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ADJUSTMENT OF PRIOR YEAR CASH FLOW INFORMATION (Tables)
9 Months Ended
Jun. 29, 2012
Adjustment Of Prior Year Cash Flow Information [Abstract]  
Schedule Of Changes In Net Cash Flows, Business Acquisition [Table Text Block]

The table that follows also presents certain balance sheet reclassifications that affect July 1, 2011 cash flows.

 

 

  Cash inflows     Effect of    
Adjustments to Cash Flows (outflows),  Effect of SCB  balance sheet  Cash inflows 
for Nine Months Ended as originally  purchase price  reclassif-  (outflows), 
July 1, 2011 reported  adjustment (i)  ications (ii)  as adjusted 
(thousands)            
Changes in current assets and liabilities:                
Accounts receivable $(2,412) $-  $(27) $(2,439)
Other current assets  (93)  (248)  (954)  (1,295)
                 
Acquisition of SCB, cash portion  (25,782)  248   981   (24,553)
Totals $(28,287) $-  $-  $(28,287)

 

(i)Represents refund received from sellers of SCB on May 19, 2011, based on post-closing analysis of working capital balances. This entry establishes a receivable for the refund.
(ii)Reclassifies to “other current assets” $981 thousand paid at SCB closing and refunded shortly thereafter. Also shows the effect of $27 thousand of “miscellaneous receivables” reclassified as of September 30, 2011 from accounts receivable to “other current assets”.