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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Cash flows from operating activities:      
Net loss $ (21,124) $ (553,005) $ 158,826
Adjustments to reconcile net income (loss) to net cash provided by operating activities:      
Depreciation and amortization 408,560 340,523 134,757
Amortization of discounts and premiums and other non-cash adjustments (984,442) (592,489) 31,104
Non-cash lease expense 144,198 129,811 83,137
Share-based compensation 1,276,097 1,071,278 608,040
Loss (gain) on revaluation of equity investments 16,523 (73,457) (35,492)
Bitcoin remeasurement (207,084) 0 0
Transaction, loan, and consumer receivable losses 660,663 550,683 187,991
Bitcoin impairment losses 0 46,571 71,126
Change in deferred income taxes (85,879) (69,593) (10,435)
Goodwill impairment 132,313 0 0
Changes in operating assets and liabilities:      
Settlements receivable (1,108,529) (1,499,057) (346,217)
Purchases and originations of loans (8,586,293) (6,114,847) (3,227,172)
Proceeds from payments and forgiveness of loans 8,032,687 6,040,369 3,067,344
Customers payable 1,256,578 1,060,861 171,555
Settlements payable (454,036) 207,894 15,249
Other assets and liabilities (379,271) (369,639) (61,983)
Net cash provided by operating activities 100,961 175,903 847,830 Close
Cash flows from investing activities:      
Purchases of marketable debt securities (1,126,615) (755,697) (2,714,560)
Proceeds from maturities of marketable debt securities 1,387,830 999,569 831,019
Proceeds from sale of marketable debt securities 339,095 449,723 617,097
Purchases of marketable debt securities from customer funds 0 0 (488,851)
Proceeds from maturities of marketable debt securities from customer funds 0 73,000 505,501
Proceeds from sale of marketable debt securities from customer funds 0 316,576 35,071
Payments for originations of consumer receivables (23,968,787) (18,361,871) 0
Proceeds from principal repayments and sales of consumer receivables 24,241,651 18,192,470 0
Purchases of property and equipment (151,151) (170,815) (134,320)
Purchases of bitcoin investments 0 0 (170,000)
Purchases of other investments (33,853) (56,712) (48,510)
Proceeds from sale of equity investments 0 0 420,644
Business combinations, net of cash acquired   539,453  
Business combinations, net of cash acquired (4,969)   (163,970)
Net cash provided by (used in) investing activities 683,201 1,225,696 (1,310,879) Close
Cash flows from financing activities:      
Proceeds from issuance of senior notes, net 0 0 1,971,828
Payments to redeem convertible notes (461,761) (1,071,788) 0
Proceeds from PPP Liquidity Facility advances 0 0 681,539
Repayments of PPP Liquidity Facility advances (16,840) (480,694) (648,100)
Proceeds from warehouse facilities borrowings 1,387,662 1,620,805 0
Repayments of warehouse facilities borrowings (1,118,083) (391,463) 0
Proceeds from the exercise of stock options and purchases under the employee stock purchase plan 130,433 81,768 126,719
Payments for tax withholding related to vesting of restricted stock units 0 (4,735) (323,011)
Net increase in interest-bearing deposits 25,135 82,049 59,844
Repurchases of common stock (156,812) 0 0
Other financing activities (19,977) (87,692) (9,948)
Change in customer funds, restricted from use in the Company's operations (9,894) 349,330 793,163
Net cash flows from financing available for Company operations (240,137) 97,580 2,652,034
Effect of foreign exchange rate on cash and cash equivalents 29,156 (38,363) (7,066) Close
Net increase in cash, cash equivalents, restricted cash, and customer funds 573,181 1,460,816 2,181,919 Close
Cash, cash equivalents, restricted cash, and customer funds, beginning of the period 8,435,906 6,975,090 4,793,171
Cash, cash equivalents, restricted cash, and customer funds, end of the period 9,009,087 8,435,906 6,975,090
Reconciliation of cash, cash equivalents, restricted cash, and customer funds:      
Cash and cash equivalents 4,996,465 4,544,202 4,443,669
Short-term restricted cash 770,380 639,780 18,778
Long-term restricted cash 71,812 71,600 71,702
Customer funds cash and cash equivalents 3,170,430 3,180,324 2,440,941
Total $ 9,009,087 $ 8,435,906 $ 6,975,090