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Restructuring and Other Charges - Schedule of Restructuring Reserve (Details) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
Jun. 30, 2022
Jun. 30, 2022
Jun. 30, 2021
Restructuring Reserve [Roll Forward]      
Accrual, beginning balance   $ 5,486 $ 9,987
Charges to operations, net   32,750 345
Cash disbursements $ (9,500) (36,600) (6,228)
Foreign exchange impact   (550) 50
Accrual, ending balance 3,562 3,562 4,154
Employee Severance and Related Benefits      
Restructuring Reserve [Roll Forward]      
Accrual, beginning balance   1,981 3,992
Charges to operations, net   33,471 162
Cash disbursements (6,200) (31,965) (3,925)
Foreign exchange impact   (550) 33
Accrual, ending balance 2,937 2,937 262
Facility Closures and Related Costs      
Restructuring Reserve [Roll Forward]      
Accrual, beginning balance   3,505 5,995
Charges to operations, net   (721) 183
Cash disbursements   (2,159) (2,303)
Foreign exchange impact   0 17
Accrual, ending balance $ 625 625 $ 3,892
PTC Restructuring Plan 2022      
Restructuring Reserve [Roll Forward]      
Cash disbursements   $ (34,124)