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Special Charges (Recoveries) (Tables)
9 Months Ended
Mar. 31, 2019
Restructuring Cost and Reserve [Line Items]  
Schedule of Restructuring Reserve Special charges (recoveries) include costs and recoveries that relate to certain restructuring initiatives that we have undertaken from time to time under our various restructuring plans, as well as acquisition-related costs and other charges. 
 
Three Months Ended March 31,
 
Nine Months Ended March 31,
 
2019
 
2018
 
2019
 
2018
Fiscal 2019 Restructuring Plan
$
667

 
$

 
$
26,906

 
$

Fiscal 2018 Restructuring Plan
7

 
553

 
517

 
8,907

Fiscal 2017 Restructuring Plan
(70
)
 
525

 
1,028

 
3,947

Restructuring Plans prior to Fiscal 2017 Restructuring Plan
5

 
4

 
(618
)
 
260

Acquisition-related costs
1,430

 
1,172

 
5,134

 
4,625

Other charges (recoveries)
(1,243
)
 
390

 
520

 
3,651

Total
$
796

 
$
2,644

 
$
33,487

 
$
21,390

Fiscal 2019 Restructuring Plan  
Restructuring Cost and Reserve [Line Items]  
Schedule of Restructuring Reserve A reconciliation of the beginning and ending liability for the nine months ended March 31, 2019 is shown below.
Fiscal 2019 Restructuring Plan
Workforce
reduction
 
Facility costs
 
Total
Balance payable as at June 30, 2018
$

 
$

 
$

Accruals and adjustments
11,348

 
15,558

 
26,906

Cash payments
(8,737
)
 
(4,148
)
 
(12,885
)
Non-cash adjustments

 
(3,393
)
 
(3,393
)
Foreign exchange
(211
)
 
(2,202
)
 
(2,413
)
Balance payable as at March 31, 2019
$
2,400

 
$
5,815

 
$
8,215

*non-cash adjustments primarily relate to the write-off of fixed assets associated with a restructured facility.
Fiscal 2018 Restructuring Plan  
Restructuring Cost and Reserve [Line Items]  
Schedule of Restructuring Reserve A reconciliation of the beginning and ending liability for the nine months ended March 31, 2019 is shown below.
Fiscal 2018 Restructuring Plan
Workforce
reduction
 
Facility costs
 
Total
Balance payable as at June 30, 2018
$
558

 
$
1,165

 
$
1,723

Accruals and adjustments
(16
)
 
533

 
517

Cash payments
(301
)
 
(737
)
 
(1,038
)
Foreign exchange and other non-cash adjustments
(42
)
 
(285
)
 
(327
)
Balance payable as at March 31, 2019
$
199

 
$
676

 
$
875

Fiscal 2017 Restructuring Plan  
Restructuring Cost and Reserve [Line Items]  
Schedule of Restructuring Reserve A reconciliation of the beginning and ending liability for the nine months ended March 31, 2019 is shown below. 
Fiscal 2017 Restructuring Plan
Workforce
reduction
 
Facility costs
 
Total
Balance payable as at June 30, 2018
$
1,590

 
$
3,431

 
$
5,021

Accruals and adjustments
(99
)
 
1,127

 
1,028

Cash payments
(213
)
 
(912
)
 
(1,125
)
Foreign exchange and other non-cash adjustments
(82
)
 
(204
)
 
(286
)
Balance payable as at March 31, 2019
$
1,196

 
$
3,442

 
$
4,638