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RESTRUCTURING CHARGES (Tables)
12 Months Ended
Sep. 30, 2022
Restructuring and Related Activities [Abstract]  
Restructuring and Related Cost
A summary of the restructuring and other related charges included in Cost of goods and services and Selling, general and administrative expenses in the Company's Consolidated Statements of Operations were as follows:
For the Year Ended September 30,
202220212020
Cost of goods and services$7,964 $7,923 $4,159 
Selling, general and administrative expenses8,818 13,495 9,510 
Total restructuring charges$16,782 $21,418 $13,669 
For the Year Ended September 30,
202220212020
Personnel related costs$4,124 $3,190 $5,620 
Facilities, exit costs and other7,827 11,573 3,357 
Non-cash facility and other4,831 6,655 4,692 
Total$16,782 $21,418 $13,669 
Schedule of Restructuring Reserve by Type of Cost
The following table summarizes the accrued liabilities of the Company's restructuring actions:
Cash ChargesCash ChargesNon Cash Charges
Personnel related costsFacilities &
Exit Costs
Facility and Other CostsTotal
Accrued liability at September 30, 2019$— $— $— $— 
Charges5,620 3,357 4,692 13,669 
Payments(5,039)(3,093)— (8,132)
Non-cash charges (1)
— $— (4,692)(4,692)
Accrued liability at September 30, 2020$581 $264 $— $845 
Charges3,190 11,573 6,655 21,418 
Payments(3,353)(11,573)— (14,926)
Non-cash charges (1)
— (6,655)(6,655)
Accrued liability at September 30, 2021$418 $264 $— $682 
Charges4,124 7,827 4,831 16,782 
Payments(4,156)(7,827)— (11,983)
Non-cash charges (1)
— (4,831)(4,831)
Accrued liability at September 30, 2022$386 $264 $— $650 
(1) Non-cash charges in Facility and Other Costs primarily represent the non-cash write-off of certain long-lived assets and inventory that has no recoverable value in connection with certain facility closures.