v3.26.1
Debt - Additional Information (Detail)
€ in Millions, ¥ in Millions, SFr in Millions, $ in Millions
3 Months Ended 12 Months Ended
Mar. 25, 2025
CAD ($)
Nov. 30, 2023
USD ($)
Jun. 08, 2021
USD ($)
Feb. 28, 2025
USD ($)
Feb. 28, 2025
CAD ($)
May 31, 2026
USD ($)
Loan
Installments
CreditArrangements
May 31, 2026
CAD ($)
Loan
May 31, 2026
EUR (€)
Loan
May 31, 2025
USD ($)
May 31, 2024
USD ($)
May 31, 2026
CAD ($)
Installments
CreditArrangements
May 31, 2026
EUR (€)
Installments
CreditArrangements
May 31, 2026
CNY (¥)
Installments
CreditArrangements
May 31, 2026
INR (₨)
Installments
CreditArrangements
Jun. 03, 2025
CHF (SFr)
May 31, 2025
CAD ($)
May 31, 2025
CNY (¥)
May 31, 2025
INR (₨)
May 12, 2025
CAD ($)
Apr. 30, 2025
CHF (SFr)
Dec. 17, 2024
CAD ($)
Jun. 29, 2023
USD ($)
Debt And Receivables Securitization [Line Items]                                            
Long-term debt           $ 44,400,000     $ 2,300,000                          
Term loan facility, balance           212,400,000     149,200,000                          
Short-term loan facilities           185,400,000     149,200,000                          
Payments of debt issuance costs           4,400,000     0 $ 0                        
Sitem Group [Member]                                            
Debt And Receivables Securitization [Line Items]                                            
Repayment of loan           $ 14,300,000   € 12.4                            
Number of loan agreements repaid | Loan           4 4 4                            
Tempel Canada                                            
Debt And Receivables Securitization [Line Items]                                            
Debt to tangible equitry ratio 1                                          
Fixed charge coverage ratio 1.15                                          
TWB Term Loan                                            
Debt And Receivables Securitization [Line Items]                                            
Principal amount     $ 50,000,000                                      
Debt, interest rate     5.00%                                      
Debt, maturity date     May 31, 2024                                      
Canadian Government Regional Economic Growth Loan                                            
Debt And Receivables Securitization [Line Items]                                            
Principal amount           $ 2,500,000                             $ 3.5  
Debt, interest rate                                         0.00%  
Equal installments | Installments           60         60 60 60 60                
Installments beginning Date           Apr. 01, 2027 Apr. 01, 2027 Apr. 01, 2027                            
Final payment due date           Mar. 01, 2032 Mar. 01, 2032 Mar. 01, 2032                            
Long-term debt           $ 2,300,000     2,300,000                          
Total Debt issuance costs           $ 0                                
Canadian Government Regional Economic Growth Loan | Tempel Canada                                            
Debt And Receivables Securitization [Line Items]                                            
Distribution amount       $ 2,200,000 $ 3.2                                  
Percentage of distribution amount       90.00% 90.00%                                  
Percentage of remaining distribution amount           10.00% 10.00% 10.00%                            
Business Development Bank of Canada Canadian Loan | Tempel Canada                                            
Debt And Receivables Securitization [Line Items]                                            
Principal amount $ 57.5         $ 41,700,000                                
Debt, interest rate 1.75%                                          
Debt, maturity date Jun. 01, 2051                                          
Long-term debt                     $ 36.4         $ 0.0            
Interest rate terms The BDC Loan will accrue interest (1) during the construction period, at a per annum rate equal to BDC’s Floating Base Rate minus 1.75%, and (2) at all times thereafter, at a per annum rate equal to BDC’s Floating Base Rate minus 1.75% or BDC’s Base Rate minus 1.75%, at Tempel Canada’s election.                                          
Letter of credit amount outstanding $ 40.0         29,000,000                                
AMIC Loan | Tempel Canada                                            
Debt And Receivables Securitization [Line Items]                                            
Principal amount           3,600,000                         $ 5.0      
Distribution amount           $ 1,800,000 $ 2.5                              
Equal installments | Installments           4         4 4 4 4                
Long-term debt           $ 1,800,000     0                          
Long-term debt, bearing fixed tnterest rate           5.97%         5.97% 5.97% 5.97% 5.97%                
Debt instrument, incentive component forgiven amount           $ 400,000 $ 0.5                              
Bridge Nonrevolving Loan Commitment                                            
Debt And Receivables Securitization [Line Items]                                            
Maximum borrowing capacity           1,900,000,000                                
Fees and costs           17,800,000                                
Accrued debt issuance cost           14,800,000                                
Credit Facility Due In Fiscal 2026                                            
Debt And Receivables Securitization [Line Items]                                            
Short-term loan facilities           $ 185,400,000                                
Tempel India                                            
Debt And Receivables Securitization [Line Items]                                            
Number of individual credit arrangements | CreditArrangements           2         2 2 2 2                
Tempel India | Facility One                                            
Debt And Receivables Securitization [Line Items]                                            
Maximum borrowing capacity           $ 5,300,000               ₨ 500,000,000                
Maturity date           Jan. 07, 2027 Jan. 07, 2027 Jan. 07, 2027                            
Tempel India | Facility Two                                            
Debt And Receivables Securitization [Line Items]                                            
Maximum borrowing capacity           $ 6,800,000               650,000,000                
Maturity date           Dec. 15, 2026 Dec. 15, 2026 Dec. 15, 2026                            
Tempel India | Facility One and Two                                            
Debt And Receivables Securitization [Line Items]                                            
Maximum borrowing capacity           $ 12,100,000     14,000,000         1,150,000,000       ₨ 1,150,000,000        
Tempel China                                            
Debt And Receivables Securitization [Line Items]                                            
Short-term loan facilities           0     0                          
Tempel China | Facility One                                            
Debt And Receivables Securitization [Line Items]                                            
Maximum borrowing capacity           $ 5,900,000             ¥ 40.0                  
Maturity date           Sep. 10, 2026 Sep. 10, 2026 Sep. 10, 2026                            
Tempel China | Facility Two                                            
Debt And Receivables Securitization [Line Items]                                            
Maximum borrowing capacity           $ 7,400,000             50.0                  
Maturity date           Jul. 29, 2026 Jul. 29, 2026 Jul. 29, 2026                            
Tempel China | Facility One and Two                                            
Debt And Receivables Securitization [Line Items]                                            
Maximum borrowing capacity           $ 13,300,000     12,500,000       ¥ 90.0       ¥ 90.0          
Stanzwerk AG | Standstill Agreement - Sitem Group                                            
Debt And Receivables Securitization [Line Items]                                            
Principal amount           $ 21,700,000                           SFr 17.1    
Debt instrument commission on overdraft balances           0.25% 0.25% 0.25%                            
Debt covenant minimum equity ratio           15.00% 15.00% 15.00%                            
Debt covenant minimum liquidity amount           $ 5,100,000                 SFr 4.0              
Stanzwerk AG | Standstill Agreement - Sitem Group | SARON-Based, Zero Floor                                            
Debt And Receivables Securitization [Line Items]                                            
Debt instrument, basis spread on variable interest rate           5.00% 5.00% 5.00%                            
Sitem Slovakia | 1-Month EURIBOR Plus                                            
Debt And Receivables Securitization [Line Items]                                            
Debt instrument, basis spread on variable interest rate           1.75% 1.75% 1.75%                            
AR Facility                                            
Debt And Receivables Securitization [Line Items]                                            
Early termination, other similar fees and penalties paid                                           $ 0
Line of Credit | Tempel India                                            
Debt And Receivables Securitization [Line Items]                                            
Maximum borrowing capacity           $ 5,800,000     7,000,000         ₨ 550,000,000       ₨ 550,000,000        
Aggregate capacity           0     0                          
Line of Credit | Sitem Slovakia                                            
Debt And Receivables Securitization [Line Items]                                            
Maximum borrowing capacity           400,000           € 0.3                    
Letter of credit amount outstanding           0                                
Senior Secured Revolving Credit Facility                                            
Debt And Receivables Securitization [Line Items]                                            
Maximum borrowing capacity   $ 550,000,000                                        
Outstanding borrowings drawn against credit facility           $ 185,400,000     $ 149,200,000                          
Maturity date   Nov. 30, 2028                                        
Total Debt issuance costs   $ 2,700,000                                        
Capitalized debt issuance costs   $ 2,500,000                                        
Weighted average interest rate on Credit Facility           5.22%     5.98%   5.22% 5.22% 5.22% 5.22%   5.98% 5.98% 5.98%        
Available borrowing capacity           $ 219,500,000     $ 260,900,000                          
Senior Secured Revolving Credit Facility | SOFR Rate Loans                                            
Debt And Receivables Securitization [Line Items]                                            
Debt maturity period           6 months 6 months 6 months                            
Senior Secured Revolving Credit Facility | Swing Loan                                            
Debt And Receivables Securitization [Line Items]                                            
Maximum borrowing capacity           $ 55,000,000                                
Swing loan rate           7.25%     8.00%   7.25% 7.25% 7.25% 7.25%   8.00% 8.00% 8.00%        
Percentage of maximum amount of credit facility           10.00%         10.00% 10.00% 10.00% 10.00%                
Effective interest rate           7.25%     8.00%   7.25% 7.25% 7.25% 7.25%   8.00% 8.00% 8.00%