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Supplemental Cash Flow Information
12 Months Ended
Dec. 31, 2023
Supplemental Cash Flow Elements [Abstract]  
Supplemental Cash Flow Information Supplemental Cash Flow Information
The following table presents additional information about the change in certain working capital accounts:
For the years ended December 31,
(in thousands)202320222021
Accounts receivable$(10,443)$(26,875)$(31,624)
Other current assets(4,630)5,653 12,488 
Accounts payable(3,536)7,313 18,534 
Accrued employee compensation and benefits15,726 (24,080)4,073 
Accrued interest 943 (3,886)18,459 
Other accrued liabilities(13,509)4,991 2,336 
Unearned revenue(6,002)(3,115)(7,080)
Other, net5,176 4,199 (21,407)
Total$(16,275)$(35,800)$(4,221)

The following table reconciles cash and cash equivalents and restricted cash in the Consolidated Balance Sheets to cash, cash equivalents and restricted cash per the Consolidated Statements of Cash Flows.

As of December 31,
(in thousands)202320222021
Cash and cash equivalents$35,319 $18,027 $66,223 
Restricted cash— — 34,257 
Total cash, cash equivalents and restricted cash, end of year$35,319 $18,027 $100,480 

The December 31, 2021 restricted cash balance reflected cash held in escrow from the KMGH Denver television station building sale, which was received in January 2022.