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RESTRUCTURING ACTIVITIES
6 Months Ended
Jun. 27, 2020
Restructuring and Related Activities [Abstract]  
RESTRUCTURING ACTIVITIES RESTRUCTURING ACTIVITIES 
        During 2020, the Company executed certain regional restructuring activities (the "2020 Plan") primarily in the ESS, Utility, and Coatings segments to reduce employment levels and exit under-performing locations.

        The following pre-tax expenses were recognized during the second quarter of 2020:

ESSUtilityCoatingsCorporateTotal
Severance$399  $—  $135  $—  $534  
Other cash restructuring expenses48  803  32  —  883  
Asset impairments—  2,258  —  —  2,258  
   Total cost of sales447  3,061  167  —  3,675  
Severance242  613  55  221  1,131  
Other cash restructuring expenses773  —  0—  773  
  Total selling, general and administrative expenses1,015  613  55  221  1,904  
      Consolidated total$1,462  $3,674  $222  $221  $5,579  

        
        Liabilities recorded for the restructuring plans were as follows:
Recognized Restructuring ExpenseCosts Paid or Otherwise Settled Balance at June 27, 2020
Severance$1,665  $854  $811  
Other cash restructuring expenses1,656  853  803  
   Total $3,321  $1,707  $1,614