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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Statement of Cash Flows [Abstract]      
Net income $ 306.3 $ 279.5 $ 230.7
Adjustments to reconcile net income to net cash provided by operating activities:      
Depreciation and amortization 131.8 132.9 135.9
Share-based compensation 43.9 53.7 44.1
Unrealized foreign exchange loss (gain), net 19.1 (8.0) 28.2
Deferred income taxes 18.5 13.7 7.9
Accretion of convertible debt discount and amortization of debt issuance costs 4.1 4.0 3.7
Changes in working capital, net of amounts acquired:      
Income taxes payable, net 10.3 11.6 10.8
Trade accounts receivable, including amounts in settlement assets 269.8 (190.9) (299.4)
Prepaid expenses and other current assets, including amounts in settlement assets 35.4 42.4 (192.6)
Trade accounts payable, including amounts in settlement obligations (53.9) 53.6 178.1
Deferred revenue 1.2 (10.3) (8.4)
Accrued expenses and other current liabilities, including amounts in settlement obligations (6.6) 238.7 608.2
Changes in non-current assets and liabilities (47.1) 22.2 1.1
Net cash provided by operating activities 732.8 643.1 748.3
Cash flows from investing activities:      
Acquisitions, net of cash acquired (91.6) (1.3) (343.0)
Purchases of property and equipment and proceeds of sale property and equipment (117.2) (94.4) (104.3)
Issuance of Convertible Notes Receivable (60.0)
Purchases of other long-term assets (14.6) (9.1) (7.7)
Other, net 0.1 7.2 1.2
Net cash used in investing activities (223.3) (157.6) (453.8)
Cash flows from financing activities:      
Proceeds from issuance of shares 17.2 7.8 9.1
Repurchase of shares (268.6) (378.4) (176.0)
Borrowings from revolving credit agreements 7,971.0 7,925.8 7,904.6
Repayments of revolving credit agreements (7,988.1) (7,393.6) (7,733.2)
Net borrowings (repayments) from short-term debt obligations 137.4 (302.8) 1.2
Debt issuance costs (3.1) (3.0)
Other, net (1.5) (2.0) (3.9)
Net cash used in financing activities (135.7) (143.2) (1.2)
Effect of exchange rate changes on cash and cash equivalents and restricted cash (132.6) (86.1) (388.6)
Increase (decrease) in cash and cash equivalents and restricted cash 241.2 256.2 (95.3)
Cash and cash equivalents and restricted cash at beginning of period 2,247.0 1,990.8 2,086.1
Cash and cash equivalents and restricted cash at end of period 2,488.2 2,247.0 1,990.8
Supplemental Cash Flow Disclosures:      
Interest paid during the period 78.3 53.2 29.1
Income taxes paid during the period $ 109.0 $ 94.5 $ 86.2