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Other Charges - Activity (Details) - Cost savings initiative plan - USD ($)
$ in Thousands
12 Months Ended
Sep. 30, 2021
Sep. 30, 2020
Restructuring Reserve [Roll Forward]    
Accrued charges beginning balance $ 10,718 $ 0
Charges 229 12,481
Payments and Adjustments 8,395 1,763
Accrued charges ending balance 2,552 10,718
Restructuring charges, including non-cash charges   20,386
Labor reduction costs    
Restructuring Reserve [Roll Forward]    
Accrued charges beginning balance 5,946 0
Charges 0 6,438
Payments and Adjustments 5,623 492
Accrued charges ending balance 323 5,946
Non-cash charges:   0
Restructuring charges, including non-cash charges   6,400
CASHMAX shutdown costs    
Restructuring Reserve [Roll Forward]    
Accrued charges beginning balance 800 0
Charges 0 1,751
Payments and Adjustments 800 951
Accrued charges ending balance 0 800
Non-cash charges:   3,092
Restructuring charges, including non-cash charges   4,900
Store closure costs    
Restructuring Reserve [Roll Forward]    
Accrued charges beginning balance 1,806 0
Charges 229 1,806
Payments and Adjustments 1,806 0
Accrued charges ending balance 229 1,806
Non-cash charges:   2,328
Other    
Restructuring Reserve [Roll Forward]    
Accrued charges beginning balance 2,166 0
Charges 0 2,486
Payments and Adjustments 166 320
Accrued charges ending balance $ 2,000 2,166
Non-cash charges:   2,485
Restructuring charges, including non-cash charges   $ 5,000