Quarterly report [Sections 13 or 15(d)]

DEBT - Narrative (Details)

v3.25.2
DEBT - Narrative (Details) - USD ($)
3 Months Ended 5 Months Ended
Apr. 02, 2025
Jan. 25, 2025
Aug. 31, 2024
Aug. 14, 2024
May 24, 2024
Feb. 14, 2024
Jun. 01, 2023
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
May 05, 2025
Mar. 31, 2025
Aug. 13, 2024
Jul. 31, 2024
Jul. 11, 2024
May 31, 2024
Mar. 31, 2024
Aug. 05, 2021
Debt Instrument                                    
Borrowings of long-term debt, net of debt issuance costs               $ 0 $ 0                  
Repayments of long-term debt               909,000 13,537,000                  
Gain (loss) on debt extinguishment               (2,559,000) 695,000                  
Borrowings of credit facility               71,625,000 105,568,000                  
Paid-in-kind interest               1,758,000 684,000                  
Standby Equity Purchase Agreement                                    
Debt Instrument                                    
Number of shares issued in transaction (in shares)                   7,500,000                
Shares authorized for issuance   $ 200,000,000                                
Sale of stock, term   3 years                                
Proceeds from issuance of stock, net                   $ 82,800,000                
2024 Term Loan Warrants                                    
Debt Instrument                                    
Issuance and sale of warrants         $ 800,000                          
July 2024 Warrants                                    
Debt Instrument                                    
Warrant exercise price (in dollars per share)                             $ 8.20      
Warrants to purchase (in shares)                             50,000      
August 2024 Warrants                                    
Debt Instrument                                    
Issuance and sale of warrants     $ 1,200,000                              
Amended PNC Credit Facility                                    
Debt Instrument                                    
Line of credit facility daily minimum liquidity                         $ 10,000,000       $ 15,000,000  
PNC Credit Facility | Line of Credit                                    
Debt Instrument                                    
Line of credit facility, maximum borrowing amount                                   $ 40,000,000
Debt issuance cost                           $ 100,000        
Fee amount     700,000     $ 200,000 $ 700,000                      
PNC Credit Facility | Senior Secured Debt                                    
Debt Instrument                                    
Debt issuance cost                               $ 500,000    
Fee amount         500,000                          
Term Loan | Senior Secured Debt                                    
Debt Instrument                                    
Line of credit facility, maximum borrowing amount     $ 26,300,000                              
Borrowings of long-term debt, net of debt issuance costs             15,000,000                      
Debt issuance cost $ 400,000           $ 900,000       $ 100,000              
Stated interest rate (as a percent)     5.00%       9.00%                      
Warrants issued (in shares)     380,510                              
Warrant exercise price (in dollars per share)     $ 6.20                              
Term Loan               $ 104,265,000   $ 104,265,000   $ 102,507,000            
Debt settlement fees           1,200,000                        
Debt instrument, amendment fees         $ 800,000 $ 100,000                        
Repayments of long-term debt                 12,300,000                  
Gain (loss) on debt extinguishment $ (2,400,000)   $ 3,000,000           $ 700,000                  
Line of credit facility, maximum borrowing amount, net     25,000,000                              
Borrowings of credit facility     10,500,000                              
Line of credit facility, remaining borrowing amount     15,800,000                              
Term Loan | Senior Secured Debt | SOFR                                    
Debt Instrument                                    
Variable rate (as a percent)             10.00%                      
Term Loan | Senior Secured Debt | Term Loan Warrant                                    
Debt Instrument                                    
Warrants issued (in shares)         100,000   60,000.00                      
Fee amount             $ 700,000                      
Term Loan | Senior Secured Debt | July 2024 Warrants                                    
Debt Instrument                                    
Fair value of warrants                           $ 400,000        
Term Loan | Senior Secured Debt | August 2024 Warrants                                    
Debt Instrument                                    
Fair value of warrants     2,000,000                              
Term Loan | Term Loan | Term Loan Warrant                                    
Debt Instrument                                    
Warrant exercise price (in dollars per share)         $ 9.20   $ 20.00                      
Initial Term Loan | Senior Secured Debt | August 2024 Warrants                                    
Debt Instrument                                    
Paid-in-kind interest     $ 500,000                              
2021 Term Loan | Senior Secured Debt                                    
Debt Instrument                                    
Stated interest rate (as a percent)               14.31%   14.31%                
2023 Term Loan | Senior Secured Debt                                    
Debt Instrument                                    
Stated interest rate (as a percent)               14.56%   14.56%                
2024 Term Loan | Senior Secured Debt                                    
Debt Instrument                                    
Stated interest rate (as a percent)               18.56%   18.56%                
Amended PNC Credit Facility | Line of Credit                                    
Debt Instrument                                    
Line of credit facility, remaining borrowing amount               $ 23,300,000   $ 23,300,000                
Covenant Period One | PNC Credit Facility | Line of Credit                                    
Debt Instrument                                    
Applicable margin rate, percent (as a percent)       4.75%                            
Covenant Period One | Term Loan | Senior Secured Debt                                    
Debt Instrument                                    
Stated interest rate (as a percent)     11.00%                              
Paid-in-kind interest rate margin (as a percent)     6.00%                              
Covenant Period One | Term Loan | Senior Secured Debt | SOFR                                    
Debt Instrument                                    
Variable rate (as a percent)     12.00%                              
Covenant Period One | 2021 Term Loan | Senior Secured Debt                                    
Debt Instrument                                    
Paid-in-kind interest rate margin (as a percent)       3.75%                            
Debt instrument amortization rate (as a percent)       5.00%                            
Applicable margin rate, percent (as a percent)       9.75%                            
Covenant Period One | 2021 Term Loan | Senior Secured Debt | SOFR                                    
Debt Instrument                                    
Variable rate (as a percent)       1.00%                            
Covenant Period One | 2021 Term Loan | Senior Secured Debt | ABR                                    
Debt Instrument                                    
Variable rate (as a percent)       1.75%                            
Covenant Period One | 2021 Term Loan | Senior Secured Debt | Federal Funds Rate                                    
Debt Instrument                                    
Variable rate (as a percent)       0.50%                            
Covenant Period One | 2021 Term Loan | Senior Secured Debt | Prime Rate                                    
Debt Instrument                                    
Variable rate (as a percent)       8.75%                            
Covenant Period Two | PNC Credit Facility | Line of Credit                                    
Debt Instrument                                    
Applicable margin rate, percent (as a percent)       3.75%                            
Covenant Period Two | PNC Credit Facility | Line of Credit | SOFR                                    
Debt Instrument                                    
Variable rate (as a percent)       1.00%                            
Covenant Period Two | PNC Credit Facility | Line of Credit | Overnight Banking Fund Rate                                    
Debt Instrument                                    
Variable rate (as a percent)       0.50%                            
Covenant Period Two | Term Loan | Senior Secured Debt                                    
Debt Instrument                                    
Stated interest rate (as a percent)     13.00%                              
Paid-in-kind interest rate margin (as a percent)     8.00%                              
Covenant Period Two | Term Loan | Senior Secured Debt | SOFR                                    
Debt Instrument                                    
Variable rate (as a percent)     14.00%                              
Covenant Period Two | 2021 Term Loan | Senior Secured Debt                                    
Debt Instrument                                    
Paid-in-kind interest rate margin (as a percent)       3.75%                            
Applicable margin rate, percent (as a percent)       9.75%                            
Debt instrument, step-up fee, percent (as a percent)       1.00%                            
Covenant Period Two | 2021 Term Loan | Senior Secured Debt | Paid in Kind Threshold One                                    
Debt Instrument                                    
Debt instrument, net leverage ratio       4.00                            
Covenant Period Two | 2021 Term Loan | Senior Secured Debt | Paid in Kind Threshold Two                                    
Debt Instrument                                    
Debt instrument, net leverage ratio       3.50                            
Covenant Period Two | 2021 Term Loan | Senior Secured Debt | ABR                                    
Debt Instrument                                    
Variable rate (as a percent)       8.75%                            
Covenant Period Two | 2021 Term Loan | Senior Secured Debt | Minimum | SOFR                                    
Debt Instrument                                    
Variable rate (as a percent)       2.00%