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Additional Balance Sheet Information
12 Months Ended
Dec. 31, 2019
Balance Sheet Related Disclosures [Abstract]  
Additional Balance Sheet Information Additional Balance Sheet Information
Certain balance sheet amounts are comprised of the following:
 
December 31,
(In thousands)
2019
 
2018
Accounts receivable, net
 

 
 

Trade accounts
$
209,200

 
$
362,973

Other accounts
1,007

 
668

 
210,207

 
363,641

Allowance for doubtful accounts
(1,184
)
 
(1,238
)
 
$
209,023

 
$
362,403

Other assets
 
 
 
Deferred compensation plan
$
18,381

 
$
14,699

Debt issuance cost
8,938

 
4,572

Income taxes receivable

 
8,165

Operating lease right-of-use assets
35,916

 

Other accounts
56

 
61

 
$
63,291

 
$
27,497

Accounts payable
 

 
 

Trade accounts
$
21,663

 
$
30,033

Royalty and other owners
36,191

 
61,507

Accrued transportation
55,586

 
50,540

Accrued capital costs
40,337

 
43,207

Taxes other than income
16,971

 
19,824

Income taxes payable

 
1,134

Other accounts
19,063

 
35,694

 
$
189,811

 
$
241,939

Accrued liabilities
 

 
 

Employee benefits
$
22,727

 
$
21,761

Taxes other than income
3,850

 
1,472

Operating lease liabilities
3,124

 

Other accounts
1,589

 
1,994

 
$
31,290

 
$
25,227

Other liabilities
 

 
 

Deferred compensation plan
$
27,012

 
$
25,780

Operating lease liabilities
32,677

 

Other accounts
8,595

 
34,391

 
$
68,284

 
$
60,171