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DEBT AND OTHER FINANCING ARRANGEMENTS (Tables)
12 Months Ended
Jun. 30, 2021
Line of Credit Facility [Abstract]  
Schedule of Debt and Other Financing Arrangements
The Company's debt and other financing arrangements as of June 30, 2021 and 2020 consisted of the following:
As of June 30,
($ in thousands)20212020
2020 Antara Term Facility$— $15,000 
2021 JPMorgan Credit Facility14,437 — 
PPP and other loans113 3,358 
Less: unamortized issuance costs and debt discount(231)(2,595)
Total14,319 15,763 
Less: debt and other financing arrangements, current(675)(3,328)
Debt and other financing arrangements, noncurrent$13,644 $12,435 
Details of interest expense presented on the Consolidated Statements of Operations are as follows:
Year ended June 30,
($ in thousands)202120202019
2020 Antara Term Facility$2,779 $1,218 $— 
2021 JPMorgan Credit Facility1,006 — — 
2018 JPMorgan Revolving Credit Facility— 303 658 
2018 JPMorgan Term Loan— 160 1,232 
Other interest expense228 916 1,102 
Total interest expense$4,013 $2,597 $2,992 
Schedule of Maturities of Debt and Other Financing Arrangements
The expected maturities associated with the Company’s outstanding debt and other financing arrangements as of June 30, 2021, were as follows:
2022790 
20231,335 
202412,394 
202519 
202612
Principal amounts payable14,550 
Unamortized issuance costs(231)
Total outstanding debt$14,319