Quarterly report [Sections 13 or 15(d)]

Supplemental Balance Sheet Information (Tables)

v3.26.1
Supplemental Balance Sheet Information (Tables)
6 Months Ended
Jun. 30, 2026
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of Inventories
Inventories, net, consists of the following (dollars in thousands):
June 30, December 31,
2026 2025
(unaudited) (audited)
Coffee and Energy:
Unroasted $ 2,255  $ 3,519 
Finished Goods 25,123  20,144 
RTD, raw materials 351  3,935 
RTD, finished goods 15,322  17,943 
Apparel and other merchandise 2,589  4,162 
Total inventories, net $ 45,640  $ 49,703 
Schedule of Prepaid Advertising Credits
The following table summarizes the utilization of prepaid advertising credits (dollars in thousands, unaudited):
Three Months Ended June 30, Six Months Ended June 30,
2026 2025 2026 2025
Prepaid advertising credits utilized $ 1,271  $ 1,375  $ 2,741  $ 2,291 
Schedule of Property, Plant and Equipment, Net
Property, plant, and equipment, net consists of the following (dollars in thousands):
June 30, December 31,
2026 2025
(unaudited) (audited)
Building and leasehold improvements $ 24,263  $ 24,216 
Machinery and equipment 19,845  19,694 
Computer equipment and software 15,327  19,927 
Furniture and fixtures 2,887  2,887 
Land 110  110 
Vehicles 809  809 
Construction in progress 7,491  8,584 
Property, plant, and equipment, gross 70,732  76,227 
Less: accumulated depreciation and amortization (30,953) (33,372)
Total property, plant, and equipment, net $ 39,779  $ 42,855 
The following table summarizes the depreciation expense for internal use software recognized in general and administrative expense within the consolidated statements of operations (dollars in thousands, unaudited):
Three Months Ended June 30, Six Months Ended June 30,
2026 2025 2026 2025
Depreciation expense for internal use software $ 856  $ 2,725  $ 1,842  $ 4,059 
Schedule of Accrued Liabilities
Accrued liabilities consists of the following (dollars in thousands):
June 30, December 31,
2026 2025
(unaudited) (audited)
Accrued compensation and benefits $ 6,038  $ 5,919 
Accrued trade 3,791  2,587 
Accrued inventory purchases 1,995  843 
Accrued freight 1,743  4,333 
Accrued software contracts 2,081  4,024 
Accrued professional fees 2,286  2,761 
Deferred purchase incentive 2,506  2,506 
Accrued marketing 3,179  2,330 
Accrued donations 1,327  1,709 
Accrued sales and other taxes 941  1,137 
Other accrued expenses 3,804  4,306 
Total accrued liabilities $ 29,691  $ 32,455 
Schedule of Deferred Revenue, Gift Cards, and Loyalty Program, Including Significant Changes in Deferred Revenue
The following table provides information about deferred revenue, gift cards, and the BRCC Loyalty Points rewards program (the "Loyalty Program"), including significant changes in deferred revenue balances for the below designated periods (dollars in thousands, unaudited):
Three Months Ended June 30, Six Months Ended June 30,
2026 2025 2026 2025
Balance as of beginning of period $ 3,285  $ 3,814  $ 4,033  $ 3,918 
Sales of gift cards 130  108  258  433 
Redemption of gift cards (84) (157) (237) (552)
Increase from deferral of revenue 1,404  1,738  1,404  1,738 
Decrease from revenue recognition (1,870) (1,760) (2,521) (1,784)
Loyalty Program points earned 158  342  437  660 
Loyalty Program points redeemed/expired (121) (315) (472) (643)
Balance as of end of period $ 2,902  $ 3,770  $ 2,902  $ 3,770