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Detail of certain balance sheet accounts (Tables)
3 Months Ended
Jun. 27, 2020
Detail of certain balance sheet accounts  
Schedule of detail of certain balance sheet accounts

June 27,

March 28,

June 29,

    

2020

    

2020

    

2019

Accounts receivable, net:

Trade receivables, net

$

14,678

$

20,217

$

15,366

Credit card receivables

 

9,297

 

3,326

 

10,677

Other receivables

 

1,394

 

1,178

 

1,778

$

25,369

$

24,721

$

27,821

Inventory:

Finished goods

$

103,880

$

118,981

$

115,536

Raw materials

 

4,697

 

4,523

 

4,321

Work in progress

 

605

 

703

 

655

$

109,182

$

124,207

$

120,512

Accrued liabilities:

Accrued payroll, benefits and bonuses

$

20,214

$

19,112

$

21,684

Unearned revenue

14,554

12,976

15,297

Accrued transaction and property tax

13,099

12,509

11,484

Gift cards and store credits outstanding

9,035

9,208

9,010

Accrued lease liabilities

1,311

49

187

Accrued interest

2,633

1,483

1,796

Accrued sales returns

8,165

1,650

2,531

Other accrued liabilities

6,951

9,059

6,518

$

75,962

$

66,046

$

68,507