v3.26.1
Organization and Summary of Significant Accounting Policies (Tables)
12 Months Ended
Mar. 31, 2026
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of Cash and Cash Equivalents
March 31,
2026
March 31,
2025
March 31,
2024
Cash and cash equivalents$52,275 $39,537 $48,631 
Restricted cash included in prepaid expenses and other current assets5,574 1,885 1,800 
Total cash, cash equivalents, and restricted cash shown in the statement of cash flows$57,849 $41,422 $50,431 
Schedule of Changes in Allowance for Credit Losses
The following table summarizes the annual changes in our allowance for credit losses:
Balance at March 31, 2024$1,428 
Additions to reserve819 
Write-off of uncollectible accounts(1,017)
Balance at March 31, 2025$1,230 
Additions to reserve415 
Write-off of uncollectible accounts(290)
Balance at March 31, 2026$1,355 
Schedule of Property, Plant and Equipment
Depreciation is computed using the straight-line method over the following useful lives:
Years
Buildings and improvements10-30
Machinery and equipment3-25
Office furniture and equipment3-10
Internally developed software5-7
Property, plant and equipment, net consisted of the following:
March 31,
20262025
Land, buildings and improvements$63,989 $60,233 
Machinery and equipment68,130 61,079 
Office furniture and equipment21,367 18,945 
Internally developed software5,213 5,213 
Construction in progress2,974 3,127 
Property, plant and equipment at cost161,673 148,597 
Accumulated depreciation(81,934)(75,773)
Property, plant and equipment, net$79,739 $72,824