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Fair Value Measurement (Tables)
6 Months Ended
Dec. 31, 2021
Fair Value Disclosures [Abstract]  
Schedule of fair value level for cash and cash equivalents and available-for-sale securities measured on a recurring basis
The fair value level for the Company’s cash and cash equivalents and available-for-sale securities is as follows:
June 30, 2021
TotalLevel 1 Level 2 Level 3
Cash and cash equivalents$202,287$202,287$$
Funds held for clients' cash and cash equivalents1,743,5941,743,594
Available-for-sale securities:
Corporate bonds13,46013,460
Asset-backed securities7,0797,079
Total available-for-sale securities20,53920,539
Total investments$1,966,420$1,945,881$20,539$
December 31, 2021
TotalLevel 1 Level 2 Level 3
Cash and cash equivalents$84,104$84,104$$
Funds held for clients' cash and cash equivalents1,770,6891,770,289400
Available-for-sale securities:
Commercial paper62,22762,227
Corporate bonds42,58742,587
Asset-backed securities10,33610,336
Certificates of deposit20,49320,493
U.S. treasury securities4,0234,023
U.S government agency securities6,8996,899
Other2,8092,809
Total available-for-sale securities149,374149,374
Total investments$2,004,167$1,854,393$149,774$