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SPECIAL CHARGES (RECOVERIES) - Schedule of Restructuring Reserve (Details)
$ in Thousands
9 Months Ended
Mar. 31, 2021
USD ($)
COVID-19 Restructuring Plan  
Restructuring Reserve [Roll Forward]  
Balance, beginning $ 17,448
Accruals and adjustments 304
Cash payments (12,212)
Foreign exchange and other non-cash adjustments 726
Balance, end 6,266
COVID-19 Restructuring Plan | Workforce reduction  
Restructuring Reserve [Roll Forward]  
Balance, beginning 5,172
Accruals and adjustments 2,060
Cash payments (6,867)
Foreign exchange and other non-cash adjustments 264
Balance, end 629
COVID-19 Restructuring Plan | Facility charges  
Restructuring Reserve [Roll Forward]  
Balance, beginning 12,276
Accruals and adjustments (1,756)
Cash payments (5,345)
Foreign exchange and other non-cash adjustments 462
Balance, end 5,637
Fiscal 2020 Restructuring Plan  
Restructuring Reserve [Roll Forward]  
Balance, beginning 8,018
Accruals and adjustments 8,220
Cash payments (13,221)
Foreign exchange and other non-cash adjustments (315)
Balance, end 2,702
Fiscal 2020 Restructuring Plan | Workforce reduction  
Restructuring Reserve [Roll Forward]  
Balance, beginning 1,576
Accruals and adjustments 9,104
Cash payments (9,940)
Foreign exchange and other non-cash adjustments 4
Balance, end 744
Fiscal 2020 Restructuring Plan | Facility charges  
Restructuring Reserve [Roll Forward]  
Balance, beginning 6,442
Accruals and adjustments (884)
Cash payments (3,281)
Foreign exchange and other non-cash adjustments (319)
Balance, end $ 1,958