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Restructuring (Tables)
12 Months Ended
Mar. 02, 2024
Restructuring and Related Activities [Abstract]  
Restructuring
(In thousands)Architectural FramingArchitectural GlassArchitectural ServicesCorporate & OtherTotal
March 2, 2024
Asset impairment on property, plant and equipment$2,329 $— $49 $3,851 $6,229 
Termination benefits 3,348 — 2,475 56 5,879 
Other restructuring charges293 — — 295 
Total restructuring charges$5,970 $— $2,526 $3,907 $12,403 
February 25, 2023
Termination benefits— 116 — — 116 
Total restructuring charges$— $116 $— $— $116 
February 26, 2022
Asset impairment on property, plant and equipment54 21,443 — — 21,497 
Termination benefits1,435 3,718 — 1,039 6,192 
Other restructuring charges244 1,935 — 644 2,823 
Total restructuring charges$1,733 $27,096 $— $1,683 $30,512 
Restructuring reserve
The following table summarizes our restructuring related accrual balances included within accrued payroll and related benefits and other current liabilities in the consolidated balance sheets. All remaining accrual balances are expected to be paid within fiscal 2025.

(In thousands)Architectural FramingArchitectural GlassArchitectural ServicesCorporate & OtherTotal
Balance at February 26, 2022$440 $737 $— $228 $1,405 
Restructuring expense— 116 — — 116 
Payments(227)(813)— (214)(1,254)
Other adjustments(151)(17)— (14)(182)
Balance at February 25, 2023
$62 $23 $— $— $85 
Restructuring expense3,985 — 2,477 56 6,518 
Payments(1,233)(23)(410)— (1,666)
Balance at March 2, 2024$2,814 $— $2,067 $56 $4,937