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Additional Balance Sheet Information
12 Months Ended
Dec. 31, 2014
Balance Sheet Related Disclosures [Abstract]  
Additional Balance Sheet Information
Additional Balance Sheet Information
Certain balance sheet amounts are comprised of the following:
 
December 31,
(In thousands)
2014
 
2013
Accounts receivable, net
 

 
 

Trade accounts
$
227,835

 
$
215,361

Joint interest accounts
2,245

 
7,261

Income taxes receivable
3,612

 
922

Other accounts
6,515

 
746

 
240,207

 
224,290

Allowance for doubtful accounts
(1,198
)
 
(1,814
)
 
$
239,009

 
$
222,476

Inventories
 

 
 

Natural gas in storage
$
3,281

 
$
9,056

Tubular goods and well equipment
10,675

 
8,396

Other accounts
70

 
16

 
$
14,026

 
$
17,468

Other current assets
 

 
 

Prepaid balances and other
1,855

 
2,587

 
$
1,855

 
$
2,587

Other assets
 
 
 
Deferred compensation plan
$
13,115

 
$
12,507

Debt issuance cost
17,349

 
16,476

Other accounts
65

 
79

 
$
30,529

 
$
29,062

Accounts payable
 

 
 

Trade accounts
54,949

 
26,023

Natural gas purchases
2,407

 
2,052

Royalty and other owners
97,298

 
79,150

Accrued capital costs
222,426

 
146,899

Taxes other than income
16,806

 
13,677

Drilling advances
88

 
14,093

Other accounts
6,102

 
6,907

 
$
400,076

 
$
288,801

Accrued liabilities
 

 
 

Employee benefits
$
22,815

 
$
43,599

Taxes other than income
7,128

 
6,894

Interest payable
30,677

 
20,211

Other accounts
3,049

 
2,897

 
$
63,669

 
$
73,601

Other liabilities
 

 
 

Deferred compensation plan
$
28,932

 
$
33,211

Other accounts
10,675

 
13,043

 
$
39,607

 
$
46,254