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STATEMENT OF CASH FLOWS SUPPLEMENTAL INFORMATION (Tables)
12 Months Ended
Jul. 31, 2020
Supplemental Cash Flow Elements [Abstract]  
Cash and Cash Equivalents
Cash and cash equivalents consisted of the following:
 
July 31,
2020
 
July 31,
2019
 
(In thousands)
Cash and bank deposits
$
70,770

 
$
32,183

Money market funds
5,117

 
365

 
$
75,887

 
$
32,548

The amount of cash, cash equivalents and restricted cash as of July 31, 2020 and 2019 in the consolidated statements of cash flows is reconciled to the Company's consolidated balance sheets as follows:
 
July 31,
 
2020
 
2019
 
(In thousands)
Cash and cash equivalents
$
75,887

 
$
32,548

Funds held for clients
18,755

 
13,516

Cash, cash equivalents and restricted cash
$
94,642

 
$
46,064

Schedule of Restrictions on Cash and Cash Equivalents
The amount of cash, cash equivalents and restricted cash as of July 31, 2020 and 2019 in the consolidated statements of cash flows is reconciled to the Company's consolidated balance sheets as follows:
 
July 31,
 
2020
 
2019
 
(In thousands)
Cash and cash equivalents
$
75,887

 
$
32,548

Funds held for clients
18,755

 
13,516

Cash, cash equivalents and restricted cash
$
94,642

 
$
46,064



Schedule of Cash Flow, Supplemental Disclosure
Cash used for operating activities reflect cash payments for interest and income taxes as follows:
 
Fiscal Year Ended
July 31,
 
2020
 
2019
 
(In thousands)
Cash paid for interest
$
32,799

 
$
38,525

Cash paid for income taxes
$
4,991

 
$
5,451