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Restructuring and Other Charges (Tables)
12 Months Ended
Sep. 30, 2019
Restructuring [Abstract]  
Schedule of Restructuring Reserve by Type of Cost
The following table summarizes restructuring charges reserve activity for the three years ended September 30, 2019: 
(in thousands)
Employee Severance
and Related Benefits
 
Facility Closures
and Other Costs
 
Consolidated Total
Balance, September 30, 2016
$
35,177

 
$
1,431

 
$
36,608

Charges to operations
2,373

 
5,569

 
7,942

Cash disbursements
(35,069
)
 
(2,005
)
 
(37,074
)
Other non-cash charges

 
(704
)
 
(704
)
Foreign currency impact
(745
)
 
217

 
(528
)
Balance, September 30, 2017
1,736

 
4,508

 
6,244

Charges (credits) to operations
(509
)
 
(494
)
 
(1,003
)
Cash disbursements
(1,247
)
 
(1,509
)
 
(2,756
)
Foreign currency impact
20

 
(90
)
 
(70
)
Balance, September 30, 2018

 
2,415

 
2,415

Charges (credits) to operations
15,704

 
32,908

 
48,612

Cash disbursements
(15,402
)
 
(9,319
)
 
(24,721
)
Other non-cash charges

 
4,812

 
4,812

Foreign currency impact
(4
)
 
(28
)
 
(32
)
Balance, September 30, 2019
$
298

 
$
30,788

 
$
31,086