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CHARGES ASSOCIATED WITH RESTRUCTURING AND OTHER ACTIVITIES (Tables)
12 Months Ended
Jun. 30, 2024
Restructuring and Related Activities [Abstract]  
Schedule Of Restructuring And Other Charges
During fiscal 2024, the Company incurred charges associated with restructuring activities as follows:
Sales
Returns
(included in
Net Sales)
Cost of SalesOperating ExpensesTotal
(In millions)Restructuring
Charges
Other
Charges
Restructuring Program Component of the Profit Recovery and Growth Plan
$— $— $92 $23 $115 
Post-COVID Business Acceleration Program10 
Total$$$93 $30 $125 
Schedule Of Restructuring And Other Charges Expected To Be Incurred
The Restructuring Program cumulative charges approved by the Company as of June 30, 2024 and through July 19, 2024, as previously disclosed on July 23, 2024, were:
Sales
Returns
(included in
Net Sales)
Cost of SalesOperating ExpensesTotal
(In millions)Restructuring
Charges
Other
Charges
Total Charges Approved
Cumulative charges through June 30, 2024
$— $— $109 $78 $187 
July 1, 2024 - July 19, 2024
24 12 46 
Cumulative charges through July 19, 2024
$$$133 $90 $233 
Included in the above table, cumulative Restructuring Program restructuring initiatives approved by the Company as of June 30, 2024 and through July 19, 2024, as previously disclosed on July 23, 2024, by major cost type were:
(In millions)Employee-
Related
Costs
Asset-
Related
Costs
Contract
Terminations
Other Exit
Costs
Total
Restructuring Charges Approved
Cumulative charges through June 30, 2024
$93 $$— $$109 
July 1, 2024 - July 19, 2024
23 — — 24 
Cumulative charges through July 19, 2024
$116 $$— $10 $133 
Schedule of Total Cumulative Charges Recorded, Associated With Restructuring and Other Activities
The Company records approved charges associated with restructuring and other activities once the relevant accounting criteria have been met. Total cumulative charges recorded associated with restructuring and other activities for the Restructuring Program through June 30, 2024 were:
Sales
Returns
(included in
Net Sales)
Cost of SalesOperating ExpensesTotal
(In millions)Restructuring
Charges
Other
Charges
Total Charges
Cumulative charges through June 30, 2024
$— $— $92 $23 $115 
(In millions)Employee-
Related
Costs
Asset-
Related
Costs
Contract
Terminations
Other Exit
Costs
Total
Restructuring Charges
Cumulative charges through June 30, 2024
$90 $$— $— $92 
The Company records approved charges associated with restructuring and other activities once the relevant accounting criteria have been met. Total cumulative charges recorded associated with restructuring and other activities for the PCBA Program were:
Sales
Returns
(included in
Net Sales)
Cost of SalesOperating ExpensesTotal
(In millions)Restructuring
Charges
Other
Charges
Total Charges
Fiscal 2021
$14 $$201 $$221 
Fiscal 2022
109 127 
Fiscal 2023
27 35 12 77 
Fiscal 2024
10 
Cumulative through June 30, 2024$46 $11 $346 $32 $435 

(In millions)Employee-
Related
Costs
Asset-
Related
Costs(1)
Contract
Terminations
Other Exit
Costs
Total
Restructuring Charges (Adjustments)
Fiscal 2021
$119 $75 $$$201 
Fiscal 2022
84 11 13 $109 
Fiscal 2023
31 (2)35 
Fiscal 2024
(4)— 
Cumulative through June 30, 2024$202 $121 $18 $$346 
(1)Asset-related costs include fiscal 2021 goodwill and other intangible asset impairment charges of $13 million and $34 million, respectively, relating to the exit of the global distribution of BECCA products.
Schedule of Changes in Accrued Restructuring Charges
Changes in accrued restructuring charges from the Restructuring Program inception through June 30, 2024 were:

(In millions)Employee-
Related
Costs
Asset-
Related
Costs
Contract
Terminations
Other Exit
Costs
Total
Charges$90 $$— $— $92 
Cash payments— — — — — 
Non-cash asset write-offs
— (2)— — (2)
Translation and other adjustments
(2)— — — (2)
Balance at June 30, 2024
$88 $— $— $— $88 
Changes in accrued restructuring charges from the PCBA Program inception through June 30, 2024 were:

(In millions)Employee-
Related
Costs
Asset-
Related
Costs
Contract
Terminations
Other Exit
Costs
Total
Charges$119 $75 $$$201 
Cash payments(18)— (6)(1)(25)
Non-cash asset write-offs
— (75)— — (75)
Balance at June 30, 2021
101 — — — 101 
Charges84 $11 $13 109 
Cash payments(52)— $(13)(64)
Non-cash asset write-offs
— (11)(11)
Translation and other adjustments
(8)— $— (2)(10)
Balance at June 30, 2022
125 — — — 125 
Charges31 (2)$35 
Cash payments(40)— (1)$(3)(44)
Non-cash asset write-offs— (31)— $— (31)
Translation and other adjustments(7)— $— (3)
Balance at June 30, 2023
81 — — 82 
Charges(4)— 
Cash payments(49)— (1)— (50)
Non-cash asset write-offs— (4)— — (4)
Translation and other adjustments— — (1)— (1)
Balance at June 30, 2024$28 $— $— $— $28