Quarterly report pursuant to Section 13 or 15(d)

ALLOWANCE FOR CREDIT LOSSES (Tables)

v3.21.2
ALLOWANCE FOR CREDIT LOSSES (Tables)
9 Months Ended
Sep. 30, 2021
ALLOWANCE FOR CREDIT LOSSES  
Schedule of allowance for credit losses

(in thousands)

Allowance for Credit Losses

    

Trade

    

Financed

    

Total

Receivables

Receivables

Receivables

Balance at June 30, 2021

$

13,863

$

4,341

$

18,204

Provision for expected credit losses

 

3,526

 

323

 

3,849

Write-offs charged against the allowance

 

(5,163)

 

(657)

 

(5,820)

Recoveries collected

 

1,247

 

 

1,247

Balance at September 30, 2021

$

13,473

$

4,007

$

17,480

Allowance for Credit Losses

Trade

Financed

Total

    

Receivables

    

Receivables

    

Receivables

Balance at December 31, 2020

$

16,854

$

3,231

$

20,085

Provision for expected credit losses

 

5,760

 

2,762

 

8,522

Write-offs charged against the allowance

 

(12,912)

 

(1,986)

 

(14,898)

Recoveries collected

 

3,771

 

 

3,771

Balance at September 30, 2021

$

13,473

$

4,007

$

17,480

Allowance for Credit Losses

Trade

Financed

Total

    

Receivables

    

Receivables

    

Receivables

Balance at June 30, 2020

$

16,452

$

3,014

$

19,466

Provision for expected credit losses

 

2,363

 

689

 

3,052

Write-offs charged against the allowance

 

(3,502)

 

(567)

 

(4,069)

Recoveries collected

 

660

 

 

660

Balance at September 30, 2020

$

15,973

$

3,136

$

19,109

Allowance for Credit Losses

Trade

Financed

Total

    

Receivables

    

Receivables

    

Receivables

Balance at December 31, 2019

$

16,699

$

2,959

$

19,658

Adoption of ASC 326

 

(3,330)

 

 

(3,330)

Provision for expected credit losses

 

10,843

 

1,977

 

12,820

Write-offs charged against the allowance

 

(11,735)

 

(1,800)

 

(13,535)

Recoveries collected

 

3,496

 

 

3,496

Balance at September 30, 2020

$

15,973

$

3,136

$

19,109