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RECEIVABLES, NET (Tables)
9 Months Ended
Sep. 30, 2020
Receivables [Abstract]  
Schedule of Receivables, Net
September 30, 2020December 31, 2019
(In thousands)
Trade$1,032,337 $1,060,298 
Sales-type leases126,657 135,353 
Other, primarily warranty and insurance42,635 55,600 
1,201,629 1,251,251 
Allowance for credit losses and other(45,393)(22,761)
Total
$1,156,236 $1,228,490 
Schedule of Allowance for Credit Loss
The following table provides a reconciliation of our allowance for credit losses (in thousands):
Balance at December 31, 2019$10,500 
Charges to provisions for credit losses
35,000 
Impact of adoption of new accounting standard, write-offs, and other
(11,200)
Balance at September 30, 202034,300 
Allowance for billing adjustments11,093 
Allowance for credit losses and other$45,393