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Restructuring (Tables)
12 Months Ended
Sep. 25, 2015
Restructuring Charges [Abstract]  
Schedule Of Changes In Restructuring Accruals
 
Severance and associated costs
Restructuring charges
$
3,301

Cash payments
(3,164
)
Non-cash and other adjustments
9

Balance at September 26, 2014
$
146

Restructuring (credits)
(39
)
Cash payments
(10
)
Non-cash and other adjustments
(97
)
Balance at September 25, 2015
$

:
During fiscal 2014, we recognized a $0.7 million credit representing the release of a facility exit obligation accrued under this plan following the sale of certain property located in Wootton Bassett, U.K. Changes in restructuring accruals under the fiscal 2013 restructuring program were as follows (in thousands):
 
Severance and associated
costs
Facilities and
contract
termination costs
Total
Restructuring charges
$
4,723

$
1,151

$
5,874

Cash payments
(2,097
)
(108
)
(2,205
)
Other non-cash adjustments
(1,832
)

(1,832
)
Balance at September 27, 2013
$
794

$
1,043

$
1,837

Restructuring (credits)

(898
)
(898
)
Cash payments
(794
)

(794
)
Other non-cash adjustments

(145
)
(145
)
Balance at September 26, 2014
$

$

$