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Restructuring and Other Charges (Tables)
9 Months Ended
Sep. 29, 2018
Restructuring and Related Activities [Abstract]  
Restructuring reserve rollforward by major type of cost
The following table presents activity relating to Cadence’s restructuring plans during the nine months ended September 29, 2018:
 
Severance
and
Benefits
 
Excess
Facilities
 
Total
 
(In thousands)
Balance, December 30, 2017
$
13,535

 
$
249

 
$
13,784

Restructuring and other charges (credits)
(3,029
)
 
419

 
(2,610
)
Cash payments
(9,963
)
 
(257
)
 
(10,220
)
Effect of foreign currency translation
(36
)
 
(11
)
 
(47
)
Balance, September 29, 2018
$
507

 
$
400

 
$
907

Schedule of Restructuring Reserve by Balance Sheet Classification [Table Text Block]
The remaining liability for Cadence’s restructuring plans is recorded in the condensed consolidated balance sheet as follows:
 
As of
 
September 29, 2018
 
(In thousands)
Accounts payable and accrued liabilities
$
695

Other long-term liabilities
212

Total liabilities
$
907