Annual report pursuant to Section 13 and 15(d)

Note 7 - Debt (Tables)

v3.21.1
Note 7 - Debt (Tables)
12 Months Ended
Dec. 31, 2020
Notes Tables  
Schedule of Line of Credit Facilities [Table Text Block]
   
December 31,
   
December 31,
 
   
2020
   
2019
 
Revolver:
               
Gross availability
  $
11,750
    $
11,750
 
Outstanding draws
   
-
     
-
 
Letters of credit
   
(800
)    
(1,750
)
Landlord reserves
   
(162
)    
(150
)
Availability on Revolver
  $
10,788
    $
9,850
 
Schedule of Maturities of Long-term Debt [Table Text Block]
   
2021
   
2022
   
2023
   
2024
   
2025 and
thereafter
   
Total
 
Term Loan
  $
4,615
    $
4,615
    $
4,615
    $
8,075
    $
-
    $
21,920
 
Equipment Line
   
1,600
     
1,600
     
1,600
     
1,200
     
-
     
6,000
 
2019 Equipment Line
   
2,500
     
2,000
     
2,000
     
3,500
     
-
     
10,000
 
Unamortized value of debt issuance costs
   
(17
)    
(17
)    
(17
)    
(15
)    
-
     
(66
)
Other financing
   
725
     
222
     
-
     
-
     
-
     
947
 
Total
  $
9,423
    $
8,420
    $
8,198
    $
12,760
    $
-
    $
38,801
 
Schedule of Debt [Table Text Block]
   
December 31, 2020
   
December 31, 2019
 
   
Current
Portion
   
Long-Term
Portion
   
Total
   
Current
Portion
   
Long-Term
Portion
   
Total
 
Term Loan
  $
4,615
    $
17,305
    $
21,920
    $
5,768
    $
21,919
    $
27,687
 
Equipment Line
   
1,600
     
4,400
     
6,000
     
1,600
     
6,000
     
7,600
 
2019 Equipment Line
   
2,500
     
7,500
     
10,000
     
79
     
1,495
     
1,574
 
Unamortized value of debt issuance costs
   
(17
)    
(49
)    
(66
)    
(17
)    
(66
)    
(83
)
Other financing
   
725
     
222
     
947
     
652
     
947
     
1,599
 
Total
  $
9,423
    $
29,378
    $
38,801
    $
8,082
    $
30,295
    $
38,377