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SUPPLEMENTARY CONDENSED INTERIM CONSOLIDATED BALANCE SHEETS INFORMATION (Tables)
6 Months Ended
Jun. 30, 2024
Supplementary Consolidated Balance Sheets Information [Abstract]  
Schedule of Other Current Assets
   
June 30,
2024
   
December 31,
2023
 
   
Unaudited
   
Audited
 
             
Governmental authorities *)
 
$
3,512
   
$
3,186
 
Prepaid expenses
   
6,509
     
6,227
 
Deferred charges
   
4,153
     
8,320
 
Advance payments to suppliers
   
3,054
     
3,716
 
Other
   
2,788
     
2,850
 
                 
     
20,016
   
$
24,299
 
Schedule of Other Current Liabilities
   
June 30,
2024
   
December 31,
2023
 
   
Unaudited
   
Audited
 
             
Payroll and related employee accruals
 
$
14,374
   
$
14,017
 
Governmental authorities
   
1,842
     
2,301
 
Holdback Amount (see Note 15)
   
582
     
-
 
Deferred rent
   
1,128
     
-
 
Other
   
153
     
113
 
                 
   
$
18,079
   
$
16,431
 
Schedule of Line of Credit Facilities
   
Interest rate
   
Maturity
   
June 30,
2024
 
                   
Credit facility from bank
 
U.S. Prime Plus 2.25%
    2024    
$
-
 
                         
Schedule of Long-Term Loan
   
Interest rate
   
Maturity
   
June 30,
2024
 
                   
Other loan
 
14%
 
  2026    
$
2,000
 
                         
Schedule of Other Long-Term Liabilities
   
June 30,
2024
   
December 31,
2023
 
   
Unaudited
   
Audited
 
             
Earn-Out Consideration, Holdback Amount and Bonus Amount (see Note 15)
 
$
9,441
   
$
11,982
 
Other
   
700
     
934
 
                 
     
10,141
   
$
12,916