Condensed Consolidated Balance Sheets (unaudited) (in thousands, except share
data) June 30, 2023 December 31, 2022 Assets Current Assets Cash and cash equivalents .......................................................................................... $ 22,091 $ 8,725 Accounts receivable, net of allowance of
$1,258 and $336, respectively ...................... 30,753 22,435 Prepaid expenses ....................................................................................................... 6,117 7,622 Deferred charges
....................................................................................................... 3,651 3,652 Other current assets
................................................................................................... 408 750 Total current assets
...................................................................................................... 63,020 43,184 Restricted cash
.......................................................................................................... 1,392 1,392 Property and equipment, net
....................................................................................... 1,728 2,021 Capitalized software development costs, net ................................................................ 7,994 7,385 Intangible
assets, net.................................................................................................. 90,766 104,544 Goodwill
.................................................................................................................. 275,703 275,703 Right-of-use assets
.................................................................................................... 3,966 4,535 Other assets
.............................................................................................................. 140 64 Total
assets................................................................................................................. $ 444,709 $ 438,828 Liabilities and Stockholders’ Equity Current liabilities Accounts payable
...................................................................................................... $ 3,294 $ 5,435 Accrued expenses and other current
liabilities.............................................................. 21,590 15,681 Current maturities of long-term debt, net ..................................................................... 22,377 22,152 Deferred
revenue....................................................................................................... 18,569 18,586 Total current liabilities
................................................................................................. 65,830 61,854 Long-term debt, net
................................................................................................... 320,551 338,476 Warrant liability
........................................................................................................ 26,152 17,933 Lease liability
........................................................................................................... 2,977 3,658 Deferred tax
liability.................................................................................................. 7,615 12,528 Other non-current liabilities
....................................................................................... 787 327 Total liabilities
........................................................................................................... 423,912 434,776 Commitments and Contingencies (Note 14) Stockholders’ Equity Preferred stock, par value $0.0001; 100,000,000 shares
authorized; none issued and outstanding at June 30, 2023 and December 31, 2022, respectively ............................ — — Common stock, par value $0.0001; 1,000,000,000 shares authorized; 174,053,659 and 173,524,360 shares issued;
174,053,659 and 173,524,360 shares outstanding at June 30, 2023 and December 31, 2022, respectively ................................................. 17 17 Additional paid-in
capital........................................................................................... 36,391 9,078 Accumulated
deficit................................................................................................... (15,611) (5,043) Total stockholders’ equity
.......................................................................................... 20,797 4,052 Total liabilities and stockholders’ equity .................................................................... $ 444,709 $ 438,828 Q1
2023 Letter To Shareholders 10 See accompanying notes to unaudited condensed consolidated financial statements.