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FINANCIAL RISK MANAGEMENT - Narrative (Details)
12 Months Ended
Jan. 02, 2022
USD ($)
$ / lb
Jan. 03, 2021
USD ($)
Disclosure of nature and extent of risks arising from financial instruments [line items]    
Receivables purchase agreement, maximum of sale of accounts receivables $ 225,000,000  
Sensitivity analysis for types of market risk, reasonably possible change in risk variable, per unit | $ / lb 0.01  
SSensitivity analysis for types of market risk, reasonably possible change in risk variable, impact on material costs $ 6,000,000  
Long-term debt (note 12) $ 600,000,000 $ 1,000,000,000
Sensitivity analysis for types of market risk, reasonably possible change in risk variable, percent 50.00%  
Sensitivity analysis for types of market risk, reasonably possible change in risk variable, impact on earnings $ (1,200,000)  
Term Loan, Interest At Variable U.S. LIBOR-based Interest Rate    
Disclosure of nature and extent of risks arising from financial instruments [line items]    
Long-term debt (note 12) 400,000,000  
Term Loan, Interest At Variable U.S. LIBOR-based Interest Rate Plus A Spread Ranging From 1% to 3% Due April 2025    
Disclosure of nature and extent of risks arising from financial instruments [line items]    
Long-term debt (note 12) 300,000,000 $ 300,000,000
Unsecured Notes Payable    
Disclosure of nature and extent of risks arising from financial instruments [line items]    
Long-term debt (note 12) $ 100,000,000  
Debtor Concentration Risk | Ten Largest Trade Debtors | Accounts Receivable Benchmark    
Disclosure of nature and extent of risks arising from financial instruments [line items]    
Concentration Risk, Percentage 78.00% 76.00%
Debtor Concentration Risk | Largest Trade Debtor | Accounts Receivable Benchmark    
Disclosure of nature and extent of risks arising from financial instruments [line items]    
Concentration Risk, Percentage 24.00% 23.00%
Interest rate risk    
Disclosure of nature and extent of risks arising from financial instruments [line items]    
Notional amount $ 400,000,000  
Interest rate risk | Cash flow hedges    
Disclosure of nature and extent of risks arising from financial instruments [line items]    
Notional amount 250,000,000  
Interest rate risk | Term Loan, Interest At Variable U.S. LIBOR-based Interest Rate Plus A Spread Ranging From 1% to 3% Due April 2025 | Cash flow hedges    
Disclosure of nature and extent of risks arising from financial instruments [line items]    
Notional amount $ 100,000,000