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Note 9 - Plant Restructuring
9 Months Ended
Jan. 01, 2022
Notes to Financial Statements  
Restructuring and Related Activities Disclosure [Text Block]

9.

Plant Restructuring

 

The following table summarizes the rollforward of restructuring charges recorded and the accruals established (in thousands):

 

  Restructuring Payable 
  

Severance

  

Other Costs

  

Total

 

Balance March 31, 2021

 $-  $-  $- 

First quarter charge

  -   66   66 

Second quarter charge

  -   47   47 

Third quarter charge

     (110)  (110)

Cash payments/write offs

  -   (3)  (3)

Balance January 1, 2022

 $-  $-  $- 

 

 

  

Severance

  

Other Costs

  

Total

 

Balance March 31, 2020

 $202  $-  $202 

First quarter charge

  219   44   263 

Second quarter charge

  8   16   24 

Third quarter charge

  -   (118)  (118)

Cash payments/write offs

  (429)  58   (371)

Balance December 26, 2020

 $-  $-  $- 

 

During the three months and nine months ended January 1, 2022 and December 26, 2020, the Company incurred restructuring charges primarily related to plants that were closed in previous periods, including severance, health care costs, and lease impairments, amongst other minor charges.