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DESCRIPTION OF BUSINESS AND SIGNIFICANT ACCOUNTING POLICIES - Schedule of Worksite Employee Changes (Details) - USD ($)
$ in Millions
6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Condensed Cash Flow Statements    
Accounts receivable, net $ 1 $ (4)
Payroll funds receivable   0
Prepaid expenses, net 9 (18)
Other assets (18) (35)
Other payroll assets 0 2
Accounts payable and other liabilities (5) (8)
Client deposits and other client liabilities (1) (9)
Accrued wages (10) (20)
Accrued health insurance costs, net 1 (1)
Accrued workers' compensation costs, net (1) (14)
Payroll taxes liabilities and other payroll withholdings (14) (8)
Net cash used in operating activities   (115)
Purchases of marketable securities (41) (137)
Net cash used in investing activities   (137)
Change in WSE and TriNet Trust related assets and liabilities, net $ 310 377
Net cash used in financing activities   (377)
As previously reported    
Condensed Cash Flow Statements    
Accounts receivable, net   3
Payroll funds receivable   (38)
Prepaid expenses, net   (9)
Other assets   (33)
Other payroll assets   (419)
Accounts payable and other liabilities   (11)
Client deposits and other client liabilities   5
Accrued wages   43
Accrued health insurance costs, net   7
Accrued workers' compensation costs, net   (21)
Payroll taxes liabilities and other payroll withholdings   (17)
Net cash used in operating activities   (490)
Purchases of marketable securities   (139)
Net cash used in investing activities   (139)
Change in WSE and TriNet Trust related assets and liabilities, net   0
Net cash used in financing activities   0
Reclassified amounts    
Condensed Cash Flow Statements    
Accounts receivable, net   (7)
Payroll funds receivable   38
Prepaid expenses, net   (9)
Other assets   (2)
Other payroll assets   421
Accounts payable and other liabilities   3
Client deposits and other client liabilities   (14)
Accrued wages   (63)
Accrued health insurance costs, net   (8)
Accrued workers' compensation costs, net   7
Payroll taxes liabilities and other payroll withholdings   9
Net cash used in operating activities   375
Purchases of marketable securities   2
Net cash used in investing activities   2
Change in WSE and TriNet Trust related assets and liabilities, net   377
Net cash used in financing activities   $ (377)