Quarterly report [Sections 13 or 15(d)]

Condensed Consolidated Statements of Cash Flows

v3.25.3
Condensed Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended 12 Months Ended
Sep. 30, 2025
Mar. 31, 2025
Sep. 30, 2024
Mar. 31, 2024
Sep. 30, 2025
Sep. 30, 2024
Dec. 31, 2024
Cash flows from operating activities:              
Net loss for the period $ (5,891) $ (6,026) $ (4,974) $ (4,146) $ (17,754) $ (13,528)  
Adjustments to reconcile net loss to net cash flows from operating activities:              
Allowance for credit losses (recoveries)         217 (507)  
Depreciation and amortization         565 740  
Share-based compensation         6,199 5,204  
Payment-in-kind interest         490 0  
Amortization of debt issuance costs and original issue discounts         60 51  
Amortization of lease right of use assets, net of accretion in lease liabilities         821 692  
Increase (decrease) in cash resulting from changes in:              
Accounts receivable         497 (157)  
Inventory, net         (16) 434  
Prepaid expenses and other current assets         (696) 88  
Other assets         (192) (40)  
Accounts payable and accrued expenses         (1,251) 1,373  
Lease liabilities         (716) (635)  
Contract liabilities         (69) (1,422)  
Net cash flows from operating activities         (11,845) (7,707) $ (9,000)
Cash flows from investing activities:              
Purchases of property and equipment         (473) (12)  
Net cash flows from investing activities         (473) (12)  
Cash flows from financing activities:              
Proceeds from offering of common stock, net of offering costs         3,263 16,183  
Proceeds from issuance of note payable, net of financing costs and discount         28,653 0  
Repayment of 2020 senior secured convertible note         0 (10,000)  
Proceeds from stock option exercises         49 21  
Payments for taxes related to net share settlement of equity awards         (1,661) (340)  
Proceeds from issuance of common stock under employee stock purchase plan         311 288  
Net cash flows from financing activities         30,615 6,152  
Net change in cash, cash equivalents and restricted cash         18,297 (1,567)  
Cash, cash equivalents and restricted cash, beginning of period   $ 20,104   $ 23,140 20,104 23,140 23,140
Cash, cash equivalents and restricted cash, end of period 38,401   21,573   38,401 21,573 20,104
Cash and cash equivalents 38,221   21,573   38,221 21,573 20,104
Restricted cash included in other assets, non-current 180   0   180 0  
Total cash, cash equivalents and restricted cash $ 38,401   $ 21,573   38,401 21,573 $ 20,104
Cash paid for:              
Income taxes         69 41  
Interest         $ 490 $ 480