Annual report pursuant to Section 13 and 15(d)

Schedule II - Valuation and Qualifying Accounts

v2.4.1.9
Schedule II - Valuation and Qualifying Accounts
12 Months Ended
Mar. 31, 2015
Valuation and Qualifying Accounts [Abstract]  
Schedule II - Valuation and Qualifying Accounts

GRAHAM CORPORATION AND SUBSIDIARIES

SCHEDULE II — VALUATION AND QUALIFYING ACCOUNTS

(In Thousands)

 

Description

   Balance at
Beginning
of Period
     Charged to
Costs and
Expenses
    Charged to
Other
Accounts
     Deductions     Balance at
End of
Period
 

Year ended March 31, 2015

            

Reserves deducted from the asset to which they apply:

            

Reserve for doubtful accounts receivable

   $ 46       $ 24      $       $ (8   $ 62   

Reserves included in the balance sheet caption “accrued expenses”

            

Product warranty liability

   $ 308       $ 930      $       $ (585   $ 653   

Reserves included in the balance sheet caption “accrued compensation”

            

Restructuring reserve

   $       $ 1,718      $       $      $ 1,718   

Year ended March 31, 2014

            

Reserves deducted from the asset to which they apply:

            

Reserve for doubtful accounts receivable

   $ 33       $ 19      $       $ (6   $ 46   

Reserves included in the balance sheet caption “accrued expenses”

            

Product warranty liability

   $ 408       $ 125      $       $ (225   $ 308   

Year ended March 31, 2013

            

Reserves deducted from the asset to which they apply:

            

Reserve for doubtful accounts receivable

   $ 43       $ (10   $       $      $ 33   

Reserves included in the balance sheet caption “accrued expenses”

            

Product warranty liability

   $ 215       $ 360      $       $ (167   $ 408