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Supplemental balance sheet and cash flow information (available-for-sale debt securities) (Details) - USD ($)
$ in Thousands
Jun. 30, 2023
Dec. 31, 2022
Available-for-sale debt securities [Line Items]    
Cost $ 9,499 $ 14,190
Gross unrealized gains 0 0
Gross unrealized losses (1,097) (1,064)
Fair value 8,402 13,126
Expected maturities of available-for-sale debt securities    
Due in one year or less 3,394  
Due in two to five years 1,723  
Due in six to ten years 3,285  
Fair value 8,402 13,126
Cash and cash equivalents [Member]    
Available-for-sale debt securities [Line Items]    
Cash 39,052 35,435
Cash and cash equivalents [Member] | Money market securities [Member] | Domestic [Member]    
Available-for-sale debt securities [Line Items]    
Cost   5,000
Gross unrealized gains   0
Gross unrealized losses   0
Fair value   5,000
Expected maturities of available-for-sale debt securities    
Fair value   5,000
Funds held for customers [Member]    
Available-for-sale debt securities [Line Items]    
Cost 9,499 [1] 14,190 [2]
Gross unrealized gains 0 [1] 0 [2]
Gross unrealized losses (1,097) [1] (1,064) [2]
Fair value 8,402 [1] 13,126 [2]
Cash 147,392 294,165
Expected maturities of available-for-sale debt securities    
Fair value 8,402 [1] 13,126 [2]
Funds held for customers [Member] | Canadian and provincial government securities [Member]    
Available-for-sale debt securities [Line Items]    
Cost 9,499 9,190
Gross unrealized gains 0 0
Gross unrealized losses (1,097) (1,064)
Fair value 8,402 8,126
Expected maturities of available-for-sale debt securities    
Fair value $ 8,402 $ 8,126
[1] Funds held for customers, as reported on the consolidated balance sheet as of June 30, 2023, also included cash of $147,392.
[2] Funds held for customers, as reported on the consolidated balance sheet as of December 31, 2022, also included cash of $294,165.