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SUPPLEMENTAL BALANCE SHEET INFORMATION(Details) - USD ($)
$ in Thousands
Dec. 31, 2015
Dec. 31, 2014
Other current assets [Abstract]    
Non-trade miscellaneous receivables $ 1,324 $ 133
Prepaids 801 487
Note Receivable 39 39
Total 2,164 659
Other assets [Abstract]    
Debt issuance costs, net 2,462 493
Note receivable 622 658
Rabbi trust assets 457 472
Deposits 238 124
Trade credits 61 61
Other 42 31
Total 3,882 1,839
Accrued Expense [Abstract]    
Contingent liabilities 2,638 3,023
Advertising and rebates 1,399 1,987
Other 911 710
Professional services 433 246
Due to Centrex 383 0
Accrued utilities 317 106
Deferred rent expense 279 71
Commissions 252 309
Property taxes 151 168
Pension and postretirement benefits 138 187
Severance 111 0
Medical self insurance 61 120
Sales tax 37 119
Accrued SARs 32 47
Total 7,142 7,093
Other Liabilities [Abstract]    
Deferred rent expense 2,640 214
Due to Centrex 1,617 0
Pension and postretirement benefits 1,350 1,595
Deferred lease 995 663
Deferred compensation 630 686
Asset retirement obligations 261 700
Accrued income taxes - long-term 122 232
Total $ 7,615 $ 4,090