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Supplemental Cash Flow Information
3 Months Ended
Mar. 31, 2020
Supplemental Cash Flow Elements [Abstract]  
Supplemental Cash Flow Information Supplemental Cash Flow Information
 
Three Months Ended
March 31,
 
2020
 
2019
Cash paid during the period for:
 
 
 
Income taxes, net of refunds
$
16.7

 
$
18.4

Interest
$
3.7

 
$
6.0


The following table provides a reconciliation of cash and cash equivalents and restricted cash reported within the consolidated balance sheets to the total of the amounts shown in the consolidated statements of cash flows.
 
March 31, 2020
 
December 31, 2019
Cash and cash equivalents
$
789.6

 
$
538.8

Restricted cash - short-term
487.3

 

Restricted cash - long-term
10.6

 
13.0

Total cash, cash equivalents and restricted cash shown in the consolidated statements of cash flows
$
1,287.5

 
$
551.8


Cash and cash equivalents subject to contractual restrictions and not readily available are classified as restricted cash. Restricted cash, short-term, represents amounts deposited with the trustee of the company’s $440.0 Notes called for redemption. See Note 13, Debt. Restricted cash, long-term, includes cash the company is contractually obligated to maintain
in accordance with the terms of its U.K. business process outsourcing joint venture agreement and other cash that is restricted from withdrawal.