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Fair Value Measurement - Summary of Fair Value of Assets and Liabilities Measured on Recurring Basis (Details) - Fair Value, Recurring - USD ($)
$ in Thousands
Dec. 31, 2021
Jun. 30, 2021
Assets    
Cash equivalents   $ 381,049
Short-term investments $ 1,117,170 655,314
Funds held for customers 1,250,482 1,000,650
Beneficial interest derivative on card receivables sold 2,835 2,252
Total assets measured at fair value 3,703,877 2,039,265
Money Market Funds    
Assets    
Cash equivalents 1,333,390 365,550
U.S. Treasury Securities    
Assets    
Short-term investments 358,866 155,674
Funds held for customers 6,104 3,009
Corporate Bonds    
Assets    
Cash equivalents   15,499
Short-term investments 691,554 466,459
Funds held for customers 746,654 516,350
Asset Backed Securities    
Assets    
Short-term investments 57,178 26,406
Funds held for customers 43,645 25,085
Restricted Cash Equivalents    
Assets    
Funds held for customers 64,814 86,322
Certificates of Deposit    
Assets    
Short-term investments 9,572 6,775
Funds held for customers 372,340 326,927
Municipal Bonds    
Assets    
Funds held for customers 16,925 42,957
Level 1    
Assets    
Cash equivalents   365,550
Short-term investments 358,866 155,674
Funds held for customers 34,621 9,896
Total assets measured at fair value 1,726,877 531,120
Level 1 | Money Market Funds    
Assets    
Cash equivalents 1,333,390 365,550
Level 1 | U.S. Treasury Securities    
Assets    
Short-term investments 358,866 155,674
Funds held for customers 6,104 3,009
Level 1 | Restricted Cash Equivalents    
Assets    
Funds held for customers 28,517 6,887
Level 2    
Assets    
Cash equivalents   15,499
Short-term investments 758,304 499,640
Funds held for customers 1,215,861 990,754
Total assets measured at fair value 1,974,165 1,505,893
Level 2 | Corporate Bonds    
Assets    
Cash equivalents   15,499
Short-term investments 691,554 466,459
Funds held for customers 746,654 516,350
Level 2 | Asset Backed Securities    
Assets    
Short-term investments 57,178 26,406
Funds held for customers 43,645 25,085
Level 2 | Restricted Cash Equivalents    
Assets    
Funds held for customers 36,297 79,435
Level 2 | Certificates of Deposit    
Assets    
Short-term investments 9,572 6,775
Funds held for customers 372,340 326,927
Level 2 | Municipal Bonds    
Assets    
Funds held for customers 16,925 42,957
Level 3    
Assets    
Beneficial interest derivative on card receivables sold 2,835 2,252
Total assets measured at fair value $ 2,835 $ 2,252