Balance Sheet Information (Tables)
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3 Months Ended |
Mar. 30, 2025 |
Balance Sheet Information [Abstract] |
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Schedule of Allowance for Credit Loss on Accounts Receivable |
| | | | | | | | | | | | | | | | | | | Three-Month Period Ended | Allowance for credit losses - Accounts Receivable | | | | | March 30, 2025 | | March 31, 2024 | | | | | | | | | Balance at beginning of period | | | | | $ | 279 | | | $ | 180 | | Add | | | | | | | | Provision for credit losses | | | | | 355 | | | (84) | | Deduct | | | | | | | | | | | | | | | | Less recoveries of accounts charged-off | | | | | (37) | | | — | | Net account charge-offs (recoveries) | | | | | (37) | | | — | | Balance at end of period | | | | | $ | 597 | | | $ | 96 | |
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Schedule of Inventory |
| | | | | | | | | | | | Inventory | March 30, 2025 | | December 29, 2024 | | | | | Raw materials | $ | 3,025 | | | $ | 3,218 | | Work-in-process | 2,230 | | | 981 | | Supplies and spare parts | 8,966 | | | 10,222 | | Finished goods | — | | | 114 | | Total inventory, current | 14,221 | | | 14,535 | | Inventory, non current (1) | 4,940 | | | 4,747 | | Total inventory | $ | 19,161 | | | $ | 19,282 | | __________________ (1)Inventory, non-current consists of spare parts that will not be used within twelve months
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Schedule of Prepaid Expenses and Other Current Assets |
| | | | | | | | | | | | Prepaid expenses and other current assets | March 30, 2025 | | December 29, 2024 | | | | | Prepaid expenses | $ | 4,477 | | | $ | 3,984 | | | | | | Tools purchased for customers (1) | 15,608 | | | 16,923 | | Deferred contract costs | 1,134 | | | 1,253 | | Investment tax credit receivable | 4,103 | | | 1,316 | | | | | | | | | | Total prepaid assets and other current assets | $ | 25,322 | | | $ | 23,476 | |
__________________ (1)The Company acquires tools for its customers that consist of manufacturing equipment its customers will own but will be installed and qualified in a SkyWater facility. Prior to the customer obtaining ownership and control of the equipment, the Company records the costs associated with the acquisition, installation, and qualification of the equipment within prepaid expenses and other current assets. These deferred costs are recognized as cost of revenue when control of the equipment transfers to the customer and the related tools revenue is recognized
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Schedule of Property and Equipment, Net |
| | | | | | | | | | | | Property and equipment, net | March 30, 2025 | | December 29, 2024 | | | | | Land | $ | 5,396 | | | $ | 5,396 | | Buildings and improvements | 89,443 | | | 89,443 | | Machinery and equipment | 204,299 | | | 202,667 | | Property and equipment placed in service, at cost (1) | 299,138 | | | 297,506 | | Less: accumulated depreciation (1) | (154,498) | | | (150,657) | | Property and equipment placed in service, net (1) | 144,640 | | | 146,849 | | Property and equipment not yet in service | 18,202 | | | 18,582 | | Total property and equipment, net | $ | 162,842 | | | $ | 165,431 | |
__________________ (1)Includes $10,594 and $10,805 of cost and $2,289 and $2,398 of accumulated depreciation associated with capital assets subject to financing leases at March 30, 2025 and December 29, 2024, respectively. In addition, the March 30, 2025 balance reflects a $337 reduction of the cost basis of machinery and equipment arising from an investment tax credit on qualifying capital expenditures recognized during the three-month periods ended March 30, 2025. The December 29, 2024 balance reflects a $4,824 reduction of the cost basis of machinery and equipment arising from an investment tax credit on qualifying capital expenditures recognized in fiscal year 2024.
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Schedule of Intangible Assets |
| | | | | | | | | | | | Intangible assets, net | March 30, 2025 | | December 29, 2024 | | | | | Software and licensed technology | $ | 13,742 | | | $ | 13,742 | | Less: accumulated amortization | (8,279) | | | (7,950) | | Intangible assets placed in service, net | 5,463 | | | 5,792 | | Intangible assets not yet in service | 2,323 | | | 1,987 | | Total intangible assets, net | $ | 7,786 | | | $ | 7,779 | |
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Schedule of Remaining Estimated Aggregate Annual Amortization Expense |
Remaining estimated aggregate annual amortization expense for intangible assets placed in service is as follows for future fiscal years: | | | | | | | Amortization Expense | | | Remainder of 2025 | $ | 994 | | 2026 | 1,029 | | 2027 | 653 | | 2028 | 653 | | 2029 | 653 | | Thereafter | 1,481 | | Total | $ | 5,463 | |
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Schedule of Other Assets |
| | | | | | | | | | | | Other Assets | March 30, 2025 | | December 29, 2024 | | | | | Inventory, non-current (1) | $ | 4,940 | | | $ | 4,747 | | | | | | Operating lease right-of-use assets | 37 | | | 49 | | Investment tax credit receivable | 337 | | | 3,200 | | Other assets | 470 | | | 492 | | Total other assets | $ | 5,784 | | | $ | 8,488 | |
__________________ (1)Inventory, non-current consists of spare parts that will not be used within twelve months
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Schedule of Accrued Expenses |
| | | | | | | | | | | | Accrued Expenses | March 30, 2025 | | December 29, 2024 | | | | | Accrued compensation | $ | 7,941 | | | $ | 6,392 | | | | | | Accrued commissions | 610 | | | 473 | | | | | | Accrued royalties | 264 | | | 447 | | Current portion of operating lease liabilities | 39 | | | 52 | | Current portion of finance lease liabilities | 722 | | | 608 | | Accrued inventory | 718 | | | 623 | | Accrued warranty (1) | 2,687 | | | 3,752 | | Accrued vendor purchase commitments (2) | 7,117 | | | 13,718 | | Accrued accounts payable | 433 | | | 818 | | Accrued accounts payable - customer | 2,258 | | | 2,175 | | Accrued utilities | 1,167 | | | 1,934 | | Other accrued expenses | 3,986 | | | 5,837 | | Total accrued expenses | $ | 27,942 | | | $ | 36,829 | |
__________________ (1)The Company accrued provisions for warranties of $2,687 and $3,752 as of March 30, 2025 and December 29, 2024, respectively. Warranty expense for the three-month period ended March 30, 2025 was $239, and warranty credits for the three-month period ended March 30, 2025 were $1,304. Warranty expense for the three-month period ended March 31, 2024 was $426, and warranty credits for the three-month period ended March 31, 2024 were $925. (2)The Company accrues outstanding obligations on vendor purchase orders for goods or services provided to the Company for which invoices have not yet been received.
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Schedule of Other Noncurrent Liabilities |
| | | | | | | | | | | | Other long-term liabilities | March 30, 2025 | | December 29, 2024 | | | | | Finance lease obligations | $ | 8,374 | | | $ | 8,652 | | | | | | | | | | Liability for uncertain tax positions | 69 | | | 69 | | Total other long-term liabilities | $ | 8,443 | | | $ | 8,721 | |
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