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Restatement of 2018 Condensed Consolidated Financial Statements
6 Months Ended
Jun. 30, 2019
Restatement of 2018 Condensed Consolidated Financial Statements  
Restatement of 2018 Condensed Consolidated Financial Statements

16. Restatement of 2018 Condensed Consolidated Financial Statements

The following tables present the immaterial impact of consolidating PJMF in our 2018 condensed consolidated financial statements. See Notes 2 and 5 for additional information.

Condensed Consolidated Balance Sheet (unaudited)

December 30, 2018

(In thousands)

As Reported

Change

As Restated

Cash and cash equivalents

$

19,468

$

13,790

$

33,258

Accounts receivable, net

67,854

10,264

78,118

Income tax receivable

16,073

73

16,146

Prepaid expenses

29,935

441

30,376

Other current assets

5,677

1

5,678

Total current assets

171,708

24,569

196,277

Deferred income taxes, net

756

381

1,137

Total assets

570,947

24,950

595,897

Accounts payable

29,891

(2,785)

27,106

Accrued expenses and other current liabilities

105,712

23,455

129,167

Current deferred revenue

2,443

155

2,598

Current portion of long-term debt

20,000

9

20,009

Total current liabilities

164,636

20,834

185,470

Deferred revenue

14,679

5,995

20,674

Total liabilities

867,617

26,829

894,446

Retained earnings

244,061

(1,879)

242,182

Total stockholders' deficit

(302,134)

(1,879)

(304,013)

Total liabilities, Series B preferred stock, redeemable noncontrolling interests, and stockholders' deficit

570,947

24,950

595,897

Three Months Ended

Six Months Ended

July 1, 2018

July 1, 2018

(In thousands, except per share amounts)

As Reported

Change

As Restated

As Reported

Change

As Restated

Condensed Consolidated Statements of Operations

Other revenues

$

20,144

$

21,993

$

42,137

$

40,638

$

44,746

$

85,384

Total revenues

407,959

21,993

429,952

835,328

44,746

880,074

Domestic Company-owned restaurant expenses

147,781

87

147,868

305,100

342

305,442

Other expenses

20,698

22,103

42,801

41,656

43,512

85,168

General and administrative expenses

38,712

260

38,972

78,441

527

78,968

Total costs and expenses

380,470

22,450

402,920

780,726

44,381

825,107

Operating income (loss)

25,367

(457)

24,910

52,684

365

53,049

Net interest expense

(5,662)

(135)

(5,797)

(10,617)

(255)

(10,872)

Income (loss) before income taxes

19,705

(592)

19,113

42,067

110

42,177

Income tax expense

7,040

-

7,040

12,022

(4)

12,018

Net income (loss) before attribution to noncontrolling interests

12,665

(592)

12,073

30,045

114

30,159

Net income (loss) attributable to the Company

11,791

(592)

11,199

28,528

114

28,642

Net income (loss) attributable to common shareholders

11,719

(592)

11,127

28,381

114

28,495

Basic earnings (loss) per common share

0.37

(0.02)

0.35

0.87

-

0.87

Diluted earnings (loss) per common share

0.36

(0.01)

0.35

0.86

0.01

0.87

Condensed Consolidated Statement of Cash Flows

Operating activities

Net income before attribution to noncontrolling interests

$

30,045

$

114

$

30,159

Accounts receivable

(148)

3,262

3,114

Income tax receivable

3,678

(50)

3,628

Prepaid expenses

1,159

126

1,285

Other current assets

5,524

(2,248)

3,276

Other assets and liabilities

(2,202)

(4)

(2,206)

Accounts payable

2,511

4,482

6,993

Accrued expenses and other current liabilities

(2,506)

(4,379)

(6,885)

Deferred revenue

379

(2,077)

(1,698)

Net cash provided by operating activities

74,201

(774)

73,427

Financing activities

Net (repayments) proceeds of revolving credit facilities

119,400

167

119,567

Net cash used in financing activities

(53,855)

167

(53,688)

Change in cash and cash equivalents

3,374

(607)

2,767

Cash and cash equivalents at beginning of period

22,345

5,546

27,891

Cash and cash equivalents at end of period

25,719

4,939

30,658

Three Months Ended

Nine Months Ended

September 30, 2018

September 30, 2018

(In thousands, except per share amounts)

As Reported

Change

As Restated

As Reported

Change

As Restated

Condensed Consolidated Statements of Operations

Other revenues

$

21,023

$

21,224

$

42,247

$

61,661

$

65,970

$

127,631

Total revenues

364,007

21,224

385,231

1,199,335

65,970

1,265,305

Domestic Company-owned restaurant expenses

135,836

421

136,257

440,936

763

441,699

Other expenses

22,002

20,734

42,736

63,658

64,246

127,904

General and administrative expenses

55,462

249

55,711

133,903

777

134,680

Total costs and expenses

377,997

21,404

399,401

1,158,723

65,786

1,224,509

Operating (loss) income

(13,990)

(180)

(14,170)

38,694

185

38,879

Net interest expense

(5,963)

(95)

(6,058)

(16,580)

(350)

(16,930)

(Loss) Income before income taxes

(19,953)

(275)

(20,228)

22,114

(165)

21,949

Income tax (benefit) expense

(7,359)

(13)

(7,372)

4,663

(13)

4,650

Net (loss) income before attribution to noncontrolling interests

(12,594)

(262)

(12,856)

17,451

(153)

17,298

Net (loss) income attributable to the Company

(13,033)

(262)

(13,295)

15,495

(153)

15,342

Net (loss) income attributable to common shareholders

(13,033)

(262)

(13,295)

15,348

(153)

15,195

Basic (loss) earnings per common share

(0.41)

(0.01)

(0.42)

0.48

(0.01)

0.47

Diluted (loss) earnings per common share

(0.41)

(0.01)

(0.42)

0.47

-

0.47

Condensed Consolidated Statement of Cash Flows

Operating activities

Net income before attribution to noncontrolling interests

$

17,451

$

(153)

$

17,298

Accounts receivable

7,410

3,673

11,083

Income tax receivable

(7,373)

(50)

(7,423)

Prepaid expenses

7,663

434

8,097

Other current assets

5,016

(1,482)

3,534

Other assets and liabilities

(4,899)

(11)

(4,910)

Accounts payable

769

1,332

2,101

Accrued expenses and other current liabilities

18,772

4,333

23,105

Deferred revenue

(4)

(1,856)

(1,860)

Net cash provided by operating activities

98,812

6,220

105,032

Financing activities

Net proceeds (repayments) of revolving credit facilities

123,600

(2,124)

121,476

Net cash used in financing activities

(73,844)

(2,124)

(75,968)

Change in cash and cash equivalents

2,535

4,096

6,631

Cash and cash equivalents at beginning of period

22,345

5,546

27,891

Cash and cash equivalents at end of period

24,880

9,642

34,522

Three Months Ended

Year Ended

December 30, 2018

December 30, 2018

(In thousands, except per share amounts)

As Reported

Change

As Restated

As Reported

Change

As Restated

Condensed Consolidated Statements of Operations

Other revenues

$

19,767

$

21,853

$

41,620

$

81,428

$

87,823

$

169,251

Total revenues

373,981

21,853

395,834

1,573,316

87,823

1,661,139

Domestic Company-owned restaurant expenses

135,862

96

135,958

576,799

859

577,658

Other expenses

20,358

20,562

40,920

84,016

84,808

168,824

General and administrative expenses

58,648

206

58,854

192,551

983

193,534

Total costs and expenses

383,924

20,864

404,788

1,542,647

86,650

1,629,297

Operating (loss) income

(8,314)

989

(7,325)

30,380

1,173

31,553

Net interest expense

(7,909)

(17)

(7,926)

(25,306)

(367)

(25,673)

(Loss) Income before income taxes

(16,224)

972

(15,252)

5,891

806

6,697

Income tax (benefit) expense

(2,018)

(9)

(2,027)

2,646

(22)

2,624

Net (loss) income before attribution to noncontrolling interests

(14,206)

981

(13,225)

3,245

828

4,073

Net (loss) income attributable to the Company

(13,849)

981

(12,868)

1,646

828

2,474

Net (loss) income attributable to common shareholders

(13,849)

981

(12,868)

1,646

828

2,474

Basic (loss) earnings per common share

(0.44)

0.03

(0.41)

0.05

0.03

0.08

Diluted (loss) earnings per common share

(0.44)

0.03

(0.41)

0.05

0.03

0.08

Condensed Consolidated Statement of Cash Flows

Operating activities

Net income before attribution to noncontrolling interests

$

3,245

$

828

$

4,073

Deferred income taxes

1,705

(85)

1,620

Accounts receivable

1,386

2,859

4,245

Income tax receivable

(12,170)

13

(12,157)

Prepaid expenses

(2,165)

1,126

(1,039)

Accounts payable

(1,694)

1,294

(400)

Accrued expenses and other current liabilities

10,273

14,904

25,177

Deferred revenue

(271)

(1,280)

(1,551)

Net cash provided by operating activities

72,795

19,659

92,454

Financing activities

Net proceeds (repayments) of revolving credit facilities

175,000

(11,415)

163,585

Net cash used in financing activities

(36,682)

(11,415)

(48,097)

Change in cash and cash equivalents

(2,877)

8,244

5,367

Cash and cash equivalents at beginning of period

22,345

5,546

27,891

Cash and cash equivalents at end of period

19,468

13,790

33,258