Quarterly report pursuant to Section 13 or 15(d)

RESTRUCTURING

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RESTRUCTURING
3 Months Ended
Mar. 30, 2024
Restructuring and Related Activities [Abstract]  
RESTRUCTURING RESTRUCTURING
During the three months ended March 2024, the Company incurred restructuring charges related to business optimization activities and actions to streamline and transfer select production within our internal manufacturing network.
Of the $4.6 million of restructuring charges recognized during the three months ended March 2024, $1.6 million were reflected within "selling, general and administrative expenses" and $3.0 million were reflected within "cost of goods sold." No restructuring charges were recognized during the three months ended March 2023.
Of the $2.4 million total restructuring accrual reported in the Company's balance sheet at March 2024, $1.7 million is expected to be paid out within the next 12 months and was classified within "accrued and other current liabilities," and the remaining $0.7 million was classified within "other liabilities." All of the $0.8 million restructuring accrual reported in the Company's balance sheet at December 2023 was classified within "accrued and other current liabilities."
The following table presents the components of restructuring charges:
Three Months Ended March
(In thousands)
2024 2023
Severance and employee-related benefits $ 1,981  $ — 
Asset impairments 168  — 
Inventory write-downs 1,683  — 
Other 779  — 
Total restructuring charges $ 4,611  $  
The following table presents the restructuring costs by business segment:
Three Months Ended March
(In thousands)
2024 2023
Wrangler $ 3,249  $ — 
Lee 40  — 
Corporate and other 1,322  — 
Total $ 4,611  $  
The following table presents activity in the restructuring accrual for the three-month period ended March 2024:
(In thousands) Total
Accrual at December 2023 $ 827 
Charges 2,760 
Cash payments (1,195)
Adjustments to accruals (16)
Currency translation (9)
Balance, March 2024 $ 2,367