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Special Charges (Schedule Of Restructuring Reserve) (Details) (USD $)
In Thousands
12 Months Ended
Jun. 30, 2011
Jun. 30, 2010
Jun. 30, 2009
Fiscal 2011 Restructuring Plan [Member]
     
Accruals and adjustments $ 8,524    
Cash payments (3,466)    
Foreign exchange (120)    
Ending balance 4,938    
Fiscal 2011 Restructuring Plan [Member] | Employee Termination Costs [Member]
     
Accruals and adjustments 6,953    
Cash payments (3,346)    
Foreign exchange (37)    
Ending balance 3,570    
Fiscal 2011 Restructuring Plan [Member] | Excess Facilities [Member]
     
Accruals and adjustments 1,571    
Cash payments (120)    
Foreign exchange (83)    
Ending balance 1,368    
Fiscal 2010 Restructuring Plan [Member]
     
Beginning balance 9,952    
Accruals and adjustments 4,620 33,799  
Cash payments (13,000) (23,775)  
Foreign exchange 257 (72)  
Ending balance 1,829 9,952  
Fiscal 2010 Restructuring Plan [Member] | Employee Termination Costs [Member]
     
Beginning balance 8,731    
Accruals and adjustments 2,137 28,875  
Cash payments (9,522) (20,068)  
Foreign exchange 93 (76)  
Ending balance 1,439 8,731  
Fiscal 2010 Restructuring Plan [Member] | Excess Facilities [Member]
     
Beginning balance 1,221    
Accruals and adjustments 676 2,274  
Cash payments (1,671) (1,057)  
Foreign exchange 164 4  
Ending balance 390 1,221  
Fiscal 2010 Restructuring Plan [Member] | Other [Member]
     
Accruals and adjustments 1,807 [1] 2,650 [1]  
Cash payments (1,807) [1] (2,650) [1]  
Fiscal 2009 Restructuring Plan [Member]
     
Beginning balance 1,957 5,651  
Accruals and adjustments   2,878 14,211
Cash payments (1,578) (7,173) (8,259)
Foreign exchange (117) 601 (301)
Ending balance 262 1,957 5,651
Fiscal 2009 Restructuring Plan [Member] | Employee Termination Costs [Member]
     
Beginning balance 329 2,718  
Accruals and adjustments   2,158 10,250
Cash payments (162) (4,585) (7,177)
Foreign exchange (125) 38 (355)
Ending balance 42 329 2,718
Fiscal 2009 Restructuring Plan [Member] | Excess Facilities [Member]
     
Beginning balance 1,628 2,933  
Accruals and adjustments   720 3,961
Cash payments (1,416) (2,588) (1,082)
Foreign exchange 8 563 54
Ending balance $ 220 $ 1,628 $ 2,933
[1] "Other" costs relate to one-time legal and consulting fees incurred on account of an internal reorganization of our international subsidiaries initiated to consolidate ownership of our intellectual property within certain jurisdictions and to effect an operational reduction in the number of our global subsidiaries with the goal of having a single operating legal entity in each jurisdiction.