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Details of Certain Balance Sheet Accounts (Tables)
12 Months Ended
Dec. 31, 2011
Details of Certain Balance Sheet Accounts [Abstract]  
Additional information regarding certain balance sheet accounts
The table below presents additional information regarding certain balance sheet accounts (in thousands):
 
   
December 31,
 
     
2011
   
2010
 
Receivables, net:
           
 
Trade accounts
$
85,321
 
$
80,705
 
 
Vendor incentives
 
29,373
   
24,727
 
 
Other, net
 
1,761
   
3,213
 
 
Total receivables
 
116,455
   
108,645
 
 
Less allowance for doubtful accounts
 
(5,900
)
 
(7,102
)
Receivables, net
$
110,555
 
$
101,543
 
               
Prepaid expenses and other current assets:
           
 
Prepaid expenses
$
7,527
 
$
7,354
 
 
Other current assets
 
3,771
   
324
 
Prepaid expenses and other current assets
$
11,298
 
$
7,678
 
               
Property and equipment, net:
           
 
Land
$
1,641
 
$
1,641
 
 
Building
 
2,188
   
2,250
 
 
Leasehold improvements
 
24,820
   
21,825
 
 
Autos and trucks
 
7,099
   
1,929
 
 
Machinery and equipment
 
24,433
   
22,161
 
 
Computer equipment
 
31,616
   
27,835
 
 
Furniture and fixtures
 
7,480
   
6,608
 
 
Fixed assets in progress
 
2,000
   
1,962
 
 
Total property and equipment
 
101,277
   
86,211
 
 
Less accumulated depreciation
 
(59,883
)
 
(55,526
)
Property and equipment, net
$
41,394
 
$
30,685
 
               
Other assets, net:
           
 
Non-current deferred tax assets, net
$
22,457
 
$
22,779
 
 
Other, net
 
6,949
   
6,042
 
Other assets, net
$
29,406
 
$
28,821
 
               
Accrued expenses and other current liabilities:
           
 
Salaries and bonuses
$
36,141
 
$
20,705
 
 
Current deferred tax liabilities
 
2,976
   
3,226
 
 
Other
 
14,281
   
17,773
 
Accrued expenses and other current liabilities
$
53,398
 
$
41,704