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RAYONIER, L.P. AND SUBSIDIARIES CONSOLIDATED BALANCE SHEETS (Unaudited) - USD ($)
$ in Thousands
Sep. 30, 2022
Dec. 31, 2021
CURRENT ASSETS    
Total cash and cash equivalents $ 261,804 $ 362,173
Accounts receivable, less allowance for doubtful accounts of $51 and $59 37,468 30,018
Inventory (Note 14) 31,254 28,523
Prepaid expenses 20,341 18,528
Assets held for sale (Note 20) 2,357 5,099
Other current assets 437 749
Total current assets 355,125 451,431
TIMBER AND TIMBERLANDS, NET OF DEPLETION AND AMORTIZATION 2,750,541 2,894,996
HIGHER AND BETTER USE TIMBERLANDS AND REAL ESTATE DEVELOPMENT INVESTMENTS (NOTE 13) 115,984 106,878
PROPERTY, PLANT AND EQUIPMENT    
Land 6,452 6,401
Buildings 30,863 31,168
Machinery and equipment 6,548 6,494
Construction in progress 597 460
Total property, plant and equipment, gross 44,460 44,523
Less — accumulated depreciation (16,707) (14,900)
Total property, plant and equipment, net 27,753 29,623
RIGHT-OF-USE ASSETS 95,650 101,837
OTHER ASSETS 111,051 50,966
TOTAL ASSETS 3,472,356 3,636,356
CURRENT LIABILITIES    
Accounts payable 27,061 23,447
Current maturities of long-term debt, net (Note 6) 0 124,965
Accrued taxes 8,820 12,446
Accrued payroll and benefits 10,942 14,514
Accrued interest 7,178 6,343
Deferred revenue 22,586 17,802
Other current liabilities 34,249 25,863
Total current liabilities 112,412 231,721
LONG-TERM DEBT, NET (NOTE 6) 1,257,756 1,242,819
PENSION AND OTHER POSTRETIREMENT BENEFITS (NOTE 16) 9,656 10,478
LONG-TERM LEASE LIABILITY 87,639 93,416
OTHER NON-CURRENT LIABILITIES 83,987 108,521
COMMITMENTS AND CONTINGENCIES (NOTES 9 and 10)
NONCONTROLLING INTERESTS IN THE OPERATING PARTNERSHIP/REDEEMABLE OPERATING PARTNERSHIP UNITS (NOTE 4) 3,211,327 and 3,315,741 Units outstanding, respectively 96,243 133,823
CAPITAL    
Accumulated other comprehensive loss (Note 18) (1,599) (19,604)
TOTAL LIABILITIES, NONCONTROLLING INTERESTS IN THE OPERATING PARTNERSHIP/ REDEEMABLE OPERATING PARTNERSHIP UNITS AND SHAREHOLDERS’ EQUITY/CAPITAL 3,472,356 3,636,356
Excluding Timber Funds    
CURRENT ASSETS    
Total cash and cash equivalents 260,931 358,680
PROPERTY, PLANT AND EQUIPMENT    
RESTRICTED CASH, EXCLUDING TIMBER FUNDS (NOTE 19) 16,252 625
Timber Funds    
CURRENT ASSETS    
Total cash and cash equivalents 873 3,493
Restricted cash, Timber Funds (Note 19) 1,464 6,341
CURRENT LIABILITIES    
Distribution payable, Timber Funds 1,576 6,341
Rayonier Limited Partnership    
CURRENT ASSETS    
Total cash and cash equivalents 261,804 362,173
Accounts receivable, less allowance for doubtful accounts of $51 and $59 37,468 30,018
Inventory (Note 14) 31,254 28,523
Prepaid expenses 20,341 18,528
Assets held for sale (Note 20) 2,357 5,099
Other current assets 437 749
Total current assets 355,125 451,431
TIMBER AND TIMBERLANDS, NET OF DEPLETION AND AMORTIZATION 2,750,541 2,894,996
HIGHER AND BETTER USE TIMBERLANDS AND REAL ESTATE DEVELOPMENT INVESTMENTS (NOTE 13) 115,984 106,878
PROPERTY, PLANT AND EQUIPMENT    
Land 6,452 6,401
Buildings 30,863 31,168
Machinery and equipment 6,548 6,494
Construction in progress 597 460
Total property, plant and equipment, gross 44,460 44,523
Less — accumulated depreciation (16,707) (14,900)
Total property, plant and equipment, net 27,753 29,623
RIGHT-OF-USE ASSETS 95,650 101,837
OTHER ASSETS 111,051 50,966
TOTAL ASSETS 3,472,356 3,636,356
CURRENT LIABILITIES    
Accounts payable 27,061 23,447
Current maturities of long-term debt, net (Note 6) 0 124,965
Accrued taxes 8,820 12,446
Accrued payroll and benefits 10,942 14,514
Accrued interest 7,178 6,343
Deferred revenue 22,586 17,802
Other current liabilities 34,249 25,863
Total current liabilities 112,412 231,721
LONG-TERM DEBT, NET (NOTE 6) 1,257,756 1,242,819
PENSION AND OTHER POSTRETIREMENT BENEFITS (NOTE 16) 9,656 10,478
LONG-TERM LEASE LIABILITY 87,639 93,416
OTHER NON-CURRENT LIABILITIES 83,987 108,521
NONCONTROLLING INTERESTS IN THE OPERATING PARTNERSHIP/REDEEMABLE OPERATING PARTNERSHIP UNITS (NOTE 4) 3,211,327 and 3,315,741 Units outstanding, respectively 96,243 133,823
CAPITAL    
General partners’ capital 18,113 17,872
Limited partners’ capital 1,793,275 1,769,367
Accumulated other comprehensive loss (Note 18) 2,019 (15,463)
TOTAL CONTROLLING INTEREST CAPITAL 1,813,407 1,771,776
Noncontrolling interests in consolidated affiliates (Note 4) 11,256 43,802
TOTAL CAPITAL 1,824,663 1,815,578
TOTAL LIABILITIES, NONCONTROLLING INTERESTS IN THE OPERATING PARTNERSHIP/ REDEEMABLE OPERATING PARTNERSHIP UNITS AND SHAREHOLDERS’ EQUITY/CAPITAL 3,472,356 3,636,356
Rayonier Limited Partnership | Excluding Timber Funds    
CURRENT ASSETS    
Total cash and cash equivalents 260,931 358,680
PROPERTY, PLANT AND EQUIPMENT    
RESTRICTED CASH, EXCLUDING TIMBER FUNDS (NOTE 19) 16,252 625
Rayonier Limited Partnership | Timber Funds    
CURRENT ASSETS    
Total cash and cash equivalents 873 3,493
Restricted cash, Timber Funds (Note 19) 1,464 6,341
CURRENT LIABILITIES    
Distribution payable, Timber Funds $ 1,576 $ 6,341