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RESTRUCTURING INITIATIVES - Restructuring Activity (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2023
Mar. 31, 2022
Restructuring reserve    
Net Charges $ 11,524 $ 291
Optimization Plan    
Restructuring reserve    
Restructuring reserve, balance at the beginning of the period 4,993  
Net Charges 11,540  
Cash Paid (2,966)  
Interest and FX Impact 32  
Restructuring reserve, balance at the end of the period 13,599  
Cumulative expense incurred 17,800  
Employee severance | Optimization Plan    
Restructuring reserve    
Restructuring reserve, balance at the beginning of the period 4,993  
Net Charges 10,295  
Cash Paid (2,179)  
Interest and FX Impact 27  
Restructuring reserve, balance at the end of the period 13,136  
Professional fees and other costs | Optimization Plan    
Restructuring reserve    
Restructuring reserve, balance at the beginning of the period 0  
Net Charges 1,245  
Cash Paid (787)  
Interest and FX Impact 5  
Restructuring reserve, balance at the end of the period $ 463