v3.26.1
Supplemental Cash Flow Information (Tables)
9 Months Ended
Mar. 31, 2026
Supplemental Cash Flow Information [Abstract]  
Schedule Of Supplemental Cash Flow Disclosures
Three months ended
Nine months ended
March 31,
March 31,
2026
2025
2026
2025
Cash received from interest
$
610
$
641
$
1,646
$
1,938
Cash paid for interest
$
5,856
$
2,809
$
17,785
$
10,322
Cash paid for income taxes
$
522
$
505
$
5,660
$
3,713
Schedule Of Disaggregation Of Cash, Cash Equivalents And Restricted Cash
March 31,
2026
March 31,
2025
June 30, 2025
Cash and cash equivalents
$
90,573
$
71,008
$
76,520
Restricted cash
124
115
119
Cash, cash equivalents and restricted cash
$
90,697
$
71,123
$
76,639
Supplemental Cash Flow Disclosure Related To Leases
Three months ended
Nine months ended
March 31,
March 31,
2026
2025
2026
2025
Cash paid for amounts included in the measurement of
lease liabilities
Operating cash flows from operating leases
$
1,508
$
1,256
$
4,334
$
3,472
Right-of-use assets obtained in exchange for lease
obligations
Operating leases
$
306
$
2,411
$
4,529
$
3,629