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RESTRUCTURING, IMPAIRMENT AND OTHER CHARGES (Tables)
12 Months Ended
Mar. 31, 2024
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Activity The reserve balances are included in other accrued expenses and other liabilities in the consolidated balance sheets (dollars in thousands).
Employee-related
reserves
Lease
accruals
Total
Balances at March 31, 2021$825 $3,918 $4,743 
Restructuring charges and adjustments— (19)(19)
Payments(778)(872)(1,650)
Balances at March 31, 2022$47 $3,027 $3,074 
Restructuring charges and adjustments7,792 2,946 10,738 
Payments(7,080)(1,100)(8,180)
Balances at March 31, 2023$759 $4,873 $5,632 
Restructuring charges and adjustments4,227 (148)4,079 
Payments(3,306)(1,800)(5,106)
Balances at March 31, 2024$1,680 $2,925 $4,605 
Schedule of Gains, Losses and Other Items
The following table summarizes the activity included in gains, losses and other items, net in the consolidated statements of operations for each of the periods presented (dollars in thousands): 
For the twelve months ended March 31,
202420232022
Employee-related restructuring plan charges$4,227 $7,792 $(19)
Lease-related restructuring plan charges and adjustments(148)2,946 — 
Early contract terminations— — 1,042 
ROU asset group impairments and adjustments1,946 24,599 — 
Goodwill impairment (see Note 9)2,875 — — 
Other13 — — 
Acquisition related costs2,795 (21)$456 
$11,708 $35,316 $1,479