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Balance Sheet Components (Tables)
3 Months Ended
Mar. 31, 2020
Balance Sheet Components  
Schedule of property and equipment

March 31, 

December 31, 

Useful Life

2020

    

2019

(in thousands)

Machinery and equipment

3-5 years

$

41,634

$

36,414

Furniture and fixtures

3 years

1,376

 

1,376

Computer equipment

3 years

1,796

 

1,828

Capitalized software held for internal use

3 years

6,480

5,917

Leasehold improvements

Lesser of useful life or lease term

11,746

 

11,556

Construction-in-process

7,037

 

7,716

70,069

 

64,807

Less: Accumulated depreciation and amortization

(43,351)

 

(41,524)

Total Property and Equipment, net

$

26,718

$

23,283

Schedule of accrued compensation

March 31, 

    

December 31, 

2020

    

2019

(in thousands)

Accrued paid time off

$

1,912

$

1,850

Accrued commissions

 

6,997

 

5,767

Accrued bonuses

 

2,017

 

5,710

Other accrued compensation

 

5,027

 

2,761

Total accrued compensation

$

15,953

$

16,088

Schedule of other accrued liabilities

March 31, 

    

December 31, 

2020

    

2019

(in thousands)

Reserves for refunds to insurance carriers

$

11,599

$

9,410

Accrued charges for outsourced testing

6,051

8,408

Testing and laboratory materials from suppliers

7,821

4,301

Marketing and corporate affairs

2,136

2,957

Legal, audit and consulting fees

 

5,055

 

2,873

Accrued shipping charges

209

305

Sales tax payable

1,412

1,691

Accrued specimen service fees

1,066

2,269

Clinical trials and studies

1,157

1,092

Operating lease liabilities, current portion

5,947

5,739

Fixed asset purchases

643

1,482

Other accrued expenses

7,297

8,516

Total other accrued liabilities

$

50,393

$

49,043

Summary of reserve balance and activities for refunds to insurance carriers

March 31, 

    

March 31, 

2020

    

2019

(in thousands)

Beginning balance

$

9,410

$

10,012

Additional reserves

 

4,684

 

2,504

Reserves released

 

(2,495)

 

(1,465)

Ending balance

$

11,599

$

11,051

Released into revenue

$

1,027

$

478