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Supplemental balance sheet and cash flow information (other) (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2022
Mar. 31, 2021
Dec. 31, 2021
Dec. 31, 2020
Prepaid product discounts [Roll Forward]        
Balance, beginning of year $ 56,527 $ 50,602    
Additions [1] 4,229 7,890    
Amortization (8,924) (7,440)    
Other 53 (8)    
Balance, end of period 51,885 51,044    
Prepaid product discount payments 7,859 9,590    
Accrued liabilities        
Deferred revenue [2] 46,908   $ 52,645  
Employee cash bonuses, including sales incentives 16,216   45,006  
Interest 15,451   4,597  
Operating lease liabilities 14,243   14,852  
Customer rebates 9,316   9,036  
Prepaid product discounts due within one year 8,319   11,866  
Other 91,460   78,830  
Accrued liabilities 201,913   216,832  
Deferred revenue recognized 20,238      
Supplemental cash flow information        
Cash and cash equivalents 44,059 125,440 41,231  
Total cash, cash equivalents, restricted cash and restricted cash equivalents 190,779 234,515 285,491 $ 229,409
Funds held for customers [Member]        
Supplemental cash flow information        
Restricted cash and restricted cash equivalents included in funds held for customers 143,725 109,075    
Other current assets [Member]        
Supplemental cash flow information        
Cash and cash equivalents 400 [3] 0    
Other non-current assets [Member]        
Supplemental cash flow information        
Non-current restricted cash included in other non-current assets $ 2,595 $ 0 $ 2,772  
[1] Prepaid product discounts are generally accrued upon contract execution. Cash payments for prepaid product discounts were $7,859 for the quarter ended March 31, 2022 and $9,590 for the quarter ended March 31, 2021.
[2] $20,238 of the December 31, 2021 amount was recognized as revenue during the quarter ended March 31, 2022.
[3] Represents cash and cash equivalents of our Australian web hosting business that was classified as held for sale as of March 31, 2022 (Note 6).