v3.26.1
Reconciliation of Liabilities Arising from Financing Activities (Details) - CAD ($)
$ in Thousands
12 Months Ended
Mar. 31, 2026
Mar. 31, 2025
Disclosure of reconciliation of liabilities arising from financing activities [line items]    
Beginning balance $ 115,278 $ 121,464
Changes in liabilities arising from financing activities [abstract]    
Repayments (58,832) (123,561)
Proceeds 61,385 102,706
Total cash flow 2,553 (20,855)
Business acquisition (note 4) 11,748 13,455
Contingent consideration adjustment (note 20) (2,088) (4,312)
Amortization of finance costs 190 242
Interest accretion on balances of purchase price payable 1,186 675
Impacts of foreign exchange (2,082) 4,609
Total non-cash 8,954 14,669
Ending balance (a) 126,785 115,278
Current portion of contingent consideration 3,185 0
Contingent consideration    
Disclosure of reconciliation of liabilities arising from financing activities [line items]    
Beginning balance 5,359 4,082
Changes in liabilities arising from financing activities [abstract]    
Repayments 0 0
Proceeds 0 0
Total cash flow 0 0
Business acquisition (note 4) 2,534 5,104
Contingent consideration adjustment (note 20) (2,088) (4,312)
Amortization of finance costs 0 0
Interest accretion on balances of purchase price payable 0 256
Impacts of foreign exchange 84 229
Total non-cash 530 1,277
Ending balance (a)   5,359
Long-term debt    
Disclosure of reconciliation of liabilities arising from financing activities [line items]    
Beginning balance 109,919 117,382
Changes in liabilities arising from financing activities [abstract]    
Repayments (58,832) (123,561)
Proceeds 61,385 102,706
Total cash flow 2,553 (20,855)
Business acquisition (note 4) 9,214 8,351
Contingent consideration adjustment (note 20) 0 0
Amortization of finance costs 190 242
Interest accretion on balances of purchase price payable 1,186 419
Impacts of foreign exchange (2,166) 4,380
Total non-cash 8,424 13,392
Ending balance (a) $ 120,896 $ 109,919