XML 19 R7.htm IDEA: XBRL DOCUMENT v3.24.3Close
Statements of Consolidated Cash Flows - USD ($)
$ in Millions
3 Months Ended
Sep. 30, 2024
Sep. 30, 2023
Cash Flows from Operating Activities:    
Net earnings $ 956.3 $ 859.4
Adjustments to reconcile net earnings to cash flows provided by operating activities:    
Depreciation and amortization 138.6 141.5
Amortization of deferred contract costs 281.4 262.3
Deferred income taxes 42.7 26.8
Stock-based compensation expense 60.6 58.8
Bad Debt Expense 11.2 13.1
Net pension income (4.9) (5.8)
Net accretion of discounts and amortization of premiums on available-for-sale securities (15.5) (5.5)
Other 0.9 (10.4)
Changes in operating assets and liabilities:    
(Increase)/Decrease in accounts receivable 115.4 (107.9)
Increase in deferred contract costs (269.8) (261.9)
Increase in other assets (217.1) (304.9)
Increase/(Decrease) in accounts payable 48.0 (30.4)
Decrease in accrued expenses and other liabilities (323.4) (308.6)
Net cash flows provided by operating activities 824.4 326.5 Close
Cash Flows from Investing Activities:    
Purchases of corporate and client funds marketable securities (2,771.7) (710.2)
Proceeds from the sales and maturities of corporate and client funds marketable securities 1,266.8 632.0
Capital expenditures (58.8) (39.3)
Additions to intangibles (80.9) (87.0)
Acquisitions of businesses, net of cash acquired 0.0 (33.6)
Proceeds from sale of property, plant, and equipment and other assets 3.3 22.0
Other (3.1) 0.0
Net cash flows used in investing activities (1,644.4) (216.1) Close
Cash Flows from Financing Activities:    
Net decrease in client funds obligations (10,870.5) (1,374.9)
Net cash distributed from the Internal Revenue Service (336.4) 0.0
Payments of debt (0.3) (0.2)
Proceeds from the issuance of debt 988.9 0.0
Settlement of cash flow hedges (12.5) 0.0
Repurchases of common stock (372.6) (250.0)
Net proceeds from stock purchase plan and stock-based compensation plans 12.0 (36.6)
Dividends paid (572.6) (515.8)
Net proceeds related to reverse repurchase agreements 297.1 273.8
Net proceeds of commercial paper borrowings 4,375.4 0.0
Net cash flows used in financing activities (6,491.5) (1,903.7) Close
Effect of exchange rate changes on cash, cash equivalents, restricted cash, and restricted cash equivalents 17.0 (16.3) Close
Net change in cash, cash equivalents, restricted cash, and restricted cash equivalents (7,294.5) (1,809.6) Close
Cash, cash equivalents, restricted cash, and restricted cash equivalents, beginning of period 10,086.0 8,771.5
Cash, cash equivalents, restricted cash, and restricted cash equivalents, end of period 2,791.5 6,961.9
Supplemental disclosures of cash flow information:    
Cash paid for interest 140.7 97.0
Cash paid for income taxes, net of income tax refunds $ 64.7 $ 87.9