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Other Assets (Tables)
12 Months Ended
Jan. 31, 2016
Other Assets [Abstract]  
Schedule of Components of Other Assets
    January 31,   February 1,
        2016       2015
    (In thousands)
Non-current portion of notes receivable    $ 3,605   $ 3,482
Non-current portion of claims against insurance carriers related to self-insurance          
       programs (Notes 1, 5, 10 and 12)     2,998     3,290
401(k) mirror plan assets (Notes 12 and 18)     2,158     2,496
Deposits     695     734
Deferred financing costs, net of accumulated amortization     262     370
Other     447     388
    $ 10,165   $        10,760
Schedule of Components of Receivables
    January 31,   February 1,
        2016       2015
    (In thousands)
Receivables:                
       Consumer packaged goods - wholesale customers   $ 10,808     $ 9,557  
       Unaffiliated franchisees     13,233       12,743  
       Due from third-party distributors     2,440       4,075  
       Other receivables     667       867  
       Current portion of notes receivable     1,224       1,052  
      28,372       28,294  
       Less — allowance for doubtful accounts:                
              Consumer packaged goods - wholesale customers     (180 )     (204 )
              Unaffiliated franchisees     (104 )     (291 )
      (284 )     (495 )
    $        28,088     $        27,799  
   
Receivables from equity method franchisees (Note 7):                
       Trade   $ 338     $ 782  
    January 31,   February 1,
        2016       2015
    (In thousands)
Notes receivable:                
Note receivable from franchisees   $ 4,829     $ 4,534  
Less — portion due within one year included in receivables (Note 3)     (1,224 )     (1,052 )
    $        3,605     $   3,482