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Restructuring Charges (Tables)
6 Months Ended
May 31, 2020
Restructuring Charges [Abstract]  
Summary of Restructuring Activity

The following table provides a summary of activity for our restructuring actions, which are detailed further below (in thousands):
 
Excess
Facilities and
Other Costs
 
Employee Severance and Related Benefits
 
Total
Balance, December 1, 2019
$
196

 
$
2,007

 
$
2,203

Costs incurred
1,587

 
148

 
1,735

Cash disbursements
(767
)
 
(1,713
)
 
(2,480
)
Translation adjustments and other
(27
)
 

 
(27
)
Balance, May 31, 2020
$
989

 
$
442

 
$
1,431


A summary of activity for this restructuring action is as follows (in thousands):
 
Excess
Facilities and
Other Costs
 
Employee Severance and Related Benefits
 
Total
Balance, December 1, 2019
$

 
$
1,460

 
$
1,460

Costs incurred

 
109

 
109

Cash disbursements

 
(1,134
)
 
(1,134
)
Balance, May 31, 2020
$

 
$
435

 
$
435


A summary of activity for this restructuring action is as follows (in thousands):
 
Excess
Facilities and
Other Costs
 
Employee Severance and Related Benefits
 
Total
Balance, December 1, 2019
$
5

 
$
547

 
$
552

Costs incurred
1,334

 
39

 
1,373

Cash disbursements
(432
)
 
(579
)
 
(1,011
)
Translation adjustments and other
(20
)
 

 
(20
)
Balance, May 31, 2020
$
887

 
$
7

 
$
894