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Balance Sheets-Additional Information (Tables)
12 Months Ended
Jun. 30, 2022
Balance Sheets-Additional Information  
Schedule of accounts receivable, net

.

As of June 30

    

2022

    

2021

Accounts receivable, net

Trade accounts receivable

$

170,047

$

150,659

Reserve for credit losses

(3,510)

(3,807)

$

166,537

$

146,852

Schedule of reserve for credit losses

As of June 30

    

2022

    

2021

Reserve for credit losses

  

  

Balance at beginning of period

$

3,807

$

3,940

Provision for estimated credit losses

 

255

 

105

Effect of changes in exchange rates

 

(372)

 

26

Actual credit losses realized

 

(180)

 

(264)

Balance at end of period

$

3,510

$

3,807

Schedule of inventories

As of June 30

    

2022

    

2021

Inventories

  

Raw materials

$

87,030

$

59,775

Work-in-process

15,468

12,738

Finished goods

156,660

143,799

$

259,158

$

216,312

Schedule of property, plant and equipment, net

As of June 30

    

2022

    

2021

Property, plant and equipment, net

Land

$

11,927

$

9,994

Buildings and improvements

 

89,582

 

80,408

Machinery and equipment

274,298

263,696

Construction in progress

 

30,648

 

23,659

 

406,455

 

377,757

Accumulated depreciation

 

(240,965)

 

(223,051)

$

165,490

$

154,706

Schedule of intangibles, net

Weighted-

Average

Useful Life

As of June 30

    

(Years)

    

2022

    

2021

Intangibles, net

Cost

Technology

12

$

94,880

$

85,016

Product registrations, marketing and distribution rights

9

17,583

17,882

Customer relationships

12

30,246

31,115

Trade names, trademarks and other

5

5,480

3,857

148,189

 

137,870

Accumulated amortization

 

  

Technology

(48,723)

(42,083)

Product registrations, marketing and distribution rights

(17,324)

 

(17,862)

Customer relationships

(15,285)

 

(12,588)

Trade names, trademarks and other

(2,996)

 

(3,055)

(84,328)

 

(75,588)

$

63,861

$

62,282

Schedule of goodwill

As of June 30

    

2022

    

2021

Goodwill

 

  

 

  

Balance at beginning of period

 

$

52,679

$

52,679

Acquisition

 

561

 

Effect of changes in exchange rates

(14)

Balance at end of period

 

$

53,226

$

52,679

Schedule of other assets

As of June 30

    

2022

    

2021

Other assets

ROU operating lease assets

$

37,680

 

$

32,962

Deferred income taxes

 

5,849

 

9,861

Deposits

 

5,905

 

5,663

Insurance investments

 

5,984

 

5,964

Equity method investments

 

4,362

 

4,141

Derivative instruments

12,976

2,696

U.S. pension plan

 

 

1,184

Debt issuance costs

 

1,436

 

1,811

Other

8,698

8,467

$

82,890

 

$

72,749

Schedule of accrued expenses and other current liabilities

As of June 30

    

2022

    

2021

Accrued expenses and other current liabilities

 

  

 

  

Employee related

$

34,278

$

35,375

Current operating lease liabilities

 

6,051

 

6,618

Commissions and rebates

7,125

6,312

Professional fees

 

5,493

 

4,380

Income and other taxes

7,211

6,107

Derivative instruments

3,486

Contingent consideration

 

 

4,840

Restructuring costs

 

 

735

Insurance-related

 

1,174

 

1,176

Other

 

18,904

 

17,350

$

80,236

$

86,379

Schedule of other liabilities

As of June 30

    

2022

    

2021

Other liabilities

Long-term operating lease liabilities

$

31,508

$

28,003

Long-term and deferred income taxes

 

9,264

6,646

Supplemental retirement benefits, deferred compensation and other

7,368

8,382

U.S. pension plan

 

1,793

 

International retirement plans

 

4,620

 

5,345

Other long-term liabilities

 

5,947

 

7,594

$

60,500

$

55,970