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Restructuring and Other Charges
9 Months Ended
Sep. 30, 2020
Restructuring and Related Activities [Abstract]  
Restructuring and Other Charges Restructuring and Other Charges
The following table shows other charges included in "Restructuring and other charges" in the condensed consolidated statements of operations:
Three Months Ended September 30,Nine Months Ended September 30,
(in Millions)2020201920202019
Restructuring charges
Severance-related and exit costs (1)
$0.9 $— $5.8 $— 
Other charges
Corporate severance-related costs (2)
— — — 3.5 
Environmental remediation (3)
0.1 0.1 0.4 0.3 
Other (4)
3.4 0.8 3.9 1.0 
Total Restructuring and other charges$4.4 $0.9 $10.1 $4.8 
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(1)     Includes severance costs for management changes at certain operating and administrative facilities and exit costs of $1.6 million for the closing of leased office space.
(2)    Represents severance costs and stock-based compensation expense for accelerated vesting related to corporate management changes.
(3) Costs associated with environmental remediation with respect to certain discontinued products. There is one environmental remediation site in Bessemer City, North Carolina.
(4) Three and nine months ended September 30, 2020 consists primarily of legal fees related to IPO securities litigation including a settlement accrual, net of insurance reimbursement, of $2.5 million in the third quarter. See Note 12 for more details.
Roll forward of plant restructuring reserve
In 2017, we began restructuring efforts at our manufacturing site located in Bessemer City, North Carolina. The objective of this restructuring plan is to optimize both the assets and cost structure by reducing certain production lines at the plant. The restructuring decision resulted primarily in shutdown costs. The following table shows a roll forward of restructuring reserve that will result in cash spending. These amounts are included in "Accrued and other current liabilities" on the condensed consolidated balance sheets.
(in Millions)Restructuring Reserve Total
Balance December 31, 2018$3.6 
Cash payments(0.3)
Balance December 31, 2019$3.3 
Cash payments(0.1)
Balance September 30, 2020$3.2