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Restructuring Activities (Tables)
3 Months Ended
Mar. 31, 2024
Restructuring and Related Activities [Abstract]  
Schedule of Restructuring Charges by Segment
The Company's restructuring charges by segment were as follows:
 Three Months Ended March 31,
 20242023
Engineered Products$492 $539 
Clean Energy & Fueling4,965 10,144 
Imaging & Identification760 339 
Pumps & Process Solutions1,351 1,326 
Climate & Sustainability Technologies11,070 242 
Corporate17 (114)
Total$18,655 $12,476 
These amounts are classified in the condensed consolidated statements of earnings as follows:
Cost of goods and services$13,923 $3,473 
Selling, general and administrative expenses4,732 9,003 
Total$18,655 $12,476 
Schedule of Severance and Exit Accrual Activities
The Company’s severance and exit accrual activities were as follows:
 SeveranceExitTotal
Balance at January 1, 2024$18,646 $3,113 $21,759 
Restructuring charges3,539 15,116 (1)18,655 
Payments(8,427)(1,689)(10,116)
Other, including foreign currency translation(234)(12,637)(1)(12,871)
Balance at March 31, 2024$13,524 $3,903 $17,427 
(1) Exit reserves activity includes non-cash asset charges related to a product line exit within Climate & Sustainability Technologies segment.