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RESTRUCTURING AND OTHER CHARGES, NET OF RECOVERIES (Tables)
12 Months Ended
Dec. 31, 2024
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring and Other Charges, Net of Recoveries The following charts detail the changes in our provisions:
Restructuring
Warranty
Balance — December 31, 2023$3.6 $43.6 
Provisions, net of reversal of prior year provisions10.5 19.2 
Payments/usage(11.2)(2.5)
Accretion, foreign exchange and other— (0.3)
Balance — December 31, 2024$2.9 $60.0 
Current$2.9 $16.3 
Non-current(i)
— 43.7 
Balance — December 31, 2022$5.8 $31.8 
Provisions, net of reversal of prior year provisions9.6 14.7 
Payments/usage(11.8)(3.0)
Accretion, foreign exchange and other— 0.1 
Balance — December 31, 2023$3.6 $43.6 
Current$3.6 $16.0 
Non-current(i)
— 27.6 
(i)    Non-current balances are included in long-term portion of provisions and other non-current liabilities on our consolidated balance sheet.
Year ended December 31
202420232022
Restructuring charges (a)
$11.6 $11.2 $8.4 
Transition Costs (Recoveries) (b)
4.3 0.8 (2.1)
Acquisition costs (c)
2.5 1.0 0.4 
Other charges (recoveries) (d)
1.0 (0.9)— 
$19.4 $12.1 $6.7