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Fair Value Measurement - Summary of Fair Value of Assets and Liabilities Measured on Recurring Basis (Details) - Fair Value, Recurring - USD ($)
$ in Thousands
Dec. 31, 2022
Jun. 30, 2022
Assets    
Cash equivalents: $ 1,266,835 $ 1,446,541
Short-term investments: 1,066,538 1,108,493
Funds held for customers: 1,296,603 1,284,718
Beneficial interest derivative on card receivables sold   398
Total assets measured at fair value 3,896,719 4,008,410
Liabilities    
Contingent consideration 10,794  
Total liabilities measured at fair value 10,794  
Money market funds    
Assets    
Cash equivalents: 1,227,764 1,435,111
Corporate bonds    
Assets    
Cash equivalents: 19,121 11,430
Short-term investments: 641,267 597,204
Funds held for customers: 734,878 807,685
U.S. treasury securities    
Assets    
Cash equivalents: 19,950  
Short-term investments: 313,704 421,728
Funds held for customers: 53,221 3,072
U.S. agency securities    
Assets    
Short-term investments: 26,119  
Asset-backed securities    
Assets    
Short-term investments: 31,270 51,406
Funds held for customers: 81,680 69,912
Certificates of deposit    
Assets    
Short-term investments: 54,178 38,155
Funds held for customers: 426,189 397,533
Municipal bonds    
Assets    
Funds held for customers: 635 6,516
Restricted cash equivalents: | Corporate bonds    
Assets    
Funds held for customers: 237,682 133,557
Restricted cash equivalents: | Restricted cash equivalents:    
Assets    
Funds held for customers: 266,743 168,260
Restricted cash equivalents: | Restricted cash equivalents: | Money market funds    
Assets    
Funds held for customers: 29,061 34,703
Level 1    
Assets    
Cash equivalents: 1,247,714 1,435,111
Short-term investments: 313,704 421,728
Funds held for customers: 53,221 3,072
Beneficial interest derivative on card receivables sold   0
Total assets measured at fair value 1,643,700 1,894,614
Liabilities    
Contingent consideration 0  
Total liabilities measured at fair value 0  
Level 1 | Money market funds    
Assets    
Cash equivalents: 1,227,764 1,435,111
Level 1 | Corporate bonds    
Assets    
Cash equivalents: 0 0
Short-term investments: 0 0
Funds held for customers: 0 0
Level 1 | U.S. treasury securities    
Assets    
Cash equivalents: 19,950  
Short-term investments: 313,704 421,728
Funds held for customers: 53,221 3,072
Level 1 | U.S. agency securities    
Assets    
Short-term investments: 0  
Level 1 | Asset-backed securities    
Assets    
Short-term investments: 0 0
Funds held for customers: 0 0
Level 1 | Certificates of deposit    
Assets    
Short-term investments: 0 0
Funds held for customers: 0 0
Level 1 | Municipal bonds    
Assets    
Funds held for customers: 0 0
Level 1 | Restricted cash equivalents: | Corporate bonds    
Assets    
Funds held for customers: 0 0
Level 1 | Restricted cash equivalents: | Restricted cash equivalents:    
Assets    
Funds held for customers: 29,061 34,703
Level 1 | Restricted cash equivalents: | Restricted cash equivalents: | Money market funds    
Assets    
Funds held for customers: 29,061 34,703
Level 2    
Assets    
Cash equivalents: 19,121 11,430
Short-term investments: 752,834 686,765
Funds held for customers: 1,243,382 1,281,646
Beneficial interest derivative on card receivables sold   0
Total assets measured at fair value 2,253,019 2,113,398
Liabilities    
Contingent consideration 0  
Total liabilities measured at fair value 0  
Level 2 | Money market funds    
Assets    
Cash equivalents: 0 0
Level 2 | Corporate bonds    
Assets    
Cash equivalents: 19,121 11,430
Short-term investments: 641,267 597,204
Funds held for customers: 734,878 807,685
Level 2 | U.S. treasury securities    
Assets    
Cash equivalents: 0  
Short-term investments: 0 0
Funds held for customers: 0 0
Level 2 | U.S. agency securities    
Assets    
Short-term investments: 26,119  
Level 2 | Asset-backed securities    
Assets    
Short-term investments: 31,270 51,406
Funds held for customers: 81,680 69,912
Level 2 | Certificates of deposit    
Assets    
Short-term investments: 54,178 38,155
Funds held for customers: 426,189 397,533
Level 2 | Municipal bonds    
Assets    
Funds held for customers: 635 6,516
Level 2 | Restricted cash equivalents: | Corporate bonds    
Assets    
Funds held for customers: 237,682 133,557
Level 2 | Restricted cash equivalents: | Restricted cash equivalents:    
Assets    
Funds held for customers: 237,682 133,557
Level 2 | Restricted cash equivalents: | Restricted cash equivalents: | Money market funds    
Assets    
Funds held for customers: 0 0
Level 3    
Assets    
Cash equivalents: 0 0
Short-term investments: 0 0
Funds held for customers: 0 0
Beneficial interest derivative on card receivables sold   398
Total assets measured at fair value 0 398
Liabilities    
Contingent consideration 10,794  
Total liabilities measured at fair value 10,794  
Level 3 | Money market funds    
Assets    
Cash equivalents: 0 0
Level 3 | Corporate bonds    
Assets    
Cash equivalents: 0 0
Short-term investments: 0 0
Funds held for customers: 0 0
Level 3 | U.S. treasury securities    
Assets    
Cash equivalents: 0  
Short-term investments: 0 0
Funds held for customers: 0 0
Level 3 | U.S. agency securities    
Assets    
Short-term investments: 0  
Level 3 | Asset-backed securities    
Assets    
Short-term investments: 0 0
Funds held for customers: 0 0
Level 3 | Certificates of deposit    
Assets    
Short-term investments: 0 0
Funds held for customers: 0 0
Level 3 | Municipal bonds    
Assets    
Funds held for customers: 0 0
Level 3 | Restricted cash equivalents: | Corporate bonds    
Assets    
Funds held for customers: 0 0
Level 3 | Restricted cash equivalents: | Restricted cash equivalents:    
Assets    
Funds held for customers: 0 0
Level 3 | Restricted cash equivalents: | Restricted cash equivalents: | Money market funds    
Assets    
Funds held for customers: $ 0 $ 0