Quarterly report pursuant to Section 13 or 15(d)

Service Revenue (Tables)

v3.21.1
Service Revenue (Tables)
9 Months Ended
Feb. 28, 2021
Service Revenue [Abstract]  
Summary of PEO Pass-Through Costs Netted in Revenue

For the three months ended

For the nine months ended

February 28,

February 29,

February 28,

February 29,

2021

2020

2021

2020

In billions

Payroll wages and payroll taxes

$

5.5

$

5.6

$

15.5

$

15.9

In millions

State unemployment insurance (included in payroll wages and payroll taxes)

$

73.1

$

47.2

$

98.7

$

73.9

Guaranteed cost benefit plans

$

146.1

$

159.0

$

439.6

$

489.8

Summary of Changes in Deferred Revenue Related to Material Rights Performance Obligations

For the three months ended

For the nine months ended

February 28,

February 29,

February 28,

February 29,

In millions

2021

2020

2021

2020

Balance, beginning of period

$

39.6

$

45.1

$

42.6

$

45.7

Deferral of revenue

6.9

7.4

16.6

20.3

Recognition of unearned revenue

(6.7)

(7.4)

(19.4)

(20.9)

Balance, end of period

$

39.8

$

45.1

$

39.8

$

45.1

Summary of Deferred Revenue, Remaining Performance Obligation, Expected Timing of Satisfaction

In millions

Estimated

Year ending May 31,

deferral

2021

$

6.1

2022

18.2

Thereafter

15.5

Summary of Changes in Deferred Costs to Obtain and Fulfill Contracts

Costs to obtain contracts:

For the three months ended

For the nine months ended

February 28,

February 29,

February 28,

February 29,

In millions

2021

2020

2021

2020

Balance, beginning of period

$

468.1

$

456.9

$

473.6

$

464.3

Capitalization of costs

49.9

49.4

127.5

122.7

Amortization

(41.9)

(40.7)

(125.0)

(121.4)

Balance, end of period

$

476.1

$

465.6

$

476.1

$

465.6

Costs to fulfill contracts:

For the three months ended

For the nine months ended

February 28,

February 29,

February 28,

February 29,

In millions

2021

2020

2021

2020

Balance, beginning of period

$

67.4

$

66.4

$

67.3

$

66.1

Capitalization of costs

7.2

6.7

19.3

18.7

Amortization

(6.0)

(6.0)

(18.0)

(17.7)

Balance, end of period

$

68.6

$

67.1

$

68.6

$

67.1