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Restructuring (Tables)
6 Months Ended
Jun. 30, 2023
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Reserve by Type of Cost
The total expected restructuring costs, the restructuring costs recognized, and the remaining expected restructuring costs related to the 2023 Projects were as follows:
In thousandsTotal Expected Costs at June 30, 2023Costs Recognized in Prior PeriodsCosts Recognized During the Six Months Ended June 30, 2023Expected Remaining Costs to be Recognized at June 30, 2023
Employee severance costs$36,994 $— $36,994 $— 
Asset impairments & net loss (gain) on sale or disposal1,132 — 1,132 — 
Other restructuring costs6,546 — 1,319 5,227 
Total
$44,672 $— $39,445 $5,227 
The total expected restructuring costs, the restructuring costs recognized, and the remaining expected restructuring costs related to the 2021 Projects were as follows:
In thousandsTotal Expected Costs at June 30, 2023Costs Recognized in Prior PeriodsAdjustments Recognized During the Six Months Ended June 30, 2023Expected Remaining Costs to be Recognized at June 30, 2023
Employee severance costs$37,344 $38,359 $(1,015)$— 
Asset impairments & net loss (gain) on sale or disposal8,389 8,599 (210)— 
Other restructuring costs5,540 3,084 56 2,400 
Total
$51,273 $50,042 $(1,169)$2,400 
The total expected restructuring costs, the restructuring costs recognized, and the remaining expected restructuring costs related to the 2020 Projects were as follows:
In thousandsTotal Expected Costs at June 30, 2023Costs Recognized in Prior PeriodsAdjustments Recognized During the Six Months Ended June 30, 2023Expected Remaining Costs to be Recognized at June 30, 2023
Employee severance costs$19,240 $20,382 $(1,142)$— 
Asset impairments & net loss (gain) on sale or disposal6,465 6,465 — — 
Other restructuring costs7,990 7,341 349 300 
Total
$33,695 $34,188 $(793)$300 
Restructuring and Related Costs
The following table summarizes the activity within the restructuring related balance sheet accounts for the 2023 Projects, the 2021 Projects, and the 2020 Projects during the six months ended June 30, 2023:
In thousandsAccrued Employee SeveranceAsset Impairments & Net Loss (Gain) on Sale or DisposalOther Accrued CostsTotal
Beginning balance, January 1, 2023$39,558 $— $2,886 $42,444 
Costs charged to expense
34,837 922 1,724 37,483 
Cash payments(4,892)(15)(1,719)(6,626)
Cash receipts— 12 — 12 
Net assets disposed and impaired— (919)— (919)
Effect of change in exchange rates1,265 — 23 1,288 
Ending balance, June 30, 2023$70,768 $— $2,914 $73,682