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Other Liabilities
12 Months Ended
Dec. 31, 2024
Other Liabilities Disclosure [Abstract]  
Other Liabilities Other Liabilities
A summary of “Other liabilities” as of December 31, 2024 and 2023 is as follows:
(in millions of dollars)
20242023
Warranty and campaign programs$633 $610 
Marketing and sales incentive programs2,075 2,433 
Tax payables243 704 
Accrued expenses and deferred income917 946 
Accrued employee benefits376 524 
Lease liabilities 282 300 
Legal reserves and other provisions390 342 
Contract liabilities72 50 
Restructuring reserve30 43 
Other345 355 
Total$5,363 $6,307 
Warranty and Campaign Program
As described in "Note 2: Summary of Significant Accounting Policies," CNH pays for basic warranty and other service action costs. A summary of recorded activity for the basic warranty and campaign program accrual for the years ended December 31, 2024 and 2023 are as follows:
(in millions of dollars)
20242023
Balance at beginning of year$610 $544 
Current year additions628 566 
Claims paid(570)(510)
Currency translation adjustment and other(35)10 
Balance at end of year$633 $610 
Restructuring Provision
The Company’s restructuring program announced in November 2023 targeted both labor and non-labor SG&A expenses. This program was completed in 2024, and the Company has incurred a total of $128 million from launch to December 31, 2024, under this program.
The Company incurred restructuring costs of $118 million, $67 million and $31 million for the years ended December 31, 2024, 2023 and 2022, respectively. These costs were as follows:
In 2024, Agriculture, Construction and Financial Services recorded $104 million, $13 million and $1 million respectively.
In 2023, Agriculture, Construction and Financial Services recorded $51 million, $14 million and $2 million, respectively.
In 2022, Agriculture and Construction recorded $21 million and $10 million, respectively.
The following table sets forth restructuring activity for the years ended December 31, 2024, 2023 and 2022:
(in millions of dollars)
Severance and Other Employee Costs
Facility Related
Costs
Other
Restructuring
Total
Balance at January 1, 2022$17 $11 $$29 
Restructuring charges23 31 
Reserves utilized: cash(12)(3)(3)(18)
Reserves utilized: non-cash(2)(9)— (11)
Currency translation adjustments(1)— — (1)
Balance at December 31, 202225 30 
Restructuring charges36 23 67 
Reserves utilized: cash(19)(23)(12)(54)
Reserves utilized: non-cash(3)— 
Currency translation adjustments— — — — 
Balance at December 31, 202339 — 43 
Restructuring charges81 17 20 118 
Reserves utilized: cash(99)(5)(14)(118)
Reserves utilized: non-cash(2)(5)(7)(14)
Currency translation adjustments(4)(3)
Balance at December 31, 2024$15 $$$30