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Condensed Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Mar. 31, 2022
Mar. 31, 2021
Mar. 31, 2022
Mar. 31, 2021
OPERATING ACTIVITIES:        
Net income $ 15,095 $ 5,061 $ 29,284 $ 12,178
ADJUSTMENTS TO RECONCILE NET INCOME TO NET CASH (USED FOR) PROVIDED BY OPERATING ACTIVITIES        
Share-based compensation     1,311 774
Amortization of intangible assets 2,775 2,523 7,900 7,598
Depreciation and amortization of property, technology, and equipment 1,909 1,651 5,486 4,820
Deferred income tax benefit (384) (746) (918) (1,172)
Amortization of debt issuance costs     377 393
Change in fair value of contingent consideration 152 2,500 607 4,350
Gain on forgiveness of debt   (1,414)   (1,414)
Other     1,316 (635)
CHANGES IN OPERATING ASSETS AND LIABILITIES:        
Accounts receivable     (73,002) (37,495)
Contract assets     (30,725) (9,688)
Income tax receivable/payable     (553) 1,197
Prepaid expenses, deposits, and other assets     (13,755) 3,322
Accounts payable     69,832 20,530
Operating partner commissions payable     2,259 3,162
Accrued expenses and other liabilities     (4,980) (4,221)
Payment of contingent consideration     (1,377)  
Net cash (used for) provided by operating activities     (6,938) 3,699
INVESTING ACTIVITIES:        
Payments to acquire intangible assets     (38,400)  
Purchases of property, technology, and equipment     (6,191) (8,673)
Proceeds from sale of property, technology, and equipment     158 333
Net cash used for investing activities     (44,433) (8,340)
FINANCING ACTIVITIES:        
Proceeds from revolving credit facility     116,144 269
Repayment of revolving credit facility     (27,619) (20,000)
Repayments of notes payable and finance lease liability     (3,814) (3,461)
Proceeds from sale of common stock     244  
Repurchases of common stock     (6,256)  
Payments of contingent consideration     (1,123) (2,027)
Distribution to non-controlling interest     (360) (960)
Proceeds from exercise of stock options     407 1,159
Net cash provided by (used for) financing activities     77,217 (25,496)
Effect of exchange rate changes on cash and cash equivalents     498 (442)
NET INCREASE (DECREASE) IN CASH,CASH EQUIVALENTS, AND RESTRICTED CASH     26,344 (30,579)
CASH, CASH EQUIVALENTS, AND RESTRICTED CASH, BEGINNING OF PERIOD     14,344 35,433
CASH, CASH EQUIVALENTS, AND RESTRICTED CASH, END OF PERIOD 40,688 4,854 40,688 4,854
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Including Disposal Group and Discontinued Operations [Abstract]        
Cash and cash equivalents 40,046 4,215 40,046 4,215
Long-term restricted cash 642 639 642 639
Total cash, cash equivalents, and restricted cash, end of period $ 40,688 $ 4,854 40,688 4,854
SUPPLEMENTAL DISCLOSURE OF CASH FLOW INFORMATION:        
Income taxes paid     11,708 3,509
Interest paid     1,891 1,518
Restricted Stock Awards        
FINANCING ACTIVITIES:        
Payments of employee tax withholdings related to vesting and cashless exercise     (392) (334)
Stock Options        
FINANCING ACTIVITIES:        
Payments of employee tax withholdings related to vesting and cashless exercise     $ (14) $ (142)