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Debt Obligations (Details)
3 Months Ended
Aug. 31, 2022
USD ($)
Aug. 30, 2022
Aug. 08, 2022
USD ($)
Apr. 26, 2021
USD ($)
Sep. 30, 2022
USD ($)
Jun. 30, 2022
USD ($)
Mar. 27, 2019
USD ($)
Line of Credit Facility              
Long-term Line of Credit, Noncurrent         $ 67,000,000 $ 63,000,000  
Long-term Debt, Gross         114,000,000 108,600,000  
Quarterly Debt Payments         261,000    
Debt Instrument, Unamortized Discount (Premium) and Debt Issuance Costs, Net         (1,018,000) (1,677,000)  
Long-Term Debt         112,982,000 $ 106,923,000  
Revolving Credit Facility              
Line of Credit Facility              
Long-term Line of Credit, Noncurrent         $ 67,000,000    
Debt, Weighted Average Interest Rate         3.98% 2.75%  
Line of credit, maximum borrowing capacity     $ 90,000,000        
Long-term Debt, Gross         $ 67,000,000 $ 63,000,000  
Long-term Line of Credit         18,900,000    
Line Of Credit Facility, Increase In Borrowing Capacity     $ 10,000,000        
Letter of Credit              
Line of Credit Facility              
Long-term Line of Credit         $ 4,100,000    
Revolver Security Agreement              
Line of Credit Facility              
Debt Instrument, Borrowing Base, Accounts Receivable       85.00%      
Debt Instrument, Borrowing Base, Inventory         80.00%    
Revolver Security Agreement | Secured Overnight Financing Rate (SOFR) Overnight Index Swap Rate              
Line of Credit Facility              
Debt Instrument, Basis Spread on Variable Rate     1.75%        
Revolver Security Agreement | Maximum | LIBOR              
Line of Credit Facility              
Debt Instrument, Basis Spread on Variable Rate       2.25%      
Revolver Security Agreement | Revolving Credit Facility              
Line of Credit Facility              
Line of credit, maximum borrowing capacity       $ 80,000,000      
Revolver Security Agreement | Revolving Credit Facility | Line of Credit              
Line of Credit Facility              
Line of credit, maximum borrowing capacity $ 47,000,000            
Amortization of Debt Issuance Costs and Discounts         $ 1,500,000    
Debt Instrument, Covenant, Fixed Charge Coverage Ratio 1            
Letter Of Credit Fee Payable 1.75% 2.25%          
Term Credit Facility Agreement | Prime Rate [Member]              
Line of Credit Facility              
Debt Instrument, Basis Spread on Variable Rate       5.50%      
Term Credit Facility Agreement | Minimum | Base Rate              
Line of Credit Facility              
Debt Instrument, Basis Spread on Variable Rate       3.00%      
Term Credit Facility Agreement | Maximum | LIBOR              
Line of Credit Facility              
Debt Instrument, Basis Spread on Variable Rate       6.50%      
Term Credit Facility Agreement | Revolving Credit Facility              
Line of Credit Facility              
Line of credit, maximum borrowing capacity       $ 47,500,000      
Debt Instrument, Periodic Payment, Principal       $ 950,000      
Term Loan              
Line of Credit Facility              
Debt, Weighted Average Interest Rate          
Long-term Debt, Gross         $ 47,000,000 $ 45,600,000  
Term Loan | Senior Loans              
Line of Credit Facility              
Long-term Line of Credit         47,000,000    
Interest Rate Swap              
Line of Credit Facility              
Derivative, Notional Amount         $ 65,000,000   $ 80,000,000
Derivative, Fixed Interest Rate       2.4725% 2.1975%    
Derivative, Fixed Interest Rate Increase During Period       0.275%      
Interest Rate Swap | Minimum              
Line of Credit Facility              
Derivative, Floor Interest Rate         0.00%