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RESTRUCTURING - Liability Incurred for Restructuring Plan (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jul. 02, 2022
Jul. 03, 2021
Jul. 02, 2022
Jul. 03, 2021
Restructuring Reserve        
Charges $ 2,887 $ 5,749 $ 5,438 $ 13,270
NWF 2.0        
Restructuring Reserve        
Beginning balance 5,149 9,144 5,331 10,261
Charges 2,887 5,749 5,438 13,270
Cash Payments 3,505 5,563 6,146 13,979
Non-cash Items 785 1,479 877 1,701
Ending balance 3,746 7,851 3,746 7,851
NWF 2.0 | Store closures        
Restructuring Reserve        
Beginning balance 264 51 300 240
Charges 0 1,447 405 1,670
Cash Payments 264 0 613 190
Non-cash Items 0 1,479 92 1,701
Ending balance 0 19 0 19
NWF 2.0 | Professional services        
Restructuring Reserve        
Beginning balance 357 541 643 2,280
Charges 0 2,821 135 3,407
Cash Payments 227 1,286 648 3,611
Non-cash Items 0 0 0 0
Ending balance 130 2,076 130 2,076
NWF 2.0 | Severance and employee-related benefits        
Restructuring Reserve        
Beginning balance 4,528 8,552 4,388 7,741
Charges 2,887 1,481 4,898 8,193
Cash Payments 3,014 4,277 4,885 10,178
Non-cash Items 785 0 785 0
Ending balance $ 3,616 $ 5,756 $ 3,616 $ 5,756