Annual report pursuant to Section 13 and 15(d)

RESTRUCTURING CHARGES - Schedule of Restructuring Activity (Details)

v3.20.1
RESTRUCTURING CHARGES - Schedule of Restructuring Activity (Details) - USD ($)
$ in Thousands
12 Months Ended
Mar. 31, 2020
Mar. 31, 2019
Mar. 31, 2018
Restructuring Reserve [Roll Forward]      
Beginning balance $ 2,876 $ 5,819 $ 6,282
Restructuring costs   5,570 8,474
Adjustments of prior estimates 1,022    
Cash payments $ (3,961) (8,513) (8,339)
Line of credit facility, percent commitment fee on undrawn amounts 0.375%    
Other non-cash     (598)
Other non-cash $ 63    
Ending balance 0 2,876 5,819
Severance and benefits      
Restructuring Reserve [Roll Forward]      
Beginning balance 0 1,430 130
Restructuring costs   4,708 8,266
Adjustments of prior estimates 0    
Cash payments 0 (6,138) (6,368)
Other non-cash     (598)
Other non-cash 0    
Ending balance 0 0 1,430
Facilities      
Restructuring Reserve [Roll Forward]      
Beginning balance 2,876 4,389 6,152
Restructuring costs   862 208
Adjustments of prior estimates 1,022    
Cash payments (3,961) (2,375) (1,971)
Other non-cash     0
Other non-cash 63    
Ending balance $ 0 $ 2,876 $ 4,389