Restructuring - Schedule of Changes in Liability for Restructuring Actions (Details) $ in Thousands |
3 Months Ended |
---|---|
Mar. 31, 2025
USD ($)
| |
Restructuring Reserve [Roll Forward] | |
Beginning balance | $ 26,351 |
Costs incurred | 348 |
Cash disbursements | (19,688) |
Translation adjustments and other | 140 |
Ending balance | 7,151 |
Q3 2024 Action | |
Restructuring Reserve [Roll Forward] | |
Beginning balance | 24,606 |
Costs incurred | 274 |
Cash disbursements | (18,742) |
Translation adjustments and other | 138 |
Ending balance | 6,276 |
Acquisitions Related and Other | |
Restructuring Reserve [Roll Forward] | |
Beginning balance | 1,745 |
Costs incurred | 74 |
Cash disbursements | (946) |
Translation adjustments and other | 2 |
Ending balance | $ 875 |