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Detail of Certain Balance Sheet Captions
12 Months Ended
Dec. 31, 2022
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Detail of Certain Balance Sheet Captions Detail of Certain Balance Sheet Captions
The following table presents the detail of other current assets as recorded in the consolidated balance sheets:

As of December 31,
20222021
(in thousands)
Inventory$152,113 $127,955 
Current portion of customer notes receivable114,910 56,074 
Restricted cash51,733 80,213 
Other prepaid assets16,870 14,920 
Deferred receivables7,392 4,818 
Current portion of investments in solar receivables7,107 6,787 
Prepaid inventory622 4,835 
Other553 719 
Total$351,300 $296,321 

The following table presents the detail of other assets as recorded in the consolidated balance sheets:

As of December 31,
20222021
(in thousands)
Construction in progress - customer notes receivable$382,611 $238,791 
Restricted cash133,584 68,583 
Exclusivity and other bonus arrangements with dealers, net121,313 81,756 
Investments in solar receivables65,064 75,871 
Straight-line revenue adjustment, net53,086 43,367 
Other206,233 62,768 
Total$961,891 $571,136 
The following table presents the detail of other current liabilities as recorded in the consolidated balance sheets:

As of December 31,
20222021
(in thousands)
Interest payable$35,258 $22,740 
Deferred revenue30,172 15,273 
Current portion of operating and finance lease liability3,247 1,850 
Current portion of performance guarantee obligations2,495 3,175 
Other334 1,312 
Total$71,506 $44,350