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Derivatives - Narrative (Details)
$ in Millions
3 Months Ended
Mar. 31, 2022
USD ($)
Mar. 31, 2021
USD ($)
Derivative
Dec. 31, 2021
USD ($)
Derivatives      
Total borrowings at par value $ 2,550.0   $ 3,025.0
Accumulated other comprehensive pre-tax gain (loss) to be reclassified into revenue within the next 12 months 23.3    
1.350% Notes Due 2026      
Derivatives      
Total borrowings at par value $ 600.0 [1] $ 600.0 $ 600.0 [1]
Stated interest rate (as a percent) 1.35% 1.35% 1.35%
Business Solutions      
Derivatives      
Foreign exchange revenues $ 78.6 $ 84.5  
Cash Flow Hedges | Interest rate contracts | 3.600% Notes Due 2022      
Derivatives      
Number of derivative instruments terminated | Derivative   2  
Deferred gain on termination of treasury locks   $ 2.6  
Cash payment received for terminated swap agreement   3.3  
Gain on derivative recognized in Other expense, net   $ 0.7  
Designated as hedges | Foreign currency contracts      
Derivatives      
Derivative policy - contract maturity period maximum 36 months    
Derivative policy - targeted weighted-average maturity 1 year    
Maximum remaining maturity of foreign currency derivatives 24 months    
Derivative weighted-average maturity 1 year    
Not designated as hedges | Foreign currency contracts | Business Solutions      
Derivatives      
Notional amounts $ 5,000.0   $ 8,000.0
Minimum | Not designated as hedges | Uncollected Settlement Assets and Obligations      
Derivatives      
Foreign currency forward contracts maturity range 2 days    
Maximum | Not designated as hedges | Uncollected Settlement Assets and Obligations      
Derivatives      
Foreign currency forward contracts maturity range 1 month    
Maximum | Not designated as hedges | Foreign currency contracts | Business Solutions      
Derivatives      
Foreign currency forward contracts maturity range 1 year    
Maximum | Not designated as hedges | Foreign Currency Denominated Cash and Other Asset and Other Liability Positions      
Derivatives      
Foreign currency forward contracts maturity range 1 year    
[1] The difference between the stated interest rate and the effective interest rate is not significant.