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SUPPLEMENTAL BALANCE SHEET INFORMATION
12 Months Ended
Dec. 29, 2021
Supplemental Balance Sheet Disclosures [Abstract]  
SUPPLEMENTAL BALANCE SHEET INFORMATION SUPPLEMENTAL BALANCE SHEET INFORMATION
The components of Other current liabilities as of December 29, 2021 and December 30, 2020 are as follows:
December 29
2021
December 30
2020
Sales tax payable$4,575 $4,285 
Gift card liability3,297 2,637 
Current portion of financing equipment lease liabilities2,711 1,998 
Other3,918 5,280 
Other current liabilities$14,501 $14,200 
The components of Other long-term liabilities as of December 29, 2021 and December 30, 2020 are as follows:
December 29
2021
December 30
2020
Deferred licensing revenue$12,669 $12,151 
Long-term portion of financing equipment lease liabilities4,303 3,586 
Other(1)
5,801 8,723 
Other long-term liabilities$22,773 $24,460 
(1)As of December 29, 2021, Other included $3,334 of deferred lease incentive liabilities related to leases with variable lease cost as well as $2,182 of deferred social security taxes associated with the Coronavirus Aid, Relief, and Economic Security Act ("CARES Act"). As of December 30, 2020, Other included $3,182 of deferred lease incentive liabilities related to leases with variable lease cost as well as $5,214 of deferred social security taxes associated with the CARES Act. Refer to Note 14, Income Taxes, for additional information relating to the CARES Act