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Restructuring Actions (Tables)
6 Months Ended
Dec. 30, 2012
Restructuring Actions [Abstract]  
Schedule of Restructuring Reserve by Type of Cost
The following is a rollforward of the restructuring reserve (included in Accrued Liabilities within the Consolidated Condensed Balance Sheets) attributable to all Engines Segment restructuring activities for the six month period ended December 30, 2012 (in thousands):
 
 
Termination Benefits
 
Other Costs
 
Total
Reserve Balance at July 1, 2012
 
$
2,227

 
$
3,344

 
$
5,571

Provisions
 
1,459

 
3,913

 
5,372

Cash Expenditures
 
(2,451
)
 
(1,197
)
 
(3,648
)
Other Adjustments (1)
 

 
(3,383
)
 
(3,383
)
Reserve Balance at December 30, 2012
 
$
1,235

 
$
2,677

 
$
3,912

(1) Other adjustments includes $1.6 million of accelerated depreciation, $(0.1) million of foreign currency translation and $1.9 million of pension curtailment charges.

The following is a rollforward of the restructuring reserve (included in Accrued Liabilities within the Consolidated Condensed Balance Sheets) attributable to all Products Segment restructuring activities for the six month period ended December 30, 2012 (in thousands):
 
 
Termination Benefits
 
Other Costs
 
Total
Reserve Balance at July 1, 2012
 
$
942

 
$
445

 
$
1,387

Provisions
 
225

 
6,163

 
6,388

Cash Expenditures
 
(698
)
 
(3,063
)
 
(3,761
)
Other Adjustments (2)
 

 
(3,233
)
 
(3,233
)
Reserve Balance at December 30, 2012
 
$
469

 
$
312

 
$
781

(2) Other adjustments includes $2.8 million of asset impairments and $0.5 million of accelerated depreciation.