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 |