Arising From Financing Activities [Line Items]    
Beginning balance $ 7,984 $ 4,004
Cash Flows (1,037) (1,565)
Non-cash changes, Acquisition 7,963 7,412
Non-cash changes, Debt forgiven/ Settlement/ Disposal 0 (1,315)
Non-cash changes, Accretion 15 3
Non-cash changes, Foreign exchange movements and change in estimates 33 (390)
Ending balance 14,958 8,149
Deferred Acquisition Payments    
Disclosure Of Reconciliation Of Liabilities Arising From Financing Activities [Line Items]    
Beginning balance 717 1,237
Cash Flows 0 (610)
Non-cash changes, Acquisition 0 0
Non-cash changes, Debt forgiven/ Settlement/ Disposal 0 0
Non-cash changes, Accretion 15 0
Non-cash changes, Foreign exchange movements and change in estimates (165) 47
Ending balance 567 674
Convertible Debentures    
Disclosure Of Reconciliation Of Liabilities Arising From Financing Activities [Line Items]    
Beginning balance   1,312
Cash Flows   0
Non-cash changes, Acquisition   0
Non-cash changes, Debt forgiven/ Settlement/ Disposal   (1,315)
Non-cash changes, Accretion   3
Non-cash changes, Foreign exchange movements and change in estimates   0
Ending balance   0
Leases    
Disclosure Of Reconciliation Of Liabilities Arising From Financing Activities [Line Items]    
Beginning balance 7,267 1,455
Cash Flows (1,037) (955)
Non-cash changes, Acquisition 7,963 7,412
Non-cash changes, Debt forgiven/ Settlement/ Disposal 0 0
Non-cash changes, Accretion 0 0
Non-cash changes, Foreign exchange movements and change in estimates 198 (437)
Ending balance $ 14,391 $ 7,475