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Supplemental Balance Sheet Information (Tables)
3 Months Ended
Jun. 30, 2023
Balance Sheet Related Disclosures [Abstract]  
Schedule Of Selected Supplemental Balance Sheet Information [Table Text Block]
Selected supplemental asset information is presented below:
 June 30,September 30,
 20232022
 (in millions)
Inventories:
Purchased components and raw materials$180.2 $181.8 
Work in process, net64.9 56.8 
Finished goods, net67.6 40.1 
Inventories, net$312.7 $278.7 
Other current assets:
Prepaid expenses$15.6 $14.6 
Non-trade receivables1.7 1.6 
Maintenance and repair supplies and tooling3.9 2.8 
Income taxes0.8 0.8 
Workers' compensation reimbursement receivable1.5 2.6 
Other current assets3.7 4.4 
Total other current assets$27.2 $26.8 
Property, plant and equipment:
Land$6.6 $5.7 
Buildings104.0 87.6 
Machinery and equipment505.7 456.0 
Construction in progress59.4 104.7 
Total property, plant and equipment675.7 654.0 
Accumulated depreciation(368.8)(352.4)
Property, plant and equipment, net$306.9 $301.6 
Other noncurrent assets:
Operating lease right-of-use assets$25.2 $26.0 
Maintenance and repair supplies and tooling21.6 20.4 
Workers' compensation reimbursement receivable3.1 3.6 
Pension asset0.1 0.6 
Note receivable 1.8 1.7 
Deferred financing fees0.8 1.0 
Other noncurrent assets3.5 3.4 
Total other noncurrent assets$56.1 $56.7 
Schedule of Accrued Liabilities Selected supplemental liability information is presented below:
 June 30,September 30,
 20232022
 (in millions)
Other current liabilities:
Compensation and benefits$33.6 $40.2 
Customer rebates12.7 16.2 
Income taxes payable6.4 7.5 
Warranty accrual7.9 6.5 
Deferred revenue8.7 8.1 
Returned goods accrual5.7 4.2 
Taxes other than income taxes2.7 4.4 
Operating lease liabilities5.1 4.4 
Workers' compensation accrual3.1 4.6 
CARES Act payroll tax liabilities— 4.4 
Restructuring liabilities2.2 3.3 
Environmental liabilities0.7 0.7 
Interest payable0.8 5.3 
Other current liabilities8.5 7.6 
Total other current liabilities$98.1 $117.4 
Other noncurrent liabilities:
Operating lease liabilities$21.2 $22.4 
Warranty accrual3.1 4.2 
Transition tax liability3.1 4.1 
Uncertain tax position liability5.3 4.7 
NMTC liability3.9 3.9 
Workers' compensation accrual6.1 6.5 
Environmental liabilities3.6 3.6 
Deferred development grant2.5 2.5 
Other noncurrent liabilities3.7 3.5 
Total other noncurrent liabilities$52.5 $55.4 
Schedule of Goodwill
The following table summarizes information concerning our goodwill, all of which is within our Water Management Solutions segment, during the nine months ended June 30, 2023, in millions:

Balance at September 30, 2022:
Goodwill$822.7 
Accumulated impairment(724.1)
Goodwill, net98.6 
Activity during the nine months ended June 30, 2023:
Change in foreign currency exchange rates(1.6)
Balance at June 30, 2023
$97.0