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Additional Balance Sheet Information (Tables)
9 Months Ended
Sep. 30, 2022
Balance Sheet Related Disclosures [Abstract]  
Additional Balance Sheet Information
Certain balance sheet amounts are comprised of the following:
(In millions)September 30,
2022
December 31,
2021
Accounts receivable, net  
Trade accounts $1,273 $922 
Joint interest accounts 125 83 
Other accounts 24 34 
 1,422 1,039 
Allowance for credit losses (3)(2)
 $1,419 $1,037 
Other assets  
Deferred compensation plan $40 $47 
Debt issuance costs
Operating lease right-of-use assets435 317 
Derivative instruments— 
Other accounts46 20 
 $526 $389 
Accounts payable
Trade accounts $76 $94 
Royalty and other owners 531 315 
Accrued transportation95 96 
Accrued capital costs 149 88 
Taxes other than income 81 60 
Accrued lease operating costs31 29 
Other accounts47 65 
 $1,010 $747 
Accrued liabilities
Employee benefits $67 $81 
Taxes other than income 35 13 
Restructuring liability35 43 
Operating lease liabilities116 69 
Financing lease liabilities14 
Other accounts 35 40 
 $294 $260 
Other liabilities
Deferred compensation plan $53 $56 
Postretirement benefits29 33 
Operating lease liabilities 319 248 
Financing lease liabilities13 
Restructuring liability39 — 
Other accounts80 63 
 $533 $407