Restructuring and Other Costs, Net - Schedule of Accrual Activity Relating to Restructuring Reserves (Details) - USD ($) $ in Thousands |
3 Months Ended | 9 Months Ended | ||
---|---|---|---|---|
Jun. 30, 2025 |
Jun. 30, 2024 |
Jun. 30, 2025 |
Jun. 30, 2024 |
|
Restructuring Reserve [Roll Forward] | ||||
Beginning balance | $ 4,330 | |||
Restructuring and other costs, net | $ 850 | $ 1,490 | 14,744 | $ 6,746 |
Non-cash adjustments | (2,963) | |||
Cash payments | (13,689) | |||
Effect of foreign currency translation | 34 | |||
Ending balance | 2,456 | 2,456 | ||
Personnel | ||||
Restructuring Reserve [Roll Forward] | ||||
Beginning balance | 3,758 | |||
Restructuring and other costs, net | 126 | 399 | 12,095 | 4,918 |
Non-cash adjustments | (2,963) | |||
Cash payments | (12,705) | |||
Effect of foreign currency translation | 41 | |||
Ending balance | 226 | 226 | ||
Other | ||||
Restructuring Reserve [Roll Forward] | ||||
Beginning balance | 572 | |||
Restructuring and other costs, net | 724 | $ 1,357 | 2,649 | $ 1,802 |
Non-cash adjustments | 0 | |||
Cash payments | (984) | |||
Effect of foreign currency translation | (7) | |||
Ending balance | $ 2,230 | $ 2,230 |