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SUPPLEMENTAL FINANCIAL INFORMATION (Tables)
12 Months Ended
Jun. 30, 2022
Disclosure Text Block [Abstract]  
Property, Plant and Equipment [Table Text Block]
The components of property, plant and equipment were as follows:
As of June 3020222021
PROPERTY, PLANT AND EQUIPMENT
Buildings$8,087 $8,165 
Machinery and equipment35,098 35,367 
Land756 808 
Construction in progress2,756 2,358 
TOTAL PROPERTY, PLANT AND EQUIPMENT46,697 46,698 
Accumulated depreciation(25,502)(25,012)
PROPERTY, PLANT AND EQUIPMENT, NET$21,195 $21,686 
Other Liabilities [Table Text Block] Selected components of current and noncurrent liabilities were as follows:
As of June 3020222021
ACCRUED AND OTHER LIABILITIES - CURRENT
Marketing and promotion$3,878 $4,140 
Compensation expenses1,797 2,145 
Taxes payable587 637 
Restructuring reserves147 278 
Leases205219
Other2,940 3,104 
TOTAL$9,554 $10,523 
OTHER NONCURRENT LIABILITIES
Pension benefits$3,139 $5,452 
U.S. Tax Act transitional tax payable1,661 1,891 
Other retiree benefits672 922 
Uncertain tax positions752 794 
Long term operating leases595 631 
Other797 579 
TOTAL$7,616 $10,269 
Schedule of Restructuring Reserve by Type of Cost [Table Text Block] The following table presents restructuring activity for the years ended June 30, 2022 and 2021:
SeparationsAsset-Related CostsOtherTotal
RESERVE JUNE 30, 2020$285 $— $187 $472 
Cost incurred and charged to expense127 24 179 330 
Cost paid/settled(236)(24)(264)(524)
RESERVE JUNE 30, 2021176 — 102 278 
Cost incurred and charged to expense88 87 78 253 
Cost paid/settled(143)(87)(154)(384)
RESERVE JUNE 30, 2022$121 $ $26 $147 
Restructuring and Related Costs [Table Text Block]
However, for information purposes, the following table summarizes the total restructuring costs related to our reportable segments:
Years ended June 3020222021
2020 (2)
Beauty$11 $13 $54 
Grooming14 25 102 
Health Care32 51 136 
Fabric & Home Care42 22 75 
Baby, Feminine & Family Care83 29 192 
Corporate (1)
71 190 223 
Total Company$253 $330 $782 
(1)    Corporate includes costs related to allocated overheads, including charges related to our Enterprise Markets, Global Business Services and Corporate Functions activities.
(2)    Fiscal 2020 includes incremental restructuring charges above ongoing programs and tied to a multi-year productivity and cost savings plan (announced in 2017) to further reduce costs in the areas of supply chain, certain marketing activities and overhead expense.