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RESTRUCTURING CHARGES - Summary of Activity Resulting from Implementation of Restructuring Plan within Other Current and Non-current Liabilities (Details) - USD ($)
$ in Thousands
12 Months Ended
Feb. 28, 2022
Feb. 28, 2021
Restructuring Cost And Reserve [Line Items]    
Restructuring liabilities, Beginning Balance $ 3,528 $ 2,742
Charges 1,004 4,755
Payments (3,553) (3,969)
Restructuring liabilities, Ending Balance 979 3,528
Personnel [Member]    
Restructuring Cost And Reserve [Line Items]    
Restructuring liabilities, Beginning Balance 2,637 2,383
Charges 622 3,905
Payments (3,129) (3,651)
Restructuring liabilities, Ending Balance 130 2,637
Facilities [Member]    
Restructuring Cost And Reserve [Line Items]    
Restructuring liabilities, Beginning Balance 891 359
Charges 382 850
Payments (424) (318)
Restructuring liabilities, Ending Balance $ 849 $ 891