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Supplemental Balance Sheet Information - USD ($)
Sep. 30, 2023
Sep. 30, 2022
Inventories    
Raw materials and supplies $ 86,300,000 $ 80,400,000
Work in process 91,100,000 103,200,000
Finished products 315,000,000.0 265,700,000
Total inventories 492,400,000 449,300,000
Other Current Assets    
Prepaid expenses 72,500,000 70,200,000
Value added tax receivables 43,700,000 52,700,000
Income taxes receivable 18,900,000 19,300,000
Other 12,300,000 25,100,000
Other current assets 147,400,000 167,300,000
PP&E    
Land 18,500,000 18,000,000.0
Buildings 142,600,000 140,300,000
Machinery and equipment 1,105,300,000 1,050,000,000
Capitalized software costs 60,200,000 56,500,000
Construction in progress 38,500,000 47,000,000.0
Total gross property, plant and equipment 1,365,100,000 1,311,800,000
Accumulated depreciation (1,027,200,000) (966,300,000)
Total PP&E 337,900,000 345,500,000
Other Current Liabilities    
Accrued advertising, sales promotion and allowances 31,500,000 34,900,000
Accrued Trade Allowance, Current 29,800,000 31,400,000
Accrued salaries, vacations and incentive compensation (65,400,000) (51,100,000)
Reserve for Sales Returns, Current 53,500,000 47,500,000
Accrued interest (25,000,000.0) (24,700,000)
Taxes Payable 11,900,000 17,400,000
Other 92,400,000 84,700,000
Other current liabilities 309,500,000 291,700,000
Other Liabilities    
Pensions and other retirement benefits 58,200,000 57,900,000
Other non-current liabilities 121,500,000 116,800,000
Total other liabilities $ 179,700,000 $ 174,700,000