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RESTRUCTURING AND OTHER RELATED CHARGES (CREDITS) (Tables)
12 Months Ended
Apr. 02, 2022
Restructuring and Related Activities [Abstract]  
Restructuring and Related Costs
The following table summarizes the Company's restructuring liabilities during Fiscal Year 2022:
As of April 3, 2021
Accruals (1)
Cash PaymentsAs of April 2, 2022
Fiscal Year 2022 Plan
Severance$— $21,091 $(17,422)$3,669 
Facility— — — — 
Other— 5,464 (5,379)85 
Total Fiscal Year 2022 Plan— 26,555 (22,801)3,754 
Fiscal Year 2021 Plan
Severance $6,039 $(701)$(4,835)$503 
Facility 913 (108)(388)417 
Other186 (28)(158)— 
Total Fiscal Year 2021 Plan 7,138 (837)(5,381)920 
Legacy Plans
Severance 1,222 149 (1,041)330 
Facility 3,281 (586)(2,470)225 
Other — — — — 
Total Legacy Plans4,503 (437)(3,511)555 
 Severance 7,261 20,539 (23,298)4,502 
 Facility 4,194 (694)(2,858)642 
 Other 186 5,436 (5,537)85 
Total$11,641 $25,281 $(31,693)$5,229 
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 2, 2022April 3, 2021March 28, 2020
Severance$20,539 $26,467 $29,777 
Facility(694)3,274 3,247 
Other (1)
5,436 3,803 10,207 
Total cash charges25,281 33,544 43,231 
Non-cash charges (2)
9,656 15,160 10,946 
Total restructuring and other related charges$34,937 $48,704 $54,177 
(1) Other costs primarily represent associated legal and advisory services.
(2) Non-cash charges primarily represent accelerated depreciation due to the closure or consolidation of facilities.