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FAIR VALUE MEASUREMENTS - Schedule of Assets and Liabilities Measured at Fair Value on Recurring Basis (Details) - Recurring - USD ($)
$ in Thousands
Jul. 31, 2022
Jan. 31, 2022
Jul. 31, 2021
Level 1      
Assets:      
Money market funds $ 43,369 $ 127,041  
Commercial paper, classified as cash and cash equivalents 0 0  
Foreign currency forward contracts 0 0  
Contingent consideration receivable 0 0  
Total assets 43,369 127,041  
Liabilities:      
Foreign currency forward contracts 0 0  
Contingent consideration — business combinations   0  
Total liabilities 0 0  
Level 2      
Assets:      
Money market funds 0 0  
Commercial paper, classified as cash and cash equivalents 69,691 29,995  
Foreign currency forward contracts 16 33  
Contingent consideration receivable 0 0  
Total assets 69,707 30,028  
Liabilities:      
Foreign currency forward contracts 219 91  
Contingent consideration — business combinations   7,776  
Total liabilities 219 7,867  
Level 3      
Assets:      
Money market funds 0 0  
Commercial paper, classified as cash and cash equivalents 0 0  
Foreign currency forward contracts 0 0  
Contingent consideration receivable 138 271 $ 400
Total assets 138 271  
Liabilities:      
Foreign currency forward contracts 0 0  
Contingent consideration — business combinations   0  
Total liabilities $ 0 $ 0