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Supplemental balance sheet and cash flow information (available-for-sale debt securities) (Details) - USD ($)
$ in Thousands
Mar. 31, 2022
Dec. 31, 2021
Available-for-sale debt securities [Line Items]    
Cost $ 13,863 $ 13,681
Gross unrealized gains 0 0
Gross unrealized losses (836) (374)
Fair value 13,027 13,307
Expected maturities of available-for-sale debt securities    
Due in one year or less 6,572  
Due in two to five years 2,708  
Due in six to ten years 3,747  
Fair value 13,027 13,307
Funds held for customers [Member]    
Available-for-sale debt securities [Line Items]    
Cost 13,863 [1] 13,681 [2]
Gross unrealized gains 0 [1] 0 [2]
Gross unrealized losses (836) [1] (374) [2]
Fair value 13,027 [1] 13,307 [2]
Cash 143,725 241,488
Expected maturities of available-for-sale debt securities    
Fair value 13,027 [1] 13,307 [2]
Funds held for customers [Member] | Canadian and provincial government securities [Member]    
Available-for-sale debt securities [Line Items]    
Cost 9,865 9,724
Gross unrealized gains 0 0
Gross unrealized losses (836) (374)
Fair value 9,029 9,350
Expected maturities of available-for-sale debt securities    
Fair value 9,029 9,350
Funds held for customers [Member] | Canadian guaranteed investment certificates [Member]    
Available-for-sale debt securities [Line Items]    
Cost 3,998 3,957
Gross unrealized gains 0 0
Gross unrealized losses 0 0
Fair value 3,998 3,957
Expected maturities of available-for-sale debt securities    
Fair value $ 3,998 $ 3,957
[1] Funds held for customers, as reported on the consolidated balance sheet as of March 31, 2022, also included cash of $143,725.
[2] Funds held for customers, as reported on the consolidated balance sheet as of December 31, 2021, also included cash of $241,488.