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Consolidated Balance Sheets - USD ($)
Jun. 30, 2020
Dec. 31, 2019
Assets    
Cash and cash equivalents $ 165,914,391 $ 24,617,996
Accounts receivable 14,231,350 14,068,477
Related party receivable   563,084
Prepaid expenses and other 4,635,036 4,632,965
Total current assets 184,780,777 43,882,522
Property, plant and equipment, net 1,788,822 1,610,652
Restricted cash 13,794,839 13,283,121
Customer relationships, net of amortization 258,135,064 247,589,240
Software, net of amortization 59,587,029 61,219,143
Other intangible assets, net of amortization 24,109,471 24,241,505
Goodwill 412,167,853 389,660,519
Deferred tax assets 25,766,581  
Other assets   555,449
Total noncurrent assets 795,349,659 738,159,629
Total assets 980,130,436 782,042,151
Liabilities    
Accounts payable 10,225,022 9,586,001
Related party payable 18,224,056 14,571,266
Accrued expenses 15,880,690 15,965,683
Current maturities of long-term debt [1] 7,175,650 5,500,000
Current tax receivable agreement 7,827,480 6,336,487
Total current liabilities 59,332,898 51,959,437
Long-term debt, net of current maturities 252,529,352 197,942,705
Line of credit   10,000,000
Tax receivable agreement, net of current portion 99,752,153 60,839,739
Deferred tax liability   768,335
Other liabilities 10,878,251 16,864
Total noncurrent liabilities 363,159,756 269,567,643
Total liabilities 422,492,654 321,527,080
Commitment and contingencies (Note 12)
Stockholders' equity    
Additional paid-in capital 474,608,423 307,914,346
Accumulated other comprehensive (loss) income (6,882,240) 313,397
Accumulated deficit (69,938,145) (53,878,460)
Total stockholders' equity 397,793,240 254,353,036
Equity attributable to non-controlling interests 159,844,542 206,162,035
Total liabilities and stockholders' equity and members' equity 980,130,436 782,042,151
Class A Common Stock    
Stockholders' equity    
Common stock value 5,202 3,753
Total stockholders' equity $ 5,202 $ 3,753
[1] Pursuant to the terms of the New Credit Agreement, the Company is required to make quarterly principal payments equal to 0.625% of the initial principal amount of the Term Loan and Delayed Draw Term Loan (collectively the “Term Loans”).