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SUPPLEMENTAL BALANCE SHEET AND CASH FLOW INFORMATION (goodwill) (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Changes in goodwill      
Goodwill, net of accumulated impairment charges, beginning of year $ 1,431,385 $ 1,430,141  
Currency translation adjustment and other (795) 1,244  
Accumulated impairment charges     $ (193,699)
Goodwill, net of accumulated impairment charges, end of period 1,430,590 1,431,385  
Data Solutions [Member]      
Changes in goodwill      
Accumulated impairment charges     $ (392,168)
Reportable business segments [Member] | Payments [Member]      
Changes in goodwill      
Goodwill, net of accumulated impairment charges, beginning of year 896,681 895,338  
Currency translation adjustment and other (828) 1,343  
Goodwill, net of accumulated impairment charges, end of period 895,853 896,681  
Reportable business segments [Member] | Data Solutions [Member]      
Changes in goodwill      
Goodwill, net of accumulated impairment charges, beginning of year [1] 40,816 40,816  
Accumulated impairment charges (392,168) (392,168)  
Goodwill, net of accumulated impairment charges, end of period [1] 40,816 40,816  
Reportable business segments [Member] | Promotional Solutions [Member]      
Changes in goodwill      
Goodwill, net of accumulated impairment charges, beginning of year [1] 59,076 59,175  
Currency translation adjustment and other 33 (99)  
Accumulated impairment charges (193,699) (193,699)  
Goodwill, net of accumulated impairment charges, end of period [1] 59,109 59,076  
Reportable business segments [Member] | Checks [Member]      
Changes in goodwill      
Goodwill, net of accumulated impairment charges, beginning of year 434,812 434,812  
Goodwill, net of accumulated impairment charges, end of period $ 434,812 $ 434,812  
[1] The Data Solutions and Promotional Solutions balances are net of accumulated impairment charges of $392,168 and $193,699, respectively, for each period presented.