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Supplemental Balance Sheet Detail (Details) - USD ($)
$ in Thousands
Mar. 31, 2023
Dec. 31, 2022
Prepaid and other current assets:    
Inventories $ 16,305 $ 19,341
Prepaid expenses 2,155 2,923
Prepaid and other current assets 18,460 22,264
Other assets:    
Deferred issuance costs of the Credit Facility, net of amortization 2,926 3,218
Right-of-use assets – operating leases 3 14,197 989
Other 155 213
Other assets 17,278 4,420
Accounts payable and accrued liabilities:    
Trade accounts payable 50,366 58,592
Drilling and other lease operating costs 50,318 62,842
Revenue and royalties payable 101,418 104,512
Production, ad valorem and other taxes 11,764 10,547
Derivative settlements to counterparties 3,074 4,109
Compensation and benefits 3,197 6,927
Interest 5,432 14,655
Current operating lease obligations 3 11,043 907
Other 3,180 2,518
Accounts payable and accrued liabilities 239,792 265,609
Other non-current liabilities:    
Asset retirement obligations 8,960 8,849
Non-current operating lease obligations 3 3,373 200
Postretirement benefit plan obligations 798 885
Other non-current liabilities 13,131 9,934
Tubular inventory and well materials 15,700 18,700
Capitalized costs - crude oil in storage $ 600 600
Drilling and completion prepayment   $ 500