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SUPPLEMENTAL BALANCE SHEET INFORMATION
6 Months Ended
Jun. 30, 2012
Supplemental Balance Sheet Information [Abstract]  
Supplemental Balance Sheet Information
NOTE 3. SUPPLEMENTAL BALANCE SHEET INFORMATION

The composition of selected balance sheet accounts are as follows:

 
 
June 30,
2012
  
December 31, 2011
 
Contract receivables, net:
 
  
 
Billed receivables
 
29,242
  
25,821
 
Unbilled receivables(1):
        
Revenues recorded in excess of milestone billings on fixed price contracts with state and local government agencies
  
6,075
   
7,058
 
Retainages and fee withholdings
  
573
   
518
 
Other unbilled receivables
  
29,167
   
33,935
 
Total unbilled receivables
  
35,815
   
41,511
 
Allowance for doubtful accounts
  
(985
)
  
(866
)
Contract receivables, net
 
64,072
  
66,466
 
 
        
Prepaid expenses and other current assets:
        
Restricted cash
 
251
  
240
 
Other
  
3,999
   
2,326
 
Prepaid expenses and other current assets
 
4,250
  
2,566
 
 
        
Property and equipment, net:
        
Software
 
11,338
  
11,334
 
Furniture and other equipment
  
10,084
   
10,185
 
Leasehold improvements
  
11,127
   
10,861
 
Property and equipment
  
32,549
   
32,380
 
Less accumulated depreciation
  
(18,898
)
  
(17,115
)
Property and equipment, net
 
13,651
  
15,265
 
 
        
Other noncurrent assets:
        
Deferred compensation plan investments
 
1,374
  
1,395
 
Equity investments
  
914
   
1,038
 
Other
  
1,686
   
1,879
 
Other noncurrent assets
 
3,974
  
4,312
 
 
        
Accrued compensation and employee benefits:
        
Accrued vacation
 
6,778
  
6,036
 
Accrued compensation and related taxes
  
6,224
   
11,601
 
Accrued pension liability
  
5,122
   
5,480
 
Other
  
1,959
   
1,785
 
Accrued compensation and employee benefits
 
20,083
  
24,902
 
 
        
Other accrued expenses:
        
Accrued interest
 
193
  
1,525
 
Deferred rent liability
  
1,136
   
554
 
Deferred gain on sale of building
  
676
   
676
 
Net working capital payment accrual
  
-
   
2,388
 
Other
  
3,240
   
3,413
 
Other accrued expenses
 
5,245
  
8,556
 
 
        


 
 
June 30,
2012
  
December 31, 2011
 
Other long-term liabilities:
 
  
 
Accrued pension liability
 
21,743
  
21,576
 
Deferred rent liability
  
6,068
   
6,610
 
Deferred gain on sale of building
  
1,690
   
2,028
 
Deferred compensation plan liability
  
1,374
   
1,395
 
Other
  
970
   
1,457
 
Other long-term liabilities
 
31,845
  
33,066
 

(1)
At June 30, 2012 and December 31, 2011, unbilled retainages and fee withholdings of $0.5 million were not anticipated to be billed within one year. Additionally, at December 31, 2011 $0.2 million of the other unbilled receivable balances were not scheduled to be invoiced within one year.