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Restructuring (Tables)
12 Months Ended
Oct. 01, 2022
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Reserve Activity Restructuring activity for severance and other costs by segment and reconciliation to consolidated amounts is as follows:
Aircraft ControlsSpace and Defense ControlsIndustrial SystemsTotal
Balance at September 28, 2019$— $27 $4,096 $4,123 
Charged to expense - 2020 plan3,340 185 7,175 10,700 
Non-cash charges - 2020 plan(234)— — (234)
Adjustments to provision— (1)(892)(893)
Cash payments - 2020 plan(1,859)(185)(828)(2,872)
Cash payments - 2018 plan— (26)(705)(731)
Foreign currency translation— — 249 249 
Balance at October 3, 20201,247 — 9,095 10,342 
Adjustments to provision(457)— (711)(1,168)
Cash payments - 2020 plan(611)— (2,423)(3,034)
Cash payments - 2018 plan— — (524)(524)
Foreign currency translation— — 49 49 
Balance at October 2, 2021179 — 5,486 5,665 
Charged to expense - 2022 plan3,996 3,755 3,450 11,201 
Non-cash charges - 2022 plan— (2,230)— (2,230)
Cash payments - 2022 plan(3,767)(1,297)(613)(5,677)
Cash payments - 2020 plan(179)— (443)(622)
Cash payments - 2018 plan— — (432)(432)
Foreign currency translation— — (770)(770)
Balance at October 1, 2022$229 $228 $6,678 $7,135