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Restructuring Activities
3 Months Ended
Mar. 31, 2022
Restructuring and Related Activities [Abstract]  
Restructuring Activities
8. Restructuring Activities

The Company's restructuring charges by segment were as follows:
 Three Months Ended March 31,
 20222021
Engineered Products$457 $3,991 
Clean Energy & Fueling196 49 
Imaging & Identification1,191 690 
Pumps & Process Solutions685 (17)
Climate & Sustainability Technologies5,716 1,061 
Corporate(88)661 
Total$8,157 $6,435 
These amounts are classified in the Condensed Consolidated Statements of Earnings as follows:
Cost of goods and services$207 $3,907 
Selling, general and administrative expenses7,950 2,528 
Total$8,157 $6,435 

The restructuring expenses of $8,157 incurred during the three months ended March 31, 2022 were primarily the result of restructuring programs initiated in 2021 in response to demand conditions and broad-based operational efficiency initiatives focusing on footprint consolidation and IT centralization.

The $8,157 of restructuring charges incurred during the first quarter of 2022 primarily included the following items:
The Engineered Products segment recorded $457 of restructuring charges related primarily to headcount reduction.

The Clean Energy & Fueling segment recorded $196 of restructuring charges primarily due to headcount reductions.

The Imaging & Identification segment recorded $1,191 of restructuring charges related primarily to exit costs and asset charges.
The Pumps & Process Solutions segment recorded $685 of restructuring charges related primarily to headcount reductions and asset charges.

The Climate & Sustainability Technologies segment recorded $5,716 of restructuring charges related primarily to non-cash foreign currency translation losses due to the substantial liquidation of businesses in certain Latin America countries.

The Company’s severance and exit accrual activities were as follows:
 SeveranceExitTotal
Balance at December 31, 2021$10,730 $3,067 $13,797 
Restructuring charges778 7,379 
(1)
8,157 
Payments(3,132)(795)(3,927)
Other, including foreign currency translation(114)(6,703)
(1)
(6,817)
Balance at March 31, 2022$8,262 $2,948 $11,210 
(1) Other activity includes non-cash foreign currency translation losses recorded as restructuring charges due to the substantial liquidation of businesses in certain Latin America countries.