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Playground Ventures Announces Appointment of CFO and Loan Agreements

Playground Ventures Announces Appointment of CFO and Loan Agreements

游乐场风险投资公司宣布任命首席财务官和贷款协议
newsfile ·  2022/08/26 17:10

Toronto, Ontario--(Newsfile Corp. - August 26, 2022) - Playground Ventures Inc. (CSE: PLAY) (the "Company" or "Playground") announces that further to its press release of June 17, 2022, due to unforeseen circumstances, Ms. Kaylee Whitcroft is unable to continue her tenure as the Chief Financial Officer of the Company. Mr. Whitcroft will continue as the Company's Operations Accounting Manager. The Company and the board of directors have begun the search to find Ms. Whitcroft's replacement. The board of directors have approved the appointment of Mr. Jon Gill as the Company's Interim Chief Financial Officer.

安大略省多伦多-(Newsfile Corp.-2022年8月26日)-游乐场风险投资公司(CSE:Play)(The公司“或”操场“)宣布,继2022年6月17日的新闻稿后,由于不可预见的情况,凯莉·惠特克罗夫特女士无法继续担任公司首席财务官。惠特克罗夫特先生将继续担任公司运营会计经理。公司和董事会已开始寻找惠特克罗夫特女士的继任者。董事会已批准任命乔恩·吉尔先生为公司临时首席财务官。

In addition, the Company announces that it has issued secured promissory grid notes (the "Bridge Notes") to certain lenders (the "Lenders") of the Company for available proceeds to the Company of up to $70,000 (the "Loan"). The Loan has a term until December 31, 2022 (the "Term"), and is secured against all of the assets of the Company. The Corporation may draw on the available proceeds of the Loan from time to time during the Term, and any amounts outstanding under the Bridge Note shall bear interest of 8% per annum, payable with any outstanding principal at the end of the Term.

此外,本公司宣布已发行有担保的期票(“舰桥笔记“)向某些贷款人(”出借人“)向本公司提供最高达70,000元的可用款项(”贷款)。贷款期限至2022年12月31日(术语“),并以本公司的所有资产作抵押。本公司可不时于该期限内动用该笔贷款的可得款项,而根据过渡性票据支付的任何未偿还款项须承担年息8%,并于期限结束时与任何未偿还本金一并支付。

The Loan contains certain other customary financial and other covenants, and will be used for general working capital purposes. The Bridge Notes are intended to provide immediate capital to the Company while it seeks additional sources of capital, which may include the future issuance of other debt or equity securities, including, without limitation, a formal credit facility, whether with the Lenders or otherwise, to meet the Company's long term capital needs.

这笔贷款包含某些其他惯例金融和其他契约,并将用于一般营运资金用途。桥接票据的目的是在公司寻求额外资本来源的同时向其提供即时资本,其中可能包括未来发行其他债务或股权证券,包括但不限于与贷款人或其他方面的正式信贷安排,以满足公司的长期资本需求。

One of the Lenders is a director, officer and a shareholder (the "Insider Subscription") of the Company. The Insider Subscription is considered to be a "related party transaction" as defined under Multilateral Instrument 61-101 - Protection of Minority Security Holders in Special Transactions ("MI 61-101"). The Company has relied on exemptions from the formal valuation and minority shareholder approval requirements contained in 5.5(b) and 5.7(1)(e) of MI 61-101, as the Company is not listed on a specified market and the Company is in financial hardship. The Company did not file a material change report more than 21 days before issuing the Bridge Notes as the details of the above mentioned Insider Subscription were not settled until shortly prior to closing, and the Company wished to close on an expedited basis.

其中一家贷款人是董事的一名高管和股东(The内幕认购“)。内幕认购被视为多边文件61-101所界定的”关联方交易“-特殊交易中少数股权持有人的保护("米其林61-101“)。由于本公司并非在指定市场上市,且本公司处于财务困境,本公司一直依赖豁免遵守MI 61-101第5.5(B)及5.7(1)(E)条所载的正式估值及小股东批准要求。本公司并未于发行桥式票据前超过21天提交重大变动报告,因为上述内幕认购事项的细节在快结束前才敲定,而本公司希望尽快完成交易。

The Loan was approved by the members of the board of directors of the Company who are independent for the purposes of the Loan, being all directors other than Mr. Gill. No special committee was established in connection with the Bridge Notes, and no materially contrary view or abstention was expressed or made by any director of the Company in relation thereto.

这笔贷款是由本公司董事会成员批准的,他们就贷款而言是独立的,他们是除吉尔先生以外的所有董事。本公司并无就桥梁注释成立特别委员会,本公司任何董事亦无就此发表重大相反意见或投弃权票。

For further information, please contact:

如需更多信息,请联系:

Jon Gill, Chairman and Interim Chief Financial Officer

乔恩·吉尔,董事长兼临时首席财务官

Tel: 416-361-1913

电话:416-361-1913

Email: investors@playgroundventures.com

电子邮件:Investors@playround ventures.com

Forward Looking Information

前瞻性信息

This news release contains certain "forward-looking information" within the meaning of applicable securities law. Forward looking information is frequently characterized by words such as "plan", "expect", "project", "intend", "believe", "anticipate", "estimate", "may", "will", "would", "potential", "proposed" and other similar words, or statements that certain events or conditions "may" or "will" occur. These statements are only predictions. Forward-looking information is based on the opinions and estimates of management at the date the information is provided, and is subject to a variety of risks and uncertainties and other factors that could cause actual events or results to differ materially from those projected in the forward-looking information. For a description of the risks and uncertainties facing the Company and its business and affairs, readers should refer to the Company's Management's Discussion and Analysis. The Company undertakes no obligation to update forward-looking information if circumstances or management's estimates or opinions should change, unless required by law. The reader is cautioned not to place undue reliance on forward-looking information.

本新闻稿包含适用证券法所指的某些“前瞻性信息”。前瞻性信息的特点常常是“计划”、“预期”、“项目”、“打算”、“相信”、“预期”、“估计”、“可能”、“将”、“将”、“可能”、“建议”和其他类似的词语,或某些事件或条件“可能”或“将”发生的陈述。这些声明只是预测。前瞻性信息以提供信息之日管理层的意见和估计为基础,会受到各种风险、不确定因素和其他因素的影响,这些因素可能会导致实际事件或结果与前瞻性信息中预测的大不相同。关于公司及其业务和事务面临的风险和不确定因素的描述,读者应参考公司管理层的讨论和分析。除非法律要求,否则如果情况或管理层的估计或意见发生变化,公司不承担更新前瞻性信息的义务。告诫读者不要过度依赖前瞻性信息。

To view the source version of this press release, please visit

要查看本新闻稿的源版本,请访问

声明:本内容仅用作提供资讯及教育之目的,不构成对任何特定投资或投资策略的推荐或认可。 更多信息
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