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Selected Balance Sheet Accounts (Tables)
3 Months Ended
Mar. 31, 2016
Selected Balance Sheet Accounts [Abstract]  
Property and equipment
    March 31,     December 31,  
    2016     2015  
    (in thousands)  
Computer software and hardware and capitalized internal use software   $ 16,629     $ 15,741  
Furniture and equipment     1,424       1,419  
Leasehold improvements     1,429       1,424  
      19,482       18,584  
Less – Accumulated depreciation and amortization     (14,670 )     (14,288 )
Property and equipment, net   $ 4,812     $ 4,296  
Intangible assets amortized over the estimated useful lives
   

Estimated

Useful Life

    March 31, 2016       December 31, 2015  
Intangible Asset     Gross       Accumulated Amortization       Net       Gross       Accumulated Amortization       Net  
        (in thousands)  
Trademarks/trade names/licenses/domain    5 years – Indefinite   $ 11,494     $ (6,245 )   $ 5,249     $ 11,494     $ (6,071 )   $ 5,423  
Software and publications    3 years     1,300       (1,300 )           1,300       (1,300 )      
Customer relationships    2-10 years     19,563       (5,127 )     14,436       19,563       (4,341 )     15,222  
Employment/non-compete agreements    5 years     1,510       (963 )     547       1,510       (849 )     661  
Developed technology    1-5 years     8,955       (1,102 )     7,853       8,955       (746 )     8,209  
      $ 42,822     $ (14,737 )   $ 28,085     $ 42,822     $ (13,307 )   $ 29,515  
Amortization expense for the remainder of the year and for the next four years
Year   Amortization Expense  
    (in thousands)  
2016   $ 4,217  
2017     5,427  
2018     5,052  
2019     3,655  
2020     2,224  
2021     2,116  
    $ 22,691  
Goodwill
Goodwill as of December 31, 2015   $ 42,903  
Current year activity     (114 )
Goodwill as of March 31, 2016   $ 42,789  
Accrued expenses and other current liabilities
    March 31,     December 31,  
    2016     2015  
    (in thousands)  
Compensation and related costs and professional fees   $ 1,793     $ 3,981  
Other accrued expenses     4,937       5,715  
Amounts due to customers     575       486  
Other current liabilities     470       562  
Total accrued expenses and other current liabilities   $ 7,775     $ 10,744