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RESTRUCTURING AND OTHER CHARGES, NET (Tables)
12 Months Ended
Jun. 30, 2025
RESTRUCTURING AND OTHER CHARGES, NET  
Schedule of restructuring and other charges

The following tables summarize restructuring and other charges for the periods set forth below (in thousands):

Fiscal 2023

Optoelectronics

and

Security 

Manufacturing

Healthcare

    

Division

    

Division

    

Division

    

Corporate

    

Total

Acquisition-related costs

$

23

$

7

$

225

$

127

$

382

Employee termination costs

 

849

532

355

 

1,736

Facility closures/consolidation

 

35

1,504

 

1,539

Legal costs, net

 

808

464

2,497

140

3,909

Total expensed

$

1,715

$

2,507

$

3,077

$

267

$

7,566

Fiscal 2024

Optoelectronics

and

Security 

Manufacturing

Healthcare

    

Division

    

Division

    

Division

    

Corporate

    

Total

Acquisition-related costs

$

247

$

201

$

$

514

$

962

Employee termination costs

285

199

810

 

122

1,416

Facility closures/consolidation

 

90

3,148

 

3,238

Legal costs, net

 

53

722

775

Total expensed

$

675

$

3,548

$

810

$

1,358

$

6,391

Fiscal 2025

Optoelectronics

and

Security 

Manufacturing

Healthcare

    

Division

    

Division

    

Division

    

Corporate

    

Total

Acquisition-related costs

$

378

$

$

$

228

$

606

Employee termination costs

975

391

958

360

2,684

Facility closures/consolidation

529

242

 

771

Legal costs, net

(14)

1,288

 

1,274

Total expensed

$

1,882

$

619

$

2,246

$

588

$

5,335

Schedule of changes in the accrued liability for restructuring and other charges

The accrued liability for restructuring and other charges is included in other accrued expenses and current liabilities in the consolidated balance sheet. The changes in the accrued liability for restructuring and other charges for fiscal 2024 and 2025 were as follows (in thousands):

Facility

Acquisition-

Employee

Closure /

Legal

Related 

Termination

Consolidation

Costs and

    

Costs

    

Costs

    

Cost

    

Settlements

    

Total

Balance as of June 30, 2023

$

7

$

107

$

1,609

$

656

$

2,379

Restructuring and other charges, net

962

1,416

3,238

 

775

6,391

Payments, adjustments and reimbursements, net

(473)

(1,229)

(4,620)

(623)

(6,945)

Balance as of June 30, 2024

$

496

$

294

$

227

$

808

$

1,825

Restructuring and other charges, net

 

606

2,684

771

 

1,274

5,335

Payments, adjustments and reimbursements, net

 

(1,102)

(2,533)

(375)

 

(365)

(4,375)

Balance as of June 30, 2025

$

$

445

$

623

$

1,717

$

2,785