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Balance Sheet Details (Tables)
12 Months Ended
Dec. 31, 2022
Balance Sheet Related Disclosures [Abstract]  
Summary of Balance Sheet Details
 December 31,
 20222021
(amounts in thousands)
Insurance recovery receivable:  
Insurance recovery for health claims$1,143 $300 
Insurance recovery for workers’ compensation claims3,117 2,836 
Insurance recovery for professional liability claims3,174 1,905 
 $7,434 $5,041 
Non-current insurance recovery receivable:
Insurance recovery for workers’ compensation claims$5,831 $4,861 
Insurance recovery for professional liability claims17,227 9,137 
$23,058 $13,998 
Other non-current assets:
Security deposits$724 $672 
Deferred compensation assets2,477 1,398 
Net debt issuance costs3,437 991 
Finance lease right-of-use assets11 57 
Cloud computing asset4,460 4,840 
$11,109 $7,958 
Accounts payable and accrued expenses:
Trade accounts payable$12,863 $3,143 
Subcontractor payable145,587 91,712 
Accrued expenses27,057 14,898 
$185,507 $109,753 
Accrued compensation and benefits:
Salaries and payroll taxes$40,983 $39,139 
Accrued bonuses and commissions11,798 10,755 
Accrued workers’ compensation claims9,147 8,394 
Accrued professional liability claims3,426 2,448 
Accrued health care claims6,179 4,081 
Accrued vacation1,072 763 
 $72,605 $65,580 
Non-current accrued claims:
Accrued workers’ compensation claims$14,699 $11,777 
Accrued professional liability claims21,182 13,537 
$35,881 $25,314 
Other non-current liabilities:
Restructuring$1,084 $1,829 
Deferred tax liability247 190 
Deferred compensation2,507 2,457 
Other— 508 
$3,838 $4,984