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Consolidated Statements of Cash Flows (Unaudited) - USD ($)
3 Months Ended 6 Months Ended 12 Months Ended
Jun. 30, 2021
Jun. 30, 2020
Jun. 30, 2021
Jun. 30, 2020
Dec. 31, 2020
Cash flows from operating activities          
Net loss $ (13,349,895) $ (83,200,222) $ (31,331,068) $ (96,382,760)  
Adjustments to reconcile net income (loss) to net cash provided by operating activities:          
Depreciation and amortization 19,678,980 14,705,598 37,471,974 28,609,982  
Stock based compensation     10,656,090 8,998,180  
Amortization of debt issuance costs     1,197,917 663,294  
Loss on extinguishment of debt     5,940,600    
Loss on sale of interest rate swaps     9,317,243    
Fair value change in warrant liabilities   66,669,522   73,567,617  
Fair value change in tax receivable agreement liability     3,312,450 10,580,421  
Fair value change in other assets and liabilities     1,448,786 708,622  
Deferred tax expense     (10,059,247) (5,012,717)  
Change in accounts receivable     (3,603,491) 1,213,666  
Change in related party receivable       563,084  
Change in prepaid expenses and other     (702,976) 178,443  
Change in operating lease ROU assets     576,505    
Change in accounts payable     3,567,717 486,986  
Change in related party payable     340,132 (14,467,759)  
Change in accrued expenses and other     (2,945,543) (458,152)  
Change in operating lease liabilities     (394,915)    
Change in other liabilities     (7,924,883) 168,852  
Net cash provided by operating activities     16,867,291 9,417,759  
Cash flows from investing activities          
Purchases of property and equipment     (985,274) (539,008)  
Purchases of software     (9,738,165) (7,202,987)  
Net cash used in investing activities     (286,509,580) (43,728,473)  
Cash flows from financing activities          
Change in line of credit       (10,000,000)  
Issuance of long-term debt     440,000,000 60,425,983  
Payments on long-term debt     (262,653,996) (2,965,162)  
Repurchase of treasury shares     (2,520,320)    
Exercise of warrants       55,327,515  
Redemption of Post-Merger Repay Units       (98,800,000)  
Payment of loan costs     (13,247,617) (1,861,817)  
Net cash provided by financing activities     303,676,428 176,118,827  
Increase in cash, cash equivalents and restricted cash     34,034,139 141,808,113  
Cash, cash equivalents and restricted cash at beginning of period     106,504,734 37,901,117 $ 37,901,117
Cash, cash equivalents and restricted cash at end of period $ 140,538,873 $ 179,709,230 140,538,873 179,709,230 $ 106,504,734
Cash paid during the year for:          
Interest     802,060 6,433,715  
Ventanex          
Cash flows from investing activities          
Acquisition, net of cash and restricted cash acquired       (35,521,024)  
SUPPLEMENTAL SCHEDULE OF NONCASH INVESTING AND FINANCING ACTIVITIES          
Acquisition in exchange for contingent consideration       10,800,000  
APS Payments          
Cash flows from investing activities          
Acquisition, net of cash and restricted cash acquired       (465,454)  
SUPPLEMENTAL SCHEDULE OF NONCASH INVESTING AND FINANCING ACTIVITIES          
Valuation adjustment to contingent consideration for acquisition       6,580,549  
CPS          
Cash flows from investing activities          
Acquisition, net of cash and restricted cash acquired     1,510,778    
Billing Tree          
Cash flows from investing activities          
Acquisition, net of cash and restricted cash acquired     (269,825,725)    
Kontrol          
Cash flows from investing activities          
Acquisition, net of cash and restricted cash acquired     (7,471,194)    
SUPPLEMENTAL SCHEDULE OF NONCASH INVESTING AND FINANCING ACTIVITIES          
Acquisition in exchange for contingent consideration     500,000    
Class A Common Stock          
Cash flows from financing activities          
Public issuance of Class A Common Stock     $ 142,098,361 $ 173,992,308