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Composition of Certain Financial Statement Captions (Tables)
3 Months Ended
Mar. 31, 2014
Items Included in Consolidated Statement of Financial Condition [Abstract]  
Receivables
Receivables on the accompanying Consolidated Balance Sheets consist of: 
 
March 31, 2014
 
December 31, 2013
Trade receivables
$
56,596

 
$
44,502

Fees earned, not billed
136,956

 
128,248

Other receivables
14,798

 
14,565

 
208,350

 
187,315

Less: Allowance for doubtful accounts
(626
)
 
(651
)
 
$
207,724

 
$
186,664

Property And Equipment
Property and Equipment on the accompanying Consolidated Balance Sheets consists of:
 
March 31, 2014
 
December 31, 2013
Buildings
$
138,437

 
$
138,426

Equipment
71,838

 
70,117

Land
9,997

 
9,929

Purchased software
98,472

 
96,268

Furniture and fixtures
17,081

 
17,060

Leasehold improvements
5,173

 
4,670

Construction in progress
5,638

 
2,589

 
346,636

 
339,059

Less: Accumulated depreciation
(225,597
)
 
(220,064
)
Property and Equipment, net
$
121,039

 
$
118,995

Accrued Liabilities
Accrued liabilities on the accompanying Consolidated Balance Sheets consist of: 
 
March 31, 2014
 
December 31, 2013
Accrued employee compensation
$
29,353

 
$
69,256

Accrued employee benefits and other personnel
5,683

 
9,647

Accrued consulting, outsourcing and professional fees
23,475

 
19,311

Accrued sub-advisory, distribution and other asset management fees
25,050

 
25,018

Accrued income taxes
26,922

 

Accrued dividend payable

 
37,314

Other accrued liabilities
31,181

 
27,577

Total accrued liabilities
$
141,664

 
$
188,123