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Restructuring - Schedule of Restructuring Activity (Details) - USD ($)
$ in Thousands
12 Months Ended
Nov. 30, 2024
Nov. 30, 2023
Nov. 30, 2022
Restructuring Reserve [Roll Forward]      
Beginning Balance $ 5,187 $ 3,900 $ 6,372
Costs incurred 10,454 8,407 879
Cash disbursements (5,601) (7,103) (3,348)
Translation adjustments and other (6) (17) (3)
Ending Balance 10,034 5,187 3,900
2024 Restructuring Activities      
Restructuring Reserve [Roll Forward]      
Beginning Balance 0    
Costs incurred 5,717    
Cash disbursements (509)    
Translation adjustments and other (2)    
Ending Balance 5,206 0  
Excess Facilities and Other Costs      
Restructuring Reserve [Roll Forward]      
Beginning Balance 3,297 3,870 4,483
Costs incurred 3,810 1,117 414
Cash disbursements (2,768) (1,690) (1,027)
Translation adjustments and other 0 0 0
Ending Balance 4,339 3,297 3,870
Excess Facilities and Other Costs | 2024 Restructuring Activities      
Restructuring Reserve [Roll Forward]      
Beginning Balance 0    
Costs incurred 0    
Cash disbursements 0    
Translation adjustments and other 0    
Ending Balance 0 0  
Employee Severance and Related Benefits      
Restructuring Reserve [Roll Forward]      
Beginning Balance 1,890 30 1,889
Costs incurred 6,644 7,290 465
Cash disbursements (2,833) (5,413) (2,321)
Translation adjustments and other (6) (17) (3)
Ending Balance 5,695 1,890 $ 30
Employee Severance and Related Benefits | 2024 Restructuring Activities      
Restructuring Reserve [Roll Forward]      
Beginning Balance 0    
Costs incurred 5,717    
Cash disbursements (509)    
Translation adjustments and other (2)    
Ending Balance $ 5,206 $ 0