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Restructuring, Exit and Other Charges (Tables)
12 Months Ended
Mar. 31, 2021
Restructuring and Related Activities [Abstract]  
Acquisition And Non-Acquisition Related Restructuring Reserve
Restructuring and exit charges for fiscal 2021, 2020 and 2019 by reportable segments are as follows:

 Fiscal year ended March 31, 2021
Energy SystemsMotive PowerSpecialtyTotal
Restructuring charges$3,187 $4,012 $169 $7,368 
Exit charges— 32,786 220 33,006 
Restructuring and other exit charges$3,187 $36,798 $389 $40,374 

Fiscal year ended March 31, 2020
Energy SystemsMotive PowerSpecialtyTotal
Restructuring charges$6,808 $1,860 $2,318 $10,986 
Exit charges526 5,541 3,713 9,780 
Restructuring and other exit charges$7,334 $7,401 $6,031 $20,766 

Fiscal year ended March 31, 2019
Energy SystemsMotive PowerSpecialtyTotal
Restructuring charges$5,115 $4,795 $713 $10,623 
Exit charges5,477 957 17,652 24,086 
Restructuring and other exit charges$10,592 $5,752 $18,365 $34,709 
A roll-forward of the restructuring reserve is as follows:
 
Employee
Severance

Other
Total
Balance at March 31, 2018$2,893 $16 $2,909 
Accrued6,554 1,639 8,193 
Costs incurred(6,893)(1,086)(7,979)
Foreign currency impact and other(198)27 (171)
Balance at March 31, 2019$2,356 $596 $2,952 
Accrued10,395 402 10,797 
Costs incurred(9,179)(995)(10,174)
Foreign currency impact and other(247)(3)(250)
Balance at March 31, 2020$3,325 $— $3,325 
Accrued6,537 831 7,368 
Costs incurred(7,550)(831)(8,381)
Foreign currency impact and other283 — 283 
Balance at March 31, 2021$2,595 $— $2,595