Quarterly report pursuant to Section 13 or 15(d)

Condensed Consolidated Statements of Cash Flows

v3.21.2
Condensed Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
9 Months Ended
Sep. 30, 2021
Sep. 30, 2020
Cash Flow from Financing Activities    
Net Increase in Cash and Cash Equivalents
Solaris Midstream Holdings, LLC and Subsidiaries    
Cash Flow from Operating Activities    
Net Loss (13,367) (275)
Adjustments to reconcile Net Loss to Net Cash provided by Operating Activities    
Depreciation, Amortization and Accretion 45,550 31,529
Abandoned Well Costs 27,402  
Loss on Disposal of Asset, Net 225 82
Abandoned Projects 2,035 1,501
Amortization of Deferred Financing Costs 1,320 570
Loss on Debt Modification 380  
Bad Debt Expense 216 83
Changes in operating assets and liabilities:    
Accounts Receivable (11,231) 9,387
Accounts Receivable from Affiliate (10,046) 2,475
Other Receivables 231 56
Prepaids, Deposits and Other Current Assets 2,516 1,522
Accounts Payable (3,284) 1,793
Payables to Affiliate (715) 390
Adjustment in Deferred Revenue (46) 975
Accrued Liabilities and Other 16,000 462
Net Cash Provided by Operating Activities 57,186 50,550
Cash Flow from Investing Activities    
Property, Plant and Equipment Expenditures (62,728) (121,835)
Net Cash Used in Investing Activities (62,728) (121,835)
Cash Flow from Financing Activities    
Proceeds from Senior-Sustainability Linked Notes 400,000  
Payments for Initial Public Offering Costs (855)  
Repayment of Credit Facility (297,000)  
Proceeds from Credit Facility   73,000
Redemption of Redeemable Preferred Units (74,357)  
Members' Contributions 5  
Net Cash Provided by Financing Activities 16,999 72,509
Net Increase in Cash and Cash Equivalents 11,457 1,224
Cash and Cash Equivalents, Beginning of Period 24,932 7,083
Cash and Cash Equivalents, End of Period 36,389 8,307
Solaris Midstream Holdings, LLC and Subsidiaries | Sustainability-Linked Notes    
Cash Flow from Financing Activities    
Payments of Financing Costs (9,352)  
Solaris Midstream Holdings, LLC and Subsidiaries | Credit Facility    
Cash Flow from Financing Activities    
Payments of Financing Costs $ (1,442) $ (491)