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RESTATEMENT OF CONSOLIDATED FINANCIAL STATEMENTS - Consolidated Balance Sheet Impact of Adjustments (Details) - USD ($)
$ in Thousands
Jun. 30, 2019
Jul. 01, 2018
Jun. 30, 2018
Mar. 31, 2018
Dec. 31, 2017
Sep. 30, 2017
Jun. 30, 2017
Mar. 31, 2017
Dec. 31, 2016
Sep. 30, 2016
Error Corrections and Prior Period Adjustments Restatement [Line Items]                    
Accounts receivable $ 21,712   $ 15,748 $ 19,443 $ 14,707 $ 9,815 $ 6,834 $ 6,662 $ 6,892 $ 5,607
Finance receivables, net 6,260   4,603 2,234 3,296 1,441 9,743 2,149 1,442 3,349
Inventory, net 10,908   8,038 11,923 12,019 8,876 5,192 3,677 4,438 3,926
Prepaid expenses and other current assets 1,558 $ 1,180 929 1,278 1,610 1,056 879 1,594 1,677 1,352
Other assets 2,099 1,974 720 414 458 289 319 231 144 163
Property and equipment, net 9,180   11,273 12,243 12,443 10,701 11,111 11,341 11,994 12,436
Accounts payable 27,511   30,468 29,574 23,908 14,506 16,345 11,819 9,109 8,710
Accrued expenses 23,258   19,291 18,508 16,623 12,217 11,873 8,792 7,541 8,135
Capital lease obligations and current obligations under long-term debt 12,497   34,639 4,470 5,488 2,628 3,198 3,785 4,331 4,952
Deferred revenue $ 1,539 $ 1,638 $ 511 511 730 439 268 310 478 94
Deferred gain from sale-leaseback transactions       0 0 0 0 0 0 0
Deferred gain from sale-leaseback transactions, less current portion         0 0 0      
Adjustments                    
Error Corrections and Prior Period Adjustments Restatement [Line Items]                    
Accounts receivable       (3,723) (765) (473) (359) (72) 96 (233)
Finance receivables, net       (1,670) (2,221) (1,641) (1,267) 92 0 0
Inventory, net       893 804 636 606 (470) (348) (338)
Prepaid expenses and other current assets       (591) (361) (66) (89) (34) (87) (87)
Other assets       (800) (662) (461) (368) 94 (1) 0
Property and equipment, net       45 (179) (1,149) (1,000) 2,168 2,561 2,866
Accounts payable       128 133 295 291 290 19 17
Accrued expenses       10,547 9,825 8,422 7,743 5,681 4,629 4,223
Capital lease obligations and current obligations under long-term debt       (5) 367 (21) (32) 2,999 3,565 4,118
Deferred revenue       70 135 439 268 310 478 94
Deferred gain from sale-leaseback transactions       (198) (198) (197) (239) (255) (470) (685)
Deferred gain from sale-leaseback transactions, less current portion         (49) (99) (100)      
Adjustments | Audit Committee Investigation-related Adjustments                    
Error Corrections and Prior Period Adjustments Restatement [Line Items]                    
Accounts receivable             (284)      
Finance receivables, net             (1,267)      
Inventory, net             1,106      
Prepaid expenses and other current assets             25      
Other assets             88      
Accounts payable             270      
Accrued expenses             803      
Adjustments | Significant Account and Transaction Review and Other                    
Error Corrections and Prior Period Adjustments Restatement [Line Items]                    
Accounts receivable       127 (8) 77 (75) 61 110 (143)
Finance receivables, net       28 1,074 0   0 0 0
Inventory, net       (1,067) (861) (305) (500) (470) (348) (338)
Prepaid expenses and other current assets       (173) (150) (136) (114) 13 13 13
Other assets       (693) (600) (543) (456) 0 0 0
Property and equipment, net       (635) (737) (1,149) (1,000) 2,168 2,561 2,865
Accounts payable       29 27 25 21 21 19 17
Accrued expenses       9,877 9,087 8,319 7,235 6,166 5,222 4,506
Capital lease obligations and current obligations under long-term debt       (5) 367 (21) (32) 2,998 3,566 4,117
Deferred revenue       (27) (27) (27) (27) 0 0 0
Deferred gain from sale-leaseback transactions       (198) (198) (198) (239) (255) (470) (685)
Deferred gain from sale-leaseback transactions, less current portion       $ 0 $ (49) $ (99) $ (100) $ 0 $ 0 $ 0