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Realignment Programs
6 Months Ended
Jun. 30, 2022
Restructuring and Related Activities [Abstract]  
Realignment Programs Realignment Programs
In the second quarter of 2020, we identified and initiated certain realignment activities to right-size our organizational operations based on the current business environment, with the overall objective to reduce our workforce costs, including manufacturing optimization through the consolidation of certain facilities ("Realignment Program"). The realignment activities consist of restructuring and non-restructuring charges. Restructuring charges represent costs associated with the relocation of certain business activities and facility closures and include related severance costs. Non-restructuring charges are primarily employee severance associated with the workforce reductions. Expenses are primarily reported in cost of sales ("COS") or selling, general and administrative ("SG&A"), as applicable, in our consolidated statements of income. We anticipate a total investment in these activities of approximately $95 million and the vast majority of the charges were incurred in 2020 and 2021 with the remainder to be incurred in 2022. There are certain other realignment activities that are currently being evaluated, but have not yet been finalized and therefore are not included in the above anticipated total investment.
Generally, the aforementioned charges will be paid in cash, except for asset write-downs, which are non-cash charges. The following is a summary of total charges, net of adjustments, incurred related to our Realignment Program:
Three Months Ended June 30, 2022
 (Amounts in thousands)FPDFCDSubtotal–Reportable SegmentsAll OtherConsolidated Total
Realignment Charges
Restructuring Charges
     COS $604 $76 $680 $— $680 
     SG&A— — — — — 
$604 $76 $680 $— $680 
Non-Restructuring Charges    
     COS$(225)$12 $(213)$— $(213)
     SG&A33 35 27 62 
$(223)$45 $(178)$27 $(151)
Total Realignment Charges
     COS $379 $88 $467 $— $467 
     SG&A33 35 27 62 
Total$381 $121 $502 $27 $529 
Three Months Ended June 30, 2021
 (Amounts in thousands)FPDFCDSubtotal–Reportable Segments All OtherConsolidated Total
Realignment Charges
Restructuring Charges
     COS $2,016 $171 $2,187 $— $2,187 
     SG&A667 — 667 — 667 
$2,683 $171 $2,854 $— $2,854 
Non-Restructuring Charges    
     COS $1,558 $80 $1,638 $— $1,638 
     SG&A338 (129)209 915 1,124 
$1,896 $(49)$1,847 $915 $2,762 
Total Realignment Charges
     COS $3,574 $251 $3,825 $— $3,825 
     SG&A1,005 (129)876 915 1,791 
Total$4,579 $122 $4,701 $915 $5,616 

Six Months Ended June 30, 2022
 (Amounts in thousands)FPDFCDSubtotal–Reportable SegmentsAll OtherConsolidated Total
Realignment Charges
Restructuring Charges
     COS $885 $71 $956 $— $956 
     SG&A— — — — — 
$885 $71 $956 $— $956 
Non-Restructuring Charges    
     COS$(589)$(37)$(626)$(61)$(687)
     SG&A77 50 127 (266)(139)
$(512)$13 $(499)$(327)$(826)
Total Realignment Charges
     COS $296 $34 $330 $(61)$269 
     SG&A77 50 127 (266)(139)
Total$373 $84 $457 $(327)$130 
Six Months Ended June 30, 2021
 (Amounts in thousands)FPDFCDSubtotal–Reportable SegmentsAll OtherConsolidated Total
Realignment Charges
Restructuring Charges
     COS $6,043 $470 $6,513 $— $6,513 
     SG&A667 (9)658 — 658 
$6,710 $461 $7,171 $— $7,171 
Non-Restructuring Charges    
     COS$5,449 $678 $6,127 $590 $6,717 
     SG&A495 739 1,234 4,195 5,429 
$5,944 $1,417 $7,361 $4,785 $12,146 
Total Realignment Charges
     COS $11,492 $1,148 $12,640 $590 $13,230 
     SG&A1,162 730 1,892 4,195 6,087 
Total$12,654 $1,878 $14,532 $4,785 $19,317 
The following is a summary of total inception to date charges, net of adjustments, related to the Realignment Program:
Inception to Date
 (Amounts in thousands)FPDFCDSubtotal–Reportable Segments All OtherConsolidated Total
Realignment Charges
Restructuring Charges
     COS $26,761 $2,107 $28,868 $— $28,868 
     SG&A716 333 1,049 (17)1,032 
$27,477 $2,440 $29,917 $(17)$29,900 
Non-Restructuring Charges   
     COS $24,818 $686 $25,504 $581 $26,085 
     SG&A11,126 5,312 16,438 21,529 37,967 
$35,944 $5,998 $41,942 $22,110 $64,052 
Total Realignment Charges
     COS $51,579 $2,793 $54,372 $581 $54,953 
     SG&A11,842 5,645 17,487 21,512 38,999 
Total$63,421 $8,438 $71,859 $22,093 $93,952 
Restructuring charges represent costs associated with the relocation or reorganization of certain business activities and facility closures and include costs related to employee severance at closed facilities, contract termination costs, asset write-downs and other costs. Severance costs primarily include costs associated with involuntary termination benefits. Contract termination costs include costs related to the termination of operating leases or other contract termination costs. Asset write-downs include accelerated depreciation of fixed assets, accelerated amortization of intangible assets, divestiture of certain non-strategic assets and inventory write-downs. Other costs generally include costs related to employee relocation, asset relocation, vacant facility costs (i.e., taxes and insurance) and other charges.
The following is a summary of restructuring charges, net of adjustments, for our restructuring activities related to our Realignment Program:
Three Months Ended June 30, 2022
 (Amounts in thousands)SeveranceContract TerminationAsset Write-DownsOtherTotal
     COS $570 $— $19 $91 $680 
     SG&A— — — — — 
Total$570 $— $19 $91 $680 
Three Months Ended June 30, 2021
 (Amounts in thousands)SeveranceContract TerminationAsset Write-DownsOtherTotal
     COS $(154)$— $(849)$3,190 $2,187 
     SG&A168 — — 499 667 
Total$14 $— $(849)$3,689 $2,854 
Six Months Ended June 30, 2022
 (Amounts in thousands)SeveranceContract TerminationAsset Write-DownsOtherTotal
     COS $568 $— $259 $129 $956 
     SG&A— — — — — 
Total$568 $— $259 $129 $956 
Six Months Ended June 30, 2021
 (Amounts in thousands)SeveranceContract TerminationAsset Write-DownsOtherTotal
     COS $1,219 $— $1,341 $3,953 $6,513 
     SG&A168 — — 490 658 
Total$1,387 $— $1,341 $4,443 $7,171 
The following is a summary of total inception to date restructuring charges, net of adjustments, related to our Realignment Program:
Inception to Date
 (Amounts in thousands)SeveranceContract TerminationAsset Write-DownsOtherTotal
     COS$16,772 $86 $4,354 $7,656 $28,868 
     SG&A251 — 14 767 1,032 
Total$17,023 $86 $4,368 $8,423 $29,900 
The following represents the activity, primarily severance charges from reductions in force, related to the restructuring reserves for the six months ended June 30, 2022 and 2021:
(Amounts in thousands)20222021
Balance at January 1$4,868 $18,255 
Charges, net of adjustments696 5,830 
Cash expenditures(2,082)(14,388)
Other non-cash adjustments, including currency(310)(461)
Balance at June 30$3,172 $9,236