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Balance Sheet Components (Tables)
6 Months Ended
Jun. 30, 2022
Balance Sheet Components  
Schedule of property and equipment

June 30, 

December 31, 

Useful Life

2022

    

2021

(in thousands)

Machinery and equipment

3-5 years

$

54,265

$

33,722

Computer equipment

3 years

1,138

 

4,893

Capitalized software held for internal use

3 years

3,112

2,395

Leasehold improvements

Lesser of useful life or lease term

27,814

 

13,640

Construction-in-process

22,000

 

30,279

108,329

 

84,929

Less: Accumulated depreciation and amortization

(26,557)

 

(19,413)

Total Property and Equipment, net

$

81,772

$

65,516

Schedule of accrued compensation

June 30, 

    

December 31, 

2022

    

2021

(in thousands)

Accrued paid time off

$

2,930

$

2,567

Accrued commissions

 

12,454

 

15,726

Accrued bonuses

 

11,324

 

15,854

Other accrued compensation

 

6,251

 

6,794

Total accrued compensation

$

32,959

$

40,941

Schedule of other accrued liabilities

June 30, 

    

December 31, 

2022

    

2021

(in thousands)

Reserves for refunds to insurance carriers

$

15,912

$

17,210

Accrued charges for third-party testing

23,142

5,849

Testing and laboratory materials from suppliers

13,997

3,799

Marketing and corporate affairs

6,449

7,853

Legal, audit and consulting fees

21,374

 

11,758

Accrued shipping charges

2,157

969

Sales tax payable

1,857

2,230

Accrued third-party service fees

1,354

13,442

Clinical trials and studies

 

21,166

11,218

Operating lease liabilities, current portion

5,636

5,752

Fixed asset purchases

5,608

1,853

Other accrued interest

1,078

1,078

Other accrued expenses

 

4,642

10,342

Total other accrued liabilities

$

124,372

$

93,353

Summary of reserve balance and activities for refunds to insurance carriers

June 30, 

    

June 30, 

2022

    

2021

(in thousands)

Beginning balance

$

17,210

$

17,366

Additional reserves

 

8,576

 

10,960

Refunds to carriers

 

(6,491)

(3,054)

Reserves released to revenue

(3,383)

(2,971)

Ending balance

$

15,912

$

22,301