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CONDENSED CONSOLIDATED BALANCE SHEETS (UNAUDITED) - USD ($)
Jun. 30, 2022
Sep. 30, 2021
Current assets    
Cash and cash equivalents $ 676,951,000 $ 36,829,000
Restricted cash 75,093,000 1,240,000
Trade receivables, net of allowances ($82 and $90 at June 30, 2022 and September 30, 2021, respectively) 93,196,000 46,664,000
Unbilled receivables 101,139,000 101,975,000
Receivables from related parties 49,318,000 33,362,000
Advances to suppliers 62,197,000 9,741,000
Inventory, net 453,713,000 389,787,000
Other current assets 39,140,000 41,917,000
Total current assets 1,550,747,000 661,515,000
Non-current assets    
Property and equipment, net 9,292,000 8,206,000
Intangible assets, net 53,496,000 36,057,000
Goodwill 25,214,000 9,176,000
Deferred income tax asset 1,184,000 1,184,000
Advances to suppliers 17,500,000 0
Debt issuance cost 2,793,000 222,000
Other non-current assets 12,349,000 1,315,000
Total non-current assets 121,828,000 56,160,000
Total assets 1,672,575,000 717,675,000
Current liabilities    
Accounts payable 220,586,000 158,366,000
Deferred revenue 371,030,000 71,365,000
Borrowing from line of credit 0 50,000,000
Borrowing from related parties 0 50,000,000
Personnel related liabilities 17,462,000 12,861,000
Accruals and provisions 135,410,000 186,143,000
Payables and deferred revenue with related parties 233,433,000 227,925,000
Taxes payable 11,743,000 12,892,000
Other current liabilities 4,374,000 1,941,000
Total current liabilities 994,038,000 771,493,000
Non-current liabilities    
Other non-current liabilities 7,454,000 2,381,000
Total non-current liabilities 7,454,000 2,381,000
Total liabilities 1,001,492,000 773,874,000
Commitments and contingencies (See Note 12)
Mezzanine equity (0 and 18,493,275 units issued and outstanding as of June 30, 2022 and September 30, 2021, respectively)   117,235,000
Stockholders’ Equity / Members’ Deficit    
Members’ capital contributions   106,152,000
Preferred stock, $0.00001 per share, 10,000,000 shares authorized; no shares issued and outstanding as of June 30, 2022 0  
Treasury stock, at cost (4,991,000)  
Additional paid-in capital 530,747,000  
Accumulated other comprehensive income (loss) 515,000 (285,000)
Accumulated deficit (67,337,000) (279,301,000)
Total stockholder's equity attributable to Fluence Energy, Inc 458,935,000  
Total stockholder's equity attributable to Members' deficit   (173,434,000)
Non-controlling interest 212,148,000  
Total stockholders' equity 671,083,000  
Total liabilities, stockholders’ equity, members’ deficit, and mezzanine equity 1,672,575,000 $ 717,675,000
Class A common stock    
Stockholders’ Equity / Members’ Deficit    
Common stock 1,000  
Class B-1 common stock    
Stockholders’ Equity / Members’ Deficit    
Common stock 0  
Class B-2 common stock    
Stockholders’ Equity / Members’ Deficit    
Common stock $ 0