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CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (UNAUDITED) - USD ($)
$ in Thousands
6 Months Ended
Mar. 31, 2026
Mar. 31, 2025
Cash flows from operating activities:    
Net income $ 3,141 $ 3,877
Adjustments to reconcile net income from operating activities:    
Depreciation and amortization 14,568 15,524
Equity-based compensation 9,797 7,746
Amortization of debt issuance costs 431 530
Provision for deferred income taxes 725 1,859
Adjustments to gain on sale of Merchant Services Business 0 657
Non-cash lease expense 1,065 1,162
Changes in non-cash contingent consideration expense from original estimate (498) 1,758
Other non-cash adjustments to net income 1,821 (366)
Changes in operating assets:    
Accounts receivable 2,802 25
Prepaid expenses and other current assets (3,411) (3,145)
Other assets 841 (454)
Changes in operating liabilities:    
Accounts payable (2,618) (1,020)
Accrued expenses and other current liabilities (2,905) (40,839)
Acquisition escrow obligations 2,505 26
Deferred revenue (2,385) (1,030)
Operating lease liabilities (1,145) (1,776)
Other long-term liabilities (584) (101)
Contingent consideration paid in excess of original estimates 0 (60)
Net cash provided by (used in) operating activities 24,150 (15,627)
Cash flows from investing activities:    
Expenditures for property and equipment (722) (972)
Proceeds from sale of property and equipment 448 1,501
Expenditures for capitalized software (4,384) (4,204)
Acquisitions of businesses, net of cash acquired (60,000) 0
Net cash used in investing activities (64,658) (3,675)
Cash flows from financing activities:    
Proceeds from revolving credit facility 140,071 36,052
Payments on revolving credit facility (59,071) (24,052)
Payments to extinguish exchangeable notes 0 (26,223)
Payments for repurchases of Class A common stock, including related excise taxes (88,788) (11,498)
Net payments for settlement obligations (191) (565)
Payments for required distributions to members or on behalf of members for tax obligations (1,762) (23,939)
Payments for required distributions to members under the Tax Receivable Agreement (2,524) (9,954)
Proceeds from stock option exercises 129 150
Payments for employees' tax withholdings from net settled stock option exercises and RSU releases (4,572) 0
Net cash used in financing activities (16,708) (60,029)
Net decrease in cash, cash equivalents and restricted cash (57,216) (79,331)
Cash, cash equivalents and restricted cash at beginning of period 67,333 89,597
Cash, cash equivalents and restricted cash at end of period 10,117 10,266
Supplemental disclosure of cash flow information:    
Cash paid for interest 892 440
Cash paid for income taxes, net of refunds $ 3,009 $ 34,157