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Restructuring and Other Charges (Tables)
12 Months Ended
Dec. 31, 2022
Restructuring and Related Activities [Abstract]  
Restructuring reserve rollforward by major type of cost
The following table presents activity for Cadence’s restructuring plans during fiscal 2022, 2021 and 2020:
Severance
and
Benefits
Excess
Facilities
Total
(In thousands)
Balance, December 28, 2019$9,229 $409 $9,638 
Restructuring7,476 1,739 9,215 
Cash payments(9,424)(773)(10,197)
Effect of foreign currency translation40 (3)37 
Balance, January 2, 2021$7,321 $1,372 $8,693 
Restructuring(1,480)432 (1,048)
Cash payments(5,774)(1,761)(7,535)
Effect of foreign currency translation(67)— (67)
Balance, January 1, 2022$— $43 $43 
Restructuring — 55 55 
Cash payments— (98)(98)
Effect of foreign currency translation— — — 
Balance, December 31, 2022$— $— $—