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Goodwill, Service Contracts and Other Assets (Tables)
12 Months Ended
May 31, 2024
Goodwill, Service Contracts and Other Assets [Abstract]  
Schedule of Changes in Carrying Amount of Goodwill by Operating Segment
Changes in the carrying amount of goodwill and service contracts by reportable operating segment and All Other, are presented in the following tables:
Goodwill
(In thousands)
Uniform Rental
and Facility
Services
First Aid
 and Safety
 Services
All
Other
Total
Balance at June 1, 2022$2,635,099 $285,769 $122,108 $3,042,976 
Goodwill acquired18,729 8,624 4,678 32,031 
Foreign currency translation(17,221)(1,525)(60)(18,806)
Balance at May 31, 20232,636,607 292,868 126,726 3,056,201 
Goodwill acquired137,888 962 18,389 157,239 
Foreign currency translation(930)(83)(3)(1,016)
Balance at May 31, 2024$2,773,565 $293,747 $145,112 $3,212,424 
Schedule of Changes in Carrying Amount of Service Contracts by Operating Segment
Service Contracts
(In thousands)
Uniform Rental
and Facility
Services
First Aid
 and Safety
 Services
All
Other
Total
Balance at June 1, 2022$349,634 $24,144 $17,860 $391,638 
Service contracts acquired6,942 2,299 1,757 10,998 
Service contracts amortization(43,356)(5,149)(4,230)(52,735)
Foreign currency translation(3,190)(137)— (3,327)
Balance at May 31, 2023310,030 21,157 15,387 346,574 
Service contracts acquired25,430 290 3,696 29,416 
Service contracts amortization(44,932)(5,254)(3,882)(54,068)
Foreign currency translation(30)10 — (20)
Balance at May 31, 2024$290,498 $16,203 $15,201 $321,902 
Schedule of Information Regarding Service Contracts and Other Assets
Information regarding Cintas' service contracts, net and other assets, net is as follows as of May 31:
20242023
(In thousands)Carrying
Amount
Accumulated
Amortization
NetCarrying
Amount
Accumulated
Amortization
Net
Service contracts$1,033,762 $711,860 $321,902 $1,004,754 $658,180 $346,574 
Capitalized contract costs (1)
$777,535 $515,041 $262,494 $665,705 $413,680 $252,025 
Noncompete and consulting
   agreements and other
233,334 70,877 162,457 198,260 67,294 130,966 
Other assets$1,010,869 $585,918 $424,951 $863,965 $480,974 $382,991 
(1)     The current portion of capitalized contract costs, included in prepaid expenses and other current assets on the consolidated balance sheets as of May 31, 2024 and 2023, was $94.6 million and $92.5 million, respectively.
Schedule of Finite-lived Intangible Assets Amortization Expense As of May 31, 2024, the estimated future amortization expense for service contracts and other assets, excluding any future acquisitions and commissions to be earned, is as follows:
Fiscal Year (In thousands)
2025$153,196 
2026131,944 
2027108,356 
202882,940 
202968,698 
Thereafter145,164 
Total future amortization expense$690,298