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RESTRUCTURING COSTS (Tables)
6 Months Ended
Dec. 31, 2020
Restructuring and Related Activities [Abstract]  
Restructuring costs
Restructuring costs for the three and six months ended December 31, 2020 and 2019 are presented below:
Three Months Ended
December 31,
Six Months Ended
December 31,
2020201920202019
Transformation Plan$62.5 $131.8 $93.7 $139.4 
Other Restructuring(2.9)(3.1)(4.0)(5.9)
Total$59.6 $128.7 $89.7 $133.5 
The following table presents aggregate restructuring charges for the program:
Severance and Employee BenefitsFixed Asset Write-offsOther Exit CostsTotal
Fiscal 2020$151.2 $(1.1)$6.5 $156.6 
Fiscal 202193.7 (0.4)0.4 93.7 
Cumulative through December 31, 2020$244.9 $(1.5)$6.9 $250.3 
Schedule of related liability balance and restructuring costs
The related liability balance and activity for the Transformation Plan restructuring costs are presented below:
Severance and Employee BenefitsFixed Asset Write-offsOther Exit CostsTotal
Balance—July 1, 2020$131.9 $— $0.7 $132.6 
Restructuring charges109.7 (0.4)0.4 109.7 
Payments(40.2)— (0.2)(40.4)
Changes in estimates(16.0)— — (16.0)
Non-cash utilization— 0.4 — 0.4 
Adjustment for sale of the Wella Business(0.6)— — (0.6)
Effect of exchange rates9.9 — — 9.9 
Balance—December 31, 2020$194.7 $— $0.9 $195.6