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Other Charges (Tables)
12 Months Ended
Sep. 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 September 30, 2021
Cash charges:
Labor reduction costs$5,946 $— $5,623 $323 
CASHMAX shutdown costs800 — 800 — 
Store closure costs1,806 229 1,806 229 
Other2,166 — 166 2,000 
$10,718 $229 $8,395 $2,552 
(in thousands)Accrued Charges at September 30, 2019ChargesPayments and AdjustmentsAccrued Charges at September 30, 2020
Cash charges:
Labor reduction costs$— $6,438 $492 $5,946 
CASHMAX shutdown costs— 1,751 951 800 
Store closure costs— 1,806 — 1,806 
Other— 2,486 320 2,166 
$— $12,481 $1,763 $10,718 
Non-cash charges:
Labor reduction costs$— 
CASHMAX shutdown costs3,092 
Store closure costs2,328 
Other2,485 
$20,386