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Restructuring and Asset Impairment Charges (Tables)
12 Months Ended
Mar. 31, 2020
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring and Asset Impairment Charges
The following summarizes the Company's restructuring and asset impairment charges:

Years Ended March 31,
202020192018
   Beginning balance$1,843 $107 $189 
   Period Charges:
      Employee separation charges (recoveries)4,592 4,055 (22)
   Total employee separation and other cash charges (recoveries)4,592 4,055 (22)
   Payments(6,028)(2,319)(60)
   Ending balance$407 $1,843 $107 
   Asset impairment and other noncash charges1,054 891 404 
Total restructuring and asset impairment charges$5,646 $4,946 $382 
Schedule of Employee Separation and Other Cash Charges The following summarizes the employee separation and other cash charges recorded in the Company’s Leaf - North America and Leaf - Other Regions segments:
Years Ended March 31,
202020192018
Leaf - North AmericaLeaf - Other RegionsLeaf - North AmericaLeaf - Other RegionsLeaf - North AmericaLeaf - Other Regions
Beginning balance$1,621 $222 $ $107 $60 $129 
Period charges (recoveries)8 4,584 2,668 1,387  (22)
Payments(1,629)(4,399)(1,047)(1,272)(60) 
Ending balance$ $407 $1,621 $222 $ $107 
Schedule of Asset Impairment and Other Noncash Charges
The following summarizes asset impairment and other noncash charges:

Years Ended March 31,
202020192018
Leaf - North America$ $545 $ 
Leaf - Other Regions772 346 404 
Other Products and Services282   
Total$1,054 $891 $404