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Contract Assets - Summary Of Contract Assets (Detail) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Contract With Customer, Asset [Roll Forward]    
Beginning balance $ 75,430 $ 112,956
Increase of contract asset due to new business generation 140,413 185,469
Adjustment of contract asset due to estimation of revenue from performance obligations satisfied in previous periods (22,812) (5,677)
Receivables transferred from contract assets upon billing the lending institutions (67,440) (79,039)
Payments received from insurance carriers (96,325) (138,372)
Provision for expected credit losses 48 93
Ending balance 29,314 75,430
Profit Share    
Contract With Customer, Asset [Roll Forward]    
Beginning balance 65,889 105,486
Increase of contract asset due to new business generation 66,113 95,733
Adjustment of contract asset due to estimation of revenue from performance obligations satisfied in previous periods (22,812) (5,677)
Receivables transferred from contract assets upon billing the lending institutions 0 0
Payments received from insurance carriers (86,383) (129,740)
Provision for expected credit losses 48 87
Ending balance 22,855 65,889
TPA Fee    
Contract With Customer, Asset [Roll Forward]    
Beginning balance 1,609 1,316
Increase of contract asset due to new business generation 10,055 8,924
Adjustment of contract asset due to estimation of revenue from performance obligations satisfied in previous periods 0 0
Receivables transferred from contract assets upon billing the lending institutions 0 0
Payments received from insurance carriers (9,942) (8,632)
Provision for expected credit losses (1) 1
Ending balance 1,721 1,609
Program Fee    
Contract With Customer, Asset [Roll Forward]    
Beginning balance 7,932 6,154
Increase of contract asset due to new business generation 64,245 80,812
Adjustment of contract asset due to estimation of revenue from performance obligations satisfied in previous periods 0 0
Receivables transferred from contract assets upon billing the lending institutions (67,440) (79,039)
Payments received from insurance carriers 0 0
Provision for expected credit losses 1 5
Ending balance $ 4,738 $ 7,932