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Revenue Recognition (Tables)
9 Months Ended
Jun. 30, 2022
Revenue from Contract with Customer [Abstract]  
Schedule of Consolidated Sales Disaggregated by Supply Mode
The tables below present our consolidated sales disaggregated by supply mode for each of our reporting segments for the three and nine months ended 30 June 2022 and 2021. We believe this presentation best depicts the nature, timing, type of customer, and contract terms for our sales.
AmericasAsiaEuropeMiddle East
 and India
Corporate
and other
Total%
Three Months Ended 30 June 2022
On-site$899.5 $446.2 $281.8 $18.8 $— $1,646.3 51 %
Merchant516.8 305.2 457.8 16.6 — 1,296.4 41 %
Sale of Equipment— — — — 246.6 246.6 %
Total $1,416.3 $751.4 $739.6 $35.4 $246.6 $3,189.3 100 %
Three Months Ended 30 June 2021
On-site$607.9 $442.8 $205.0 $17.1 $— $1,272.8 49 %
Merchant455.4 309.0 394.4 6.8 — 1,165.6 45 %
Sale of Equipment— — — — 166.3 166.3 %
Total $1,063.3 $751.8 $599.4 $23.9 $166.3 $2,604.7 100 %
AmericasAsiaEuropeMiddle East
 and India
Corporate
and other
Total%
Nine Months Ended 30 June 2022
On-site$2,432.1 $1,358.2 $899.4 $52.4 $— $4,742.1 52 %
Merchant1,394.9 924.8 1,323.0 35.6 — 3,678.3 40 %
Sale of Equipment— — — — 708.2 708.2 %
Total $3,827.0 $2,283.0 $2,222.4 $88.0 $708.2 $9,128.6 100 %
Nine Months Ended 30 June 2021
On-site$1,785.9 $1,273.7 $564.2 $48.9 $— $3,672.7 49 %
Merchant1,266.5 893.1 1,137.1 20.7 — 3,317.4 44 %
Sale of Equipment— — — — 491.8 491.8 %
Total $3,052.4 $2,166.8 $1,701.3 $69.6 $491.8 $7,481.9 100 %
Schedule of Contract Assets and Liabilities
The table below details balances arising from contracts with customers:
30 June30 September
Balance Sheet Location20222021
Assets
Contract assets – currentOther receivables and current assets$53.0 $119.4 
Contract fulfillment costs – currentOther receivables and current assets101.4 125.5 
Liabilities
Contract liabilities – currentPayables and accrued liabilities477.1 366.8 
Contract liabilities – noncurrentOther noncurrent liabilities68.8 58.4