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Revenue (Tables)
3 Months Ended
Dec. 31, 2022
Revenue from Contract with Customer [Abstract]  
Disaggregation of Revenue
Information regarding the source of revenue:
Three Months Ended
December 31,
20222021
Revenue from contracts with customers recognized under Topic 606
$391,431 $317,771 
Other(1)
44,415 48,497 
Total$435,846 $366,268 
(1)     Other revenue relates to revenue recognized pursuant to ASU 2016-02, Leases (Topic 842), primarily attributable to long term rentals.
Information regarding revenue disaggregated by source of revenue and segment is as follows:

Three Months Ended
December 31,
20222021
Integrated Solutions and Services
Capital$77,646 $67,102 
Aftermarket57,440 29,298 
Service170,340 148,646 
Total$305,426 $245,046 
Applied Product Technologies
Capital$88,065 $83,884 
Aftermarket37,240 32,284 
Service5,115 5,054 
Total$130,420 $121,222 
Total Revenue
Capital$165,711 $150,986 
Aftermarket94,680 61,582 
Service175,455 153,700 
Total$435,846 $366,268 

Information regarding revenue disaggregated by geographic area is as follows:
Three Months Ended
December 31,
20222021
United States$361,222 $294,708 
Asia34,521 30,905 
Europe24,487 25,629 
Canada13,174 12,661 
Australia2,442 2,365 
Total$435,846 $366,268 
Contract with Customer, Asset and Liability
The tables below provide a roll-forward of contract assets and contract liabilities balances for the periods presented:
Three Months Ended
December 31,
Contract assets(a)
20222021
Balance at beginning of period$102,123 $72,746 
Recognized in current period91,519 120,387 
Reclassified to accounts receivable(74,004)(108,684)
Foreign currency(1,172)533 
Balance at end of period$118,466 $84,982 
(a)     Excludes receivable balances which are disclosed on the Consolidated Balance Sheets.
Three Months Ended
December 31,
Contract Liabilities 20222021
Balance at beginning of period$62,439 $55,883 
Recognized in current period82,819 100,017 
Amounts in beginning balance reclassified to revenue(49,264)(43,266)
Current period amounts reclassified to revenue(20,530)(59,653)
Foreign currency2,125 41 
Balance at end of period$77,589 $53,022