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Debt (Tables)
6 Months Ended
Dec. 31, 2021
Debt Disclosure [Abstract]  
Debt schedule
Debt is comprised of the following (in thousands):
12/31/202106/30/2021
Short-term and current maturities
Loan and Security Agreement (Line of credit)13,746 9,153 
Loan and Security Agreement (Term Loan)1,509 1,509 
Brazil Loans6,714 5,297 
21,969 15,959 
Long-term debt (net of current portion)
Loan and Security Agreement (Term Loan)5,158 6,010 
Brazil Loans4,000 — 
9,158 6,010 
$31,127 $21,969 
Schedule of short-term debt, Brazilian subsidiary The Company’s Brazilian subsidiary has the following loans of December 31, 2021 (in thousands):
Lending InstitutionInterest RateBeginning DateEnding DateOutstanding Balance
Santander5.98%February 2021February 2022$1,219 
Brasil2.80%May 2021May 2022$795 
Bradesco1.88%July 2021July 2022$1,170 
Bradesco2.05%August 2021July 2022$400 
Santander2.15%August 2021July 2022$731 
Brasil2.10%August 2021August 2022$1,400 
Itau4.52%October 2021September 2024$4,000 
Santander2.71%December 2021December 20221,000 
$10,714