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RESTRUCTURING AND OTHER RELATED CHARGES (CREDITS) (Tables)
6 Months Ended
Sep. 26, 2020
Restructuring and Related Activities [Abstract]  
Restructuring and Related Costs
The Company's restructuring liabilities as of September 26, 2020 is as follows (amounts in thousands):
As of March 28, 2020 Accruals Cash PaymentsAs of September 26, 2020
FY 2021 Plans
 Severance $— $23,808 $(15,922)$7,886 
 Facility — 69 (59)10 
 Other — 2,307 (1,651)656 
Total FY2021 Plans $— $26,184 $(17,632)$8,552 
FY 2020 Plans
 Severance $7,475 $(859)$(4,499)$2,117 
 Facility 2,501 1,573 (852)3,222 
 Other 1,621 — (1,621)— 
Total FY2020 Plans $11,597 $714 $(6,972)$5,339 
FY 2019 Plans
 Severance $147 $243 $(325)$65 
 Facility — — — — 
 Other 117 — (117)— 
Total FY2019 Plans$264 $243 $(442)$65 
 Severance $7,622 $23,192 $(20,746)$10,068 
 Facility 2,501 1,642 (911)3,232 
 Other 1,738 2,307 (3,389)656 
Grand Total $11,861 $27,141 $(25,046)$13,956