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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Cash Flows from Operating Activities:      
Net income $ 219.3 $ 268.1 $ 409.9
Adjustments to reconcile net income to net cash provided by operating activities:      
Gain on sale of discontinued operations 0.0 0.0 (216.9)
Amortization and depreciation 100.3 91.4 89.6
Stock-based compensation 44.0 49.3 52.7
Deferred income taxes 26.9 31.5 (19.7)
Other 10.3 8.2 6.3
Changes in operating assets and liabilities, net of effects of acquisitions:      
Accounts receivable 111.0 (116.3) (111.1)
Prepaid expenses and income taxes 3.3 2.0 (18.2)
Accounts payable (2.4) 7.6 (23.6)
Accrued payroll (49.4) 11.3 67.4
Payroll tax deferral and other (6.4) (45.3) (42.7)
Net cash provided by operating activities 456.9 307.8 193.7
Cash Flows from Investing Activities      
Cash paid for property and equipment (39.9) (37.5) (34.7)
Cash paid for acquisitions, net of cash acquired 0.0 (484.6) (222.8)
Proceeds from Divestiture of Businesses 0.0 (9.8) (503.8)
Other (0.6) 2.3 0.2
Net cash provided by (used in) investing activities (40.5) (510.0) 246.5
Cash Flows from Financing Activities      
Proceeds from long-term debt 571.8 94.0 0.0
Principal payments of long-term debt (596.6) (62.5) 0.0
Proceeds from employee stock purchase plan 18.9 18.9 14.3
Repurchase of common stock (273.1) (281.4) (181.3)
Payment of employment taxes related to release of restricted stock awards (18.3) (16.6) (16.0)
Payment of contingent consideration (5.0) (8.1) 0.0
Debt issuance or amendment costs (8.6) (0.8) (1.4)
Net cash used in financing activities (310.9) (256.5) (184.4)
Effect of exchange rate changes on cash and cash equivalents 0.1 (0.6) (0.6)
Net Increase in Cash and Cash Equivalents 105.6 (459.3) 255.2
Cash and Cash Equivalents at Beginning of Year 70.3 529.6 274.4
Cash and Cash Equivalents at End of Year 175.9 70.3 529.6
Supplemental Disclosure of Cash Flow Information      
Income taxes 44.8 54.5 170.3
Interest $ 62.1 $ 43.7 $ 35.2