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Restructuring and Other
12 Months Ended
Dec. 31, 2022
Restructuring and Related Activities [Abstract]  
Restructuring and Other Restructuring and Other
The Company recorded restructuring and other items as follows:
202220212020
Asset sales and impairments$(106)$(20)$
Restructuring35 29 19 
Other costs / (income)14 (42)
Asbestos— 
$(52)$(28)$30 

2022 Activity

Asset sales and impairments primarily relates to the $113 gain on sale of the Kiwiplan business. See Note B for more information on the sale.

Restructuring included charges of $29 related to an overhead cost reduction program initiated by the Company's Transit Packaging segment. The Company expects to reduce headcount by approximately 600 employees.

See Note O for more information on the Company's provision for asbestos.
2021 Activity

Other costs / (income) included gains of $30 arising from a favorable court ruling in a lawsuit brought by certain of the Company's Brazilian subsidiaries asserting they were overcharged by local tax authorities for indirect taxes paid in prior years.

Asset sales and impairments included gains on various asset sales.

Restructuring primarily includes charges related to relocation of the Transit Packaging headquarters and headcount reductions across segments.

2020 Activity

Restructuring included charges of $19 related to an internal reorganization and headcount reductions within the Transit Packaging segment.
Restructuring charges by segment were as follows:
 202220212020
European Beverage$— $$— 
Asia Pacific— 
Transit Packaging35 19 19 
Other— (1)
Corporate— — 
$35 $29 $19 
Restructuring charges by type were as follows:
 202220212020
Termination benefits$29 $10 $
Other exit costs19 11 
$35 $29 $19 

At December 31, 2022, the Company had a restructuring accrual of $20, primarily related to the headcount reductions and other internal reorganizations within the Transit Packaging segment. The Company expects to pay these amounts over the next twelve months.