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Funds Held for Customers (Tables)
9 Months Ended
Mar. 31, 2023
Investments, Debt and Equity Securities [Abstract]  
Summary of Funds Held For Customers
Funds held for customers consisted of the following as of the dates presented (in thousands):
March 31,
2023
June 30,
2022
Restricted cash$1,542,959 $1,685,937 
Restricted cash equivalents332,861 168,260 
Funds receivable13,401 6,747 
Corporate bonds632,183 807,685 
Certificates of deposit386,090 397,533 
Municipal bonds— 6,516 
Asset-backed securities90,217 69,912 
U.S. agency securities27,226 — 
U.S. treasury securities92,370 3,072 
Total funds held for customers3,117,307 3,145,662 
Less - income earned by the Company included in other current assets
(10,947)(3,002)
Total funds held for customers, net of income earned by the Company$3,106,360 $3,142,660 
Summary of Fair Value of Funds Held For Customers Invested In Short Term Marketable Debt Securities
Below is a summary of the fair value of funds held for customers that were invested in short-term marketable debt securities as of the dates presented (in thousands):
March 31, 2023
Amortized
cost
Gross
unrealized
gains
Gross
unrealized
losses
Fair value
Corporate bonds$632,293 $18 $(128)$632,183 
Certificates of deposit386,106 (20)386,090 
U.S. agency securities27,165 61 — 27,226 
Asset-backed securities90,636 — (419)90,217 
U.S. treasury securities92,397 41 (68)92,370 
Total$1,228,597 $124 $(635)$1,228,086 
June 30, 2022
Amortized
cost
Gross
unrealized
gains
Gross
unrealized
losses
Fair value
Corporate bonds$809,113 $$(1,429)$807,685 
Certificates of deposit397,533 — — 397,533 
Municipal bonds6,542 — (26)6,516 
Asset backed securities70,574 — (662)69,912 
U.S. treasury securities3,082 — (10)3,072 
Total$1,286,844 $$(2,127)$1,284,718 
Summary of Gross Unrealized Losses And Fair Values The following tables present gross unrealized losses and fair values for those investments that were in an unrealized loss position as of the dates presented (in thousands):
March 31, 2023
Fair valueUnrealized
losses
Corporate bonds$89,777 $(128)
Certificates of deposit7,950 (20)
Asset-backed securities90,217 (419)
U.S. treasury securities23,426 (68)
Total$211,370 $(635)
June 30, 2022
Fair valueUnrealized
losses
Corporate bonds$301,625 $(1,429)
Municipal bonds6,516 (26)
Asset backed securities64,361 (662)
U.S. treasury securities3,072 (10)
Total$375,574 $(2,127)