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RESTRUCTURING AND OTHER RELATED CHARGES (CREDITS) (Tables)
12 Months Ended
Apr. 03, 2021
Restructuring and Related Activities [Abstract]  
Restructuring and Related Costs
The following table summarizes the Company's restructuring liabilities during Fiscal Year 2021:
As of March 28, 2020ChargesPaymentsAs of April 3, 2021
FY 2021 Plans
Severance$— $27,130 $(21,091)$6,039 
Facility— 313 600 913 
Other— 3,803 (3,617)186 
Total FY 2021 Plans— 31,246 (24,108)7,138 
FY 2020 Plans
Severance $7,475 $(1,164)$(5,264)$1,047 
Facility 2,501 2,961 (2,181)3,281 
Other1,621 — (1,621)— 
Total FY 2020 Plans 11,597 1,797 (9,066)4,328 
FY 2019 Plans
Severance 147 501 (473)175 
Facility — — — — 
Other 117 — (117)— 
Total FY 2019 Plans264 501 (590)175 
 Severance 7,622 26,467 (26,828)7,261 
 Facility 2,501 3,274 (1,581)4,194 
 Other 1,738 3,803 (5,355)186 
Total$11,861 $33,544 $(33,764)$11,641 
Schedule of Restructuring Reserve by Type of Cost
The following table summarizes the Restructuring and Other Related Charges recognized in the Company's Consolidated Statements of Operations:
Fiscal Year Ended
(in thousands)April 3, 2021March 28, 2020March 30, 2019
Severance$26,467 $29,777 $25,033 
Facility3,274 3,247 2,241 
Other (1)
3,803 10,207 5,420 
Total cash charges33,544 43,231 32,694 
Non-cash charges (2)
15,160 10,946 — 
Total restructuring and other related charges$48,704$54,177$32,694
(1) Other costs primarily represent associated legal and advisory services.
(2) Non-cash charges primarily represent asset impairments due to closure or consolidation of facilities.