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Restructuring - Schedule of Restructuring Activity (Details) - USD ($)
$ in Thousands
12 Months Ended
Nov. 30, 2023
Nov. 30, 2022
Nov. 30, 2021
Restructuring Reserve [Roll Forward]      
Beginning Balance $ 3,900 $ 6,372 $ 3,973
Costs incurred 8,407 879 6,308
Cash disbursements (7,103) (3,348) (5,519)
Translation adjustments and other (17) (3) 1,610
Ending Balance 5,187 3,900 6,372
2023 Restructuring Activities      
Restructuring Reserve [Roll Forward]      
Beginning Balance 0    
Costs incurred 1,732    
Cash disbursements (102)    
Translation adjustments and other 13    
Ending Balance 1,643 0  
2021 Restructuring Activities      
Restructuring Reserve [Roll Forward]      
Beginning Balance 0    
Costs incurred 5,728    
Cash disbursements (5,346)    
Translation adjustments and other (29)    
Ending Balance 353 0  
2020 Restructuring Activities      
Restructuring Reserve [Roll Forward]      
Beginning Balance 3,870 4,490 3,523
Costs incurred 897 414 4,149
Cash disbursements (1,575) (1,034) (4,805)
Translation adjustments and other     1,623
Ending Balance 3,192 3,870 4,490
Excess Facilities and Other Costs      
Restructuring Reserve [Roll Forward]      
Beginning Balance 3,870 4,483 421
Costs incurred 1,117 414 3,518
Cash disbursements (1,690) (1,027) (1,072)
Translation adjustments and other 0 0 1,616
Ending Balance 3,297 3,870 4,483
Excess Facilities and Other Costs | 2023 Restructuring Activities      
Restructuring Reserve [Roll Forward]      
Beginning Balance 0    
Costs incurred 0    
Cash disbursements 0    
Translation adjustments and other 0    
Ending Balance 0 0  
Excess Facilities and Other Costs | 2021 Restructuring Activities      
Restructuring Reserve [Roll Forward]      
Beginning Balance 0    
Costs incurred 186    
Cash disbursements (81)    
Translation adjustments and other 0    
Ending Balance 105 0  
Excess Facilities and Other Costs | 2020 Restructuring Activities      
Restructuring Reserve [Roll Forward]      
Beginning Balance 3,870 4,483 0
Costs incurred 897 414 3,323
Cash disbursements (1,575) (1,027) (455)
Translation adjustments and other     1,615
Ending Balance 3,192 3,870 4,483
Employee Severance and Related Benefits      
Restructuring Reserve [Roll Forward]      
Beginning Balance 30 1,889 3,552
Costs incurred 7,290 465 2,790
Cash disbursements (5,413) (2,321) (4,447)
Translation adjustments and other (17) (3) (6)
Ending Balance 1,890 30 1,889
Employee Severance and Related Benefits | 2023 Restructuring Activities      
Restructuring Reserve [Roll Forward]      
Beginning Balance 0    
Costs incurred 1,732    
Cash disbursements (102)    
Translation adjustments and other 13    
Ending Balance 1,643 0  
Employee Severance and Related Benefits | 2021 Restructuring Activities      
Restructuring Reserve [Roll Forward]      
Beginning Balance 0    
Costs incurred 5,542    
Cash disbursements (5,265)    
Translation adjustments and other (29)    
Ending Balance 248 0  
Employee Severance and Related Benefits | 2020 Restructuring Activities      
Restructuring Reserve [Roll Forward]      
Beginning Balance 0 7 3,523
Costs incurred 0 0 826
Cash disbursements 0 (7) (4,350)
Translation adjustments and other     8
Ending Balance $ 0 $ 0 $ 7