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Restructuring Charges
6 Months Ended
May 31, 2024
Restructuring Charges [Abstract]  
Restructuring Charges Restructuring Charges
The following table provides a summary of activity for our restructuring actions:
(in thousands)Excess Facilities and Other CostsEmployee Severance and Related BenefitsTotal
Balance, December 1, 2023$3,297 $1,890 $5,187 
Costs incurred2,574 426 3,000 
Cash disbursements(1,369)(1,987)(3,356)
Translation and other adjustments(5)(3)
Balance, May 31, 2024$4,504 $324 $4,828 

Costs incurred during the three and six months ended May 31, 2024 are primarily related to a facility closure in connection with the restructuring action from the first fiscal quarter of 2023. We do not expect to incur additional material expenses as part of this action.