Quarterly report pursuant to Section 13 or 15(d)

Revenue (Tables)

v3.20.1
Revenue (Tables)
3 Months Ended
Mar. 31, 2020
Revenue from Contract with Customer [Abstract]  
Schedule of Disaggregation of Revenue

Revenue by Contract Type

(In thousands)

 

    Three Months Ended     Three Months Ended  
    March 31, 2020     March 31, 2019  
    Treatment     Services     Total     Treatment     Services     Total  
Fixed price   $ 9,563     $ 2,947     $ 12,510     $ 9,905     $ 428     $ 10,333  
Time and materials      ―       12,350       12,350        ―       1,375       1,375  
Total   $ 9,563     $ 15,297     $ 24,860     $ 9,905     $ 1,803     $ 11,708  

 

Revenue by generator

(In thousands)

 

    Three Months Ended     Three Months Ended  
    March 31, 2020     March 31, 2019  
    Treatment     Services     Total     Treatment     Services     Total  
Domestic government   $ 7,690     $ 13,798     $ 21,488     $ 7,913     $ 686     $ 8,599  
Domestic commercial     1,873       462       2,335       1,879       758       2,637  
Foreign government      ―       1,014       1,014       57       337       394  
Foreign commercial      ―       23       23       56       22       78  
Total   $ 9,563     $ 15,297     $ 24,860     $ 9,905     $ 1,803     $ 11,708  

Schedule of Contract Assets and Liabilities

The following table represents changes in our contract assets and contract liabilities balances:

 

(In thousands)   March 31, 2020     December 31, 2019     Year-to-date
Change ($)
    Year-to-date
Change (%)
 
Contract assets                                
Account receivables, net of allowance   $ 10,226     $ 13,178     $ (2,952 )     (22.4 )%
Unbilled receivables - current     10,188       7,984       2,204       27.6 %
                                 
Contract liabilities                                
Deferred revenue   $ 5,944     $ 5,456     $ 488       8.9 %