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Restructuring
3 Months Ended
Feb. 28, 2025
Restructuring Charges [Abstract]  
Restructuring Restructuring
The following table provides a summary of activity for our restructuring actions:
(in thousands)Excess Facilities and Other CostsEmployee Severance and Related BenefitsTotal
Balance, December 1, 2024$4,339 $5,695 $10,034 
Costs incurred1,624 5,405 7,029 
Cash disbursements(908)(4,646)(5,554)
Translation and other adjustments— (4)(4)
Balance, February 28, 2025$5,055 $6,450 $11,505 

Costs incurred during the three months ended February 28, 2025 are primarily related to our restructuring action in fiscal year 2024, as well as facility closures in connection with previous restructuring actions in fiscal years 2023 and 2020. We do not expect to incur additional material expenses as part of these actions.