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Other Charges (Tables)
9 Months Ended
Jun. 30, 2021
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Reserve by Type of Cost
(in thousands)Accrued Charges at September 30, 2020ChargesPayments and AdjustmentsAccrued Charges at March 31, 2021ChargesPayments and AdjustmentsAccrued Charges at June 30, 2021
Cash charges:
Labor reduction costs$5,946 $— $(3,418)$2,528 $— $(1,454)$1,074 
CASHMAX shutdown costs800 — (800)— — — — 
Store closure costs1,806 — (1,806)— 497 — 497 
Other2,166 — (166)2,000 — — 2,000 
$10,718 $— $(6,190)$4,528 $497 $(1,454)$3,571