XML 17 R17.htm IDEA: XBRL DOCUMENT v3.20.1
Restructuring and Related Charges
3 Months Ended
Mar. 27, 2020
Restructuring and Related Activities [Abstract]  
Restructuring and Related Charges
RESTRUCTURING AND RELATED CHARGES
The Company has implemented several restructuring plans in an effort to better align its resources with its business strategy. The goal of these plans was to bring operational expenses to appropriate levels relative to the Company’s net revenues, while simultaneously implementing extensive company-wide expense control programs. The restructuring plans have primarily been comprised of excess facilities, severance payments and termination benefits related to headcount reductions.

The Company accounts for its restructuring plans under the authoritative guidance for exit or disposal activities. The restructuring and related charges are included in “Cost of revenue” and “Operating expenses - Restructuring and related charges” in the Condensed Consolidated Statements of Operations. The following table summarizes the restructuring and related charges (in thousands):
 
Three months ended
 
March 27,
2020

March 29,
2019
Restructuring and related charges in:
 
 
 
Cost of revenue
$
(73
)
 
$
301

Operating expenses - Restructuring and related charges
676

 
57

Total restructuring and related charges
$
603

 
$
358



As of March 27, 2020 and December 31, 2019, the Company’s total restructuring liability was $3.1 million and $4.9 million, respectively, of which $1.9 million and $1.5 million, respectively, were reported as a component of “Accrued and other current liabilities”, and the remaining $1.2 million and $3.4 million, respectively, were reported as a component of “Other non-current liabilities” on the Company’s Condensed Consolidated Balance Sheets.

The following table summarizes the activities related to the Company’s restructuring plans during the three months ended March 27, 2020 (in thousands):

 
 
Excess facilities
 
Severance and benefits
 
French VDP
 
Others
 
Total
Balance at December 31, 2019
 
$
720

 
$
3,294

 
$
806

 
$
30

 
$
4,850

Charges for current period
 

 
563

 
40

 

 
603

Cash payments
 
(463
)
 
(1,252
)
 
(526
)
 

 
(2,241
)
Others
 

 
(80
)
 
(46
)
 

 
(126
)
Balance at March 27, 2020
 
$
257

 
$
2,525

 
$
274

 
$
30

 
$
3,086