Corporate Information And Statement Of Ifrs Compliance [Abstract]
| Concept |
As at 2023-12-31 |
2023-01-01 to 2023-12-31 |
As at 2022-12-31 |
|---|---|---|---|
| Corporate information and statement of IFRS compliance [abstract] | |||
| Name of reporting entity or other means of identification | — |
Truecaller AB (publ)
|
— |
| Domicile of entity | — |
Stockholm
|
— |
| Legal form of entity | — |
publikt aktiebolag
|
— |
| Country of incorporation | — |
Sverige
|
— |
| Address of entity's registered office | — |
Mäster Samuelsgatan 56, 111 21
|
— |
| Description of nature of entity's operations and principal activities | — |
Truecaller AB och dess dotterföretag (sammantaget ”Koncernen”) utvecklar och utger
|
— |
| Statement of IFRS compliance [text block] | — |
Grunder för rapporternas upprättande
|
— |
| Disclosure of amounts to be recovered or settled after twelve months for classes of assets and liabilities that contain amounts to be recovered or settled both no more and more than twelve months after reporting date [text block] | — | — | — |
| Disclosure of amounts to be recovered or settled after twelve months for classes of assets and liabilities that contain amounts to be recovered or settled both no more and more than twelve months after reporting date [abstract] | |||
| Disclosure of amounts to be recovered or settled after twelve months for classes of assets and liabilities that contain amounts to be recovered or settled both no more and more than twelve months after reporting date [line items] | |||
| Current trade receivables |
75 965
SEK
|
— |
60 704
SEK
|
| Current trade payables |
46 149
SEK
|
— |
69 835
SEK
|
| Disclosure of objectives, policies and processes for managing capital [text block] | — |
Likviditetsrisk och refinansieringsrisk
|
— |