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Balance Sheet and Other Details (Tables)
3 Months Ended
Sep. 30, 2023
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Summary of Activity Related to Deferred Revenue and Financed Unearned Services Revenue
The following tables summarize the activity related to deferred revenue (in millions):
September 30, 2023
Three Months Ended
Deferred revenue:
Balance at beginning of period$102.0 
Revenue deferrals for new contracts (1)
20.2 
Revenue recognized during the period (2)
(31.7)
Balance at end of period $90.5 
(1)    Included in these amounts is the impact from foreign currency exchange rate fluctuations.
(2)    Revenue recognized during the period represents releases from the balance at the beginning of the period as well as releases from the current period deferrals.
Schedule of Components of Accounts Receivable Allowance
The following table presents the activities and balances for allowance for credit losses (in millions):
July 1, 2023Charged to Costs and Expenses
Deductions (1)
September 30, 2023
Allowance for credit losses$1.0 $0.4 $(0.1)$1.3 
(1)     Represents the effect of currency translation adjustments and write-offs of uncollectible accounts, net of recoveries.
Schedule of Components of Inventories
The following table presents the components of inventories, net (in millions):
September 30, 2023July 1, 2023
Finished goods$51.7 $49.0 
Work in process15.2 17.7 
Raw materials46.6 49.4 
Inventories, net$113.5 $116.1 
Schedule of Components of Prepayments and Other Current Assets
The following table presents the components of prepayments and other current assets (in millions):
September 30, 2023July 1, 2023
Refundable income taxes$27.7 $27.6 
Prepayments15.2 16.5 
Advances to contract manufacturers10.2 9.8 
Transaction tax receivables3.9 5.1 
Asset held for sale2.5 2.5 
Fair value of forward contracts1.6 3.5 
Other current assets6.1 7.1 
Prepayments and other current assets$67.2 $72.1 
Schedule of Components of Other Non-current Assets
The following table presents the components of other non-current assets (in millions):
September 30, 2023July 1, 2023
Operating ROU assets (Note 12)$38.1 $40.4 
Long-term restricted cash4.0 4.6 
Deferred contract cost2.5 2.9 
Debt issuance cost - Revolving Credit Facility2.5 2.8 
Deposits2.1 2.3 
Other non-current assets9.3 8.7 
Other non-current assets$58.5 $61.7 
Schedule of Components of Other Current Liabilities
The following table presents the components of other current liabilities (in millions):
September 30, 2023July 1, 2023
Operating lease liabilities (Note 12)$10.0 $10.1 
Fair value of forward contracts5.2 2.4 
Income tax payable4.3 4.4 
Acquisition related holdback and related accruals4.4 4.1 
Warranty accrual4.1 4.2 
Transaction tax payable2.9 4.3 
Restructuring accrual (Note 13)1.5 5.8 
Fair value of contingent consideration (Note 5)0.9 1.1 
Interest payable0.4 5.5 
Other7.5 7.9 
Other current liabilities$41.2 $49.8 
Schedule of Components of Other Non-current Liabilities
The following table presents components of other non-current liabilities (in millions):
September 30, 2023July 1, 2023
Pension and post-employment benefits$52.0 $53.2 
Operating lease liabilities (Note 12)27.6 29.4 
Long-term deferred revenue23.5 23.4 
Fair value of contingent consideration (Note 5)17.4 18.6 
Deferred tax liability16.8 13.9 
Financing obligation15.7 15.8 
Uncertain tax position15.5 15.8 
Warranty accrual4.7 4.8 
Asset retirement obligations3.8 3.8 
Other7.9 8.0 
Other non-current liabilities$184.9 $186.7