Quarterly report [Sections 13 or 15(d)]

Contingencies & Provisions (Tables)

v3.25.1
Contingencies & Provisions (Tables)
3 Months Ended
Mar. 31, 2025
Contingencies & Provisions  
Schedule of amounts incurred in relation to the redundancy program

Contractual termination benefits

One-time employee termination benefits

Total restructuring cost

Cumulative amount incurred to, December 31, 2024

$

4,102

$

1,809

$

5,911

Amount incurred in three months ended March 31,2025

263

1,399

1,662

Remaining amount expected to be incurred in future periods

573

573

Total amount expected to be incurred

$

4,365

$

3,781

$

8,146

Schedule of changes in the restructuring provision

Contractual termination benefits

One-time employee termination benefits

Total restructuring provision

    

Liability at December 31, 2024

$

4,102

$

1,809

$

5,911

Costs incurred and charged to selling, general and administrative expenses

271

1,267

1,538

Adjustment to liability

(8)

132

124

Amounts utilised during the period

(2,233)

(1,989)

(4,222)

Effects of foreign exchange rates

57

29

86

Liability at March 31, 2025

$

2,189

$

1,248

$

3,437