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OTHER BALANCE SHEET DETAILS
9 Months Ended
Jul. 30, 2022
Balance Sheet Related Disclosures [Abstract]  
OTHER BALANCE SHEET DETAILS OTHER BALANCE SHEET DETAILS
As of the dates indicated, accrued liabilities and other short-term obligations are comprised of the following (in thousands):
July 30,
2022
October 30,
2021
Compensation, payroll related tax and benefits (1)
$98,174 $201,119 
Warranty45,689 48,019 
Vacation27,721 31,200 
Interest payable9,386 598 
Income taxes payable4,830 13,577 
Finance lease liabilities3,923 3,620 
Foreign currency forward contracts3,399 716 
Other108,467 110,436 
 $301,589 $409,285 
(1) Reduction is primarily due to bonus payments to employees under Ciena’s 2021 annual cash incentive compensation plan in the first quarter of fiscal 2022, and a lower accrual rate related to Ciena’s 2022 annual cash incentive compensation plan.

The following table summarizes the activity in Ciena’s accrued warranty for the periods indicated (in thousands):
Beginning BalanceCurrent Period ProvisionsSettlementsEnding Balance
Nine Months Ended July 31, 2021$49,868 12,726 (14,455)$48,139 
Nine Months Ended July 30, 2022$48,019 12,416 (14,746)$45,689 
As of the dates indicated, deferred revenue is comprised of the following (in thousands):
July 30,
2022
October 30,
2021
Products$27,432 $12,859 
Services182,221 162,605 
 Total deferred revenue209,653 175,464 
Less current portion(147,808)(118,007)
Long-term deferred revenue$61,845 $57,457