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Balance Sheets-Additional Information (Tables)
3 Months Ended
Sep. 30, 2017
Balance Sheets Additional Information [Abstract]  
Schedule of additional information of balance sheets
As of
   
September 30,
2017
   
June 30,
2017
 
Inventories      
Raw materials
      $ 57,719         $ 54,861    
Work-in-process
        12,014           12,402    
Finished goods
        101,195           93,970    
        $ 170,928         $ 161,233    
 
 
As of
   
September 30,
2017
   
June 30,
2017
 
Accrued expenses and other current liabilities      
Employee related
      $ 21,030         $ 26,553    
Commissions and rebates
        4,964           6,443    
Insurance related
        1,522           1,515    
Professional fees
        3,513           3,823    
Income and other taxes
        3,631           3,035    
Other
        16,820           11,283    
        $ 51,480         $ 52,652    
 
As of
   
September 30,
2017
   
June 30,
2017
 
Accumulated other comprehensive income (loss)                          
Derivative instruments
      $ 2,064         $ 2,686    
Foreign currency translation adjustment
        (40,323)           (43,556)    
Unrecognized net pension gains (losses)
        (17,928)           (18,059)    
(Provision) benefit for income taxes on derivative instruments
        (1,316)           (1,553)    
(Provision) benefit for incomes taxes on long-term intercompany investments
        8,166           8,166    
(Provision) benefit for income taxes on pension gains (losses)
        (3,171)           (3,121)    
        $ (52,508)         $ (55,437)