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RESTRUCTURING INITIATIVES - Schedule of Activity associated with optimization initiative (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2025
Mar. 31, 2024
Restructuring reserve    
Net Charges $ 2,042 $ 3,480
Business Optimization Plan    
Restructuring reserve    
Beginning Reserve 9,957 29,888
Net Charges 2,042 3,497
Cash Paid (3,324) (5,554)
Interest and FX Impact 267 137
Ending Reserve 8,942 27,968
Employee severance | Business Optimization Plan    
Restructuring reserve    
Beginning Reserve 9,161 27,078
Net Charges 192 1,743
Cash Paid (1,490) (4,453)
Interest and FX Impact 275 151
Ending Reserve 8,138 24,519
Professional fees and other costs | Business Optimization Plan    
Restructuring reserve    
Beginning Reserve 796 2,810
Net Charges 1,850 1,754
Cash Paid (1,834) (1,101)
Interest and FX Impact (8) (14)
Ending Reserve $ 804 $ 3,449