Annual and transition report of foreign private issuers pursuant to Section 13 or 15(d)

Consolidated Statements of Cash Flows

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Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Cash flows from operating activities:      
Net income (loss) $ (7,019) $ (16,925) $ 237
Adjustments to reconcile net income (loss) to net cash provided by (used in) operating activities:      
Loss on sale of property and equipment 18
Depreciation and amortization 1,102 1,076 773
Accrued interest (28) (87) (151)
Share-based compensation to employees and consultants 1,937 2,174 1,597
Exchange differences on cash and cash equivalents 379 608 (143)
Remeasurement of Derivatives liability (28)
Changes in assets and liabilities:      
Decrease in trade receivables 9 261 560
Decrease (increase) in inventories 749 (312) 181
Decrease (increase) in other receivables and prepaid expenses 150 (119) (185)
Decrease in operating lease right-of-use assets 527 461 400
Increase (decrease) in trade payables (153) 99 236
Decrease in operating lease liabilities (638) (916) (337)
Increase (decrease) in accrued liabilities and other payables 204 14 (464)
Decrease in deferred revenues (32) (175)
Net cash provided by (used in) operating activities (2,763) (13,698) 2,501
Cash flows from investing activities:      
Capitalization of intangible assets (42) (161)
Purchase of property and equipment (954) (1,274) (1,428)
Proceed from short term deposit 50,238
Investment in restricted deposits (270)
Investment in deposits (20,000) (30,000)
Proceeds from sale of property and equipment 68 33
Net cash provided by (used in) investing activities (1,156) 28,922 (31,556)
Cash flows from financing activities:      
Proceeds from issuance of shares and warrants less issuance expenses 32,743
Exercise of options and warrants into shares 1,108 1,874 6,017
Net cash provided by financing activities 1,108 1,874 38,760
Effect of exchange rate changes on cash and cash equivalents and restricted deposits (379) (608) 143
Net increase (decrease) in cash and cash equivalents and restricted deposits (3,190) 16,490 9,848
Cash and cash equivalents and restricted cash at the beginning of the year 29,864 13,374 3,526
Cash and cash equivalents and restricted deposits at the end of the year 26,674 29,864 13,374
Supplemental discloser of non-cash activities:      
Right of use assets recognized with corresponding lease liabilities 886 219 557
Classification of issuance costs liability to equity 50
Capitalization of Share-based compensation to inventory 33 37
Supplemental discloser of cash activities:      
Cash paid during the year for taxes 8 31
Reconciliation of cash, cash equivalents and restricted cash at the end of the year      
Cash and cash equivalents 26,674 29,653 13,148
Restricted deposits short term 23 13
Restricted deposits long term 188 213
Total cash and cash equivalents and restricted deposits $ 26,674 $ 29,864 $ 13,374