Annual report pursuant to Section 13 and 15(d)

Note 10 - Restructuring and Other Impairment Activities (Tables)

v3.22.2.2
Note 10 - Restructuring and Other Impairment Activities (Tables)
12 Months Ended
Jun. 30, 2022
Notes Tables  
Schedule of Restructuring Reserve by Type of Cost [Table Text Block]
   

Fiscal Year Ended June 30,

 
   

2022

   

2021

 

Gain on sales of property, plant and equipment(1)

  $ (5,431 )   $ (473 )

Severance and other charges

    970       422  

Lease exit costs(2)

    -       1,537  

Impairment of long-lived assets(3)

    -       623  

Optimization of manufacturing and logistics(4)

    -       302  

Total Restructuring and other impairment charges, net of gains

  $ (4,461 )   $ 2,411  
                 

Optimization of manufacturing and logistics(4)

    -       54  

Inventory write-downs and additional reserves(5)

    -       585  

Total

  $ (4,461 )   $ 3,050  
   

 

   

Fiscal 2022 Activity

   

 

 
   

Balance

June 30, 2021

   

New Charges (Income)

   

Non-Cash

   

(Payments) Receipts

   

Balance

June 30, 2022

 

Lease exit costs

  $ 645     $ -     $ -     $ (460 )   $ 185  (1)

Sale of property, plant and equipment

    -       (5,431 )     5,182       10,613       -  

Severance and other charges

    439       970       45       (1,096 )     268  (2)
                                         

Total Restructuring and other impairment activities

  $ 1,084     $ (4,461 )   $ 5,227     $ 9,057     $ 453