v3.26.1
Short-Term Debt - Schedule of Debt From Credit Institutions (Details) - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2026
Dec. 31, 2025
Schedule of Debt From Credit Institutions [Line Items]    
Interest rate 90.00%  
As of January 1, 2026 $ 5,852  
Drawdown during the period 72,993  
Repayments during the period 70,742  
As of June 30, 2026 8,103  
Short term 5,441  
Long term $ 2,662
Caixabank [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 3.51%  
Conditions Eur 3m + 1.20%  
Maturity date Oct. 22, 2026  
As of January 1, 2026 $ 798  
Drawdown during the period 1,613  
Repayments during the period 1,661  
As of June 30, 2026 750  
Short term 750  
Long term  
Bankinter [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 5.23%  
Conditions Eur 12m + 2.50%  
Maturity date Jul. 23, 2026  
As of January 1, 2026  
Drawdown during the period 149  
Repayments during the period 149  
As of June 30, 2026  
Short term  
Long term  
Bsantander [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type Working capital  
Interest rate 4.32%  
Conditions Eur 6m + 1.86%  
Maturity date May 11, 2026  
As of January 1, 2026  
Drawdown during the period 2,779  
Repayments during the period 2,779  
As of June 30, 2026  
Short term  
Long term  
BBVA [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Conditions Eur 3m + 1.40%  
Maturity date Oct. 05, 2026  
As of January 1, 2026 $ (1)  
Drawdown during the period  
Repayments during the period 6,365  
As of June 30, 2026  
Short term  
Long term  
BBVA Click & Pay [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 4.05%  
Conditions Eur 6m + 1.5%  
Maturity date Jun. 21, 2027  
As of January 1, 2026 $ 250  
Drawdown during the period 258  
Repayments during the period 250  
As of June 30, 2026 258  
Short term 258  
Long term  
Caixabank One [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 3.51%  
Conditions Eur 3m + 1.20%  
Maturity date Oct. 22, 2026  
As of January 1, 2026 $ 1,255  
Drawdown during the period 2,509  
Repayments during the period 2,509  
As of June 30, 2026 1,255  
Short term 1,255  
Long term  
Abanca [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 4.16%  
Conditions Eur 3m + 1.85%  
Maturity date May 20, 2027  
As of January 1, 2026 $ 228  
Drawdown during the period 568  
Repayments during the period 512  
As of June 30, 2026 284  
Short term 284  
Long term  
Unicaja [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 3.71%  
Conditions Eur 3m + 1.40%  
Maturity date Jun. 23, 2027  
As of January 1, 2026  
Drawdown during the period 1,023  
Repayments during the period 795  
As of June 30, 2026 228  
Short term 228  
Long term  
Ibercaja Multiproducto Multiempresa [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 3.80%  
Conditions Eur 6m + 1.25%  
Maturity date Mar. 15, 2027  
As of January 1, 2026 $ 440  
Drawdown during the period 794  
Repayments during the period 778  
As of June 30, 2026 456  
Short term 456  
Long term  
Targobank [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 1.51%  
Conditions Fixed rate  
Maturity date May 29, 2026  
As of January 1, 2026 $ 38  
Drawdown during the period  
Repayments during the period 38  
As of June 30, 2026  
Short term  
Long term  
Deutsche [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type Term Loan  
Interest rate 4.38%  
Conditions Eur 12m + 1.65%  
Maturity date Nov. 23, 2026  
As of January 1, 2026 $ 79  
Drawdown during the period  
Repayments during the period 43  
As of June 30, 2026 36  
Short term 36  
Long term  
Bankia [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type Term Loan  
Interest rate 1.50%  
Conditions Fixed rate  
Maturity date Apr. 27, 2026  
As of January 1, 2026 $ 20  
Drawdown during the period  
Repayments during the period 20  
As of June 30, 2026  
Short term  
Long term  
Bsabadell [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type Term Loan  
Interest rate 4.80%  
Conditions Eur 12m + 1.10%  
Maturity date Apr. 29, 2028  
As of January 1, 2026 $ 237  
Drawdown during the period  
Repayments during the period 49  
As of June 30, 2026 188  
Short term  
Long term $ 87  
Bankinter One [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 3.56%  
Conditions Eur 3m + 1.25%  
Maturity date Jul. 23, 2026  
As of January 1, 2026 $ 179  
Drawdown during the period 283  
Repayments during the period 222  
As of June 30, 2026 240  
Short term 240  
Long term  
Caixabank Two [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 1.30%  
Conditions Fixed rate  
Maturity date Oct. 26, 2026  
As of January 1, 2026  
Drawdown during the period 2,678  
Repayments during the period 2,676  
As of June 30, 2026 2  
Short term 2  
Long term  
Deutsche Two [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 4.23%  
Conditions Eur 12m + 1.50%  
Maturity date Sep. 05, 2027  
As of January 1, 2026  
Drawdown during the period 5,079  
Repayments during the period 4,908  
As of June 30, 2026 171  
Short term  
Long term $ 171  
Ibercaja Multiproducto Multiempresa One [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 3.80%  
Conditions Eur 3m + 1.25%  
Maturity date Mar. 15, 2027  
As of January 1, 2026 $ 62  
Drawdown during the period 123  
Repayments during the period 93  
As of June 30, 2026 92  
Short term 92  
Long term  
Abanca One [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 1.80%  
Conditions Fixed rate  
Maturity date Jul. 05, 2027  
As of January 1, 2026 $ 219  
Drawdown during the period 1,419  
Repayments during the period 1,410  
As of June 30, 2026 228  
Short term  
Long term $ 228  
Caixabank Three [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 1.30%  
Conditions Fixed rate  
Maturity date Oct. 26, 2026  
As of January 1, 2026  
Drawdown during the period 5,739  
Repayments during the period 5,512  
As of June 30, 2026 227  
Short term 227  
Long term  
Bankinter Three [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 5.23%  
Conditions Eur 12m + 2.50%  
Maturity date Jul. 23, 2026  
As of January 1, 2026  
Drawdown during the period 372  
Repayments during the period 372  
As of June 30, 2026  
Short term  
Long term  
Bankinter Línea Pago Impuestos [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 1.10%  
Conditions One-time fee of 1.1% for 3 months  
Maturity date Jul. 23, 2026  
As of January 1, 2026  
Drawdown during the period  
Repayments during the period  
As of June 30, 2026  
Short term  
Long term  
Bsantander One [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 4.71%  
Conditions Eur 6m + 2.25%  
Maturity date May 13, 2026  
As of January 1, 2026  
Drawdown during the period 7,716  
Repayments during the period 7,716  
As of June 30, 2026  
Short term  
Long term  
BBVA One [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 3.71%  
Conditions Eur 3m + 1.40%  
Maturity date Oct. 05, 2026  
As of January 1, 2026 $ (2)  
Drawdown during the period 4,493  
Repayments during the period 4,208  
As of June 30, 2026 283  
Short term 283  
Long term  
BBVA Click & Pay One [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 4.05%  
Conditions Eur 6m + 1.5%  
Maturity date Jun. 21, 2027  
As of January 1, 2026 $ 285  
Drawdown during the period 285  
Repayments during the period 285  
As of June 30, 2026 285  
Short term 285  
Long term  
Caixabank Four [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type Working capital  
Interest rate 4.23%  
Conditions Eur 12m + 1.50%  
Maturity date Nov. 27, 2026  
As of January 1, 2026 $ (5)  
Drawdown during the period 12,325  
Repayments during the period 11,983  
As of June 30, 2026 337  
Short term 337  
Long term  
Ibercaja [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 3.56%  
Conditions Eur 3m + 1.25%  
Maturity date Mar. 15, 2027  
As of January 1, 2026 $ 123  
Drawdown during the period 2,072  
Repayments during the period 2,025  
As of June 30, 2026 170  
Short term 170  
Long term  
Deutsche Three [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 4.24%  
Conditions Eur 12m + 1.50%  
Maturity date Sep. 05, 2027  
As of January 1, 2026  
Drawdown during the period 3,979  
Repayments during the period 3,865  
As of June 30, 2026 114  
Short term  
Long term $ 114  
BBVA Two [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type Term Loan  
Interest rate 4.60%  
Conditions Fixed rate  
Maturity date Jun. 03, 2031  
As of January 1, 2026 $ 0  
Drawdown during the period 569  
Repayments during the period 0  
As of June 30, 2026 569  
Short term 105  
Long term  
Deutsche Four [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type Working capital  
Interest rate 4.05%  
Conditions Eur 6m + 1.50%  
Maturity date Jul. 04, 2029  
As of January 1, 2026 $ 1,255  
Drawdown during the period 1,899  
Repayments during the period 1,784  
As of June 30, 2026 1,370  
Short term  
Long term $ 1,370  
Caixabank Five [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type  
Interest rate 4.23%  
Conditions Eur 12m + 1.50%  
Maturity date Nov. 27, 2026  
As of January 1, 2026 $ (2)  
Drawdown during the period 6,937  
Repayments during the period 6,885  
As of June 30, 2026 50  
Short term 50  
Long term  
Deutsche Five [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type Working capital  
Interest rate 4.05%  
Conditions Eur 6m + 1.50%  
Maturity date Jul. 04, 2029  
As of January 1, 2026 $ 228  
Drawdown during the period 684  
Repayments during the period 684  
As of June 30, 2026 228  
Short term  
Long term $ 228  
Ibercaja multipruducto [Member]    
Schedule of Debt From Credit Institutions [Line Items]    
Facility type Working capital  
As of January 1, 2026 $ 21  
Drawdown during the period  
Repayments during the period 21  
As of June 30, 2026  
Short term  
Long term