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RESTRUCTURING INITIATIVES - Restructuring Activity (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Restructuring reserve      
Net Charges $ 45,004 $ 6,597 $ 23,240
Business Optimization      
Restructuring reserve      
Restructuring reserve, balance at the beginning of the period 4,993    
Net Charges 45,445    
Cash Paid (18,094)    
Interest and FX Impact (2,456)    
Restructuring reserve, balance at the end of the period 29,888 4,993  
Business Optimization | Employee severance      
Restructuring reserve      
Restructuring reserve, balance at the beginning of the period 4,993    
Net Charges 37,167    
Cash Paid (12,608)    
Interest and FX Impact (2,474)    
Restructuring reserve, balance at the end of the period 27,078 4,993  
Business Optimization | Professional fees and other costs      
Restructuring reserve      
Restructuring reserve, balance at the beginning of the period 0    
Net Charges 8,278    
Cash Paid (5,486)    
Interest and FX Impact 18    
Restructuring reserve, balance at the end of the period $ 2,810 $ 0