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Receivables (Tables)
12 Months Ended
Jun. 30, 2022
Receivables [Abstract]  
Schedule Of Short-Term Receivables
Receivables, net of their related allowance, consist of the following:
(in 000s)
As ofJune 30, 2022June 30, 2021April 30, 2021
Short-termLong-termShort-termLong-termShort-termLong-term
Loans to franchisees$6,194 $22,036 $9,497 $28,026 $16,666 $28,909 
Receivables for U.S. assisted and DIY tax preparation and related fees18,893 2,560 41,900 3,793 92,531 3,793 
H&R Block's Instant RefundSM receivables
3,491 198 2,357 159 35,665 1,463 
H&R Block Emerald Advance® lines of credit
6,691 8,825 8,248 8,089 9,210 17,095 
Software receivables from retailers3,992  2,910 — 4,823 — 
Royalties and other receivables from franchisees3,682 73 6,167 178 16,136 196 
Wave payment processing receivables1,393  2,187 — 1,569 — 
Other14,111 1,172 15,666 1,350 21,276 1,233 
$58,447 $34,864 $88,932 $41,595 $197,876 $52,689 
Schedule Of Receivables Based On Year Of Origination
Current balances and amounts on non-accrual status and classified as impaired, or more than 60 days past due, by tax return year of origination, as of June 30, 2022 are as follows:
(in 000s)
Tax return year of originationCurrent BalanceMore Than 60 Days Past Due
2021$4,997 $2,903 
2020 and prior131 131 
5,128 $3,034 
Allowance(1,439)
Net balance$3,689 
Current balances and amounts on non-accrual status and classified as impaired, or more than 60 days past due, by fiscal year of origination as of June 30, 2022, are as follows:
(in 000s)
Fiscal year of originationCurrent BalanceNon-Accrual
2022$26,040 $26,040 
2021 and prior458 458 
Revolving loans15,159 12,867 
41,657 $39,365 
Allowance(26,141)
Net balance$15,516 
Schedule Of Activity In The Allowance For Doubtful Accounts Activity in the allowance for credit losses for EAs and all other short-term and long-term receivables for the periods ended June 30, 2022, June 30, 2021, April 30, 2021 and April 30, 2020 is as follows:
(in 000s)
EAsAll OtherTotal
Balances as of May 1, 2019$27,535 $53,938 $81,473 
Provision21,771 54,850 76,621 
Charge-offs, recoveries and other(17,272)(58,342)(75,614)
Balances as of April 30, 2020$32,034 $50,446 $82,480 
Provision14,319 59,132 73,451 
Charge-offs, recoveries and other(18,649)(53,774)(72,423)
Balances as of April 30, 202127,704 55,804 83,508 
Provision— 4,617 4,617 
Charge-offs, recoveries and other— (149)(149)
Balances as of June 30, 202127,704 60,272 87,976 
Provision14,814 51,993 66,807 
Charge-offs, recoveries and other(16,377)(61,139)(77,516)
Balances as of June 30, 2022$26,141 $51,126 $77,267