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Restructuring Activities (Tables)
3 Months Ended
Mar. 31, 2020
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring and Related Costs
The Company's restructuring charges by segment were as follows:
 Three Months Ended March 31,  
 20202019
Engineered Products$358  $79  
Fueling Solutions1,475  738  
Imaging & Identification256  291  
Pumps & Process Solutions3,846  381  
Refrigeration & Food Equipment560  1,412  
Corporate846  35  
Total$7,341  $2,936  
These amounts are classified in the Condensed Consolidated Statements of Earnings as follows:
Cost of goods and services$1,542  $1,179  
Selling, general and administrative expenses5,799  1,757  
Total$7,341  $2,936  
Schedule of Restructuring Reserve by Type of Cost
The Company’s severance and exit accrual activities were as follows:
 SeveranceExitTotal
Balance at December 31, 2019$13,751  $2,639  $16,390  
Restructuring charges4,014  3,327  7,341  
Payments(6,510) (2,049) (8,559) 
Other, including foreign currency translation184  (2,376) 
(1)
(2,192) 
Balance at March 31, 2020$11,439  $1,541  $12,980  
(1) Other activity in exit reserves primarily represents the non-cash write-off of certain long-lived assets in connection with certain facility closures.