v3.26.3
Restructuring Program - Schedule of Restructuring Activity and Liability Balances (Details) - USD ($)
$ in Thousands
12 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Restructuring Cost and Reserve [Line Items]    
Restructuring Reserve, Beginning Balance $ 3,018 $ 6,320
Charges 27,273 25,814
Amounts Paid (23,126) (25,172)
Non-cash settlements/Adjustments (3,548) (3,944)
Restructuring Reserve, Ending Balance 3,617 3,018
Employee-related Costs    
Restructuring Cost and Reserve [Line Items]    
Restructuring Reserve, Beginning Balance 2,430 1,985
Charges 10,908 8,297
Amounts Paid (10,659) (7,852)
Non-cash settlements/Adjustments (0) (0)
Restructuring Reserve, Ending Balance 2,679 2,430
Contract Termination Costs    
Restructuring Cost and Reserve [Line Items]    
Restructuring Reserve, Beginning Balance 208 347
Charges 2,206 1,589
Amounts Paid (1,870) (1,669)
Non-cash settlements/Adjustments (0) (59)
Restructuring Reserve, Ending Balance 544 208
Asset Write-Downs    
Restructuring Cost and Reserve [Line Items]    
Restructuring Reserve, Beginning Balance 0 0
Charges 3,560 2,685
Amounts Paid 0 0
Non-cash settlements/Adjustments (3,560) (2,685)
Restructuring Reserve, Ending Balance 0 0
Other Transformation-related Expenses    
Restructuring Cost and Reserve [Line Items]    
Restructuring Reserve, Beginning Balance 380 3,988
Charges 10,599 13,243
Amounts Paid (10,597) (15,651)
Non-cash settlements/Adjustments 12 (1,200)
Restructuring Reserve, Ending Balance $ 394 $ 380