v3.25.2
INTERIM CONSOLIDATED STATEMENTS OF FINANCIAL POSITION - USD ($)
$ in Thousands
Jun. 30, 2025
Dec. 31, 2024
CURRENT ASSETS:    
Cash and cash equivalents $ 19,981 $ 10,118
User funds 3,298 4,494
Trade receivables, net 4,043 3,057
Short-term bank deposit 14,168 27,153
Other receivables and prepaid expenses 2,333 1,281
Current assets 43,823 46,103
NON-CURRENT ASSETS:    
Property and equipment, net 301 420
Right-of-use assets, net 2,005 1,191
Intangible assets, net 8,018 8,852
Goodwill 15,343 15,040
Deferred taxes 519 536
Other long-term assets 1,626 1,637
Non-current assets 27,812 27,676
Total assets 71,635 73,779
CURRENT LIABILITIES:    
Current maturity of lease liabilities 832 615
Trade payables 5,666 2,731
User accounts 3,298 4,494
Warrants liabilities 2,958 2,450
Accrued expenses and other short-term liabilities 7,612 7,023
Current liabilities 20,366 17,313
LONG TERM LIABILITIES:    
Lease liabilities 1,155 339
Employee benefit liabilities, net 1,349 1,239
Long term liabilities 2,504 1,578
EQUITY: (Note 4)    
Share capital 1 0 [1]
Share premium 263,799 261,769
Foreign currency translation reserve 316 (307)
Reserve from remeasurement of defined benefit plans 96 96
Accumulated deficit (215,447) (206,670)
Total equity 48,765 54,888
Total liabilities and equity $ 71,635 $ 73,779
[1] Represents an amount lower than $1