v3.25.2
WORKFORCE REBALANCING AND SITE-RATIONALIZATION CHARGES (Tables)
3 Months Ended
Jun. 30, 2025
WORKFORCE REBALANCING AND SITE-RATIONALIZATION CHARGES.  
Schedule of segment breakout of workforce rebalancing and site-rationalization charges

Three Months Ended June 30,

Costs Incurred to Date

(Dollars in millions)

    

2025

    

2024

    

Fiscal 2026 Program

    

Fiscal 2025 Program

United States

$

6

$

20

$

6

$

62

Japan

4

1

4

12

Principal Markets

11

5

11

30

Strategic Markets

5

20

5

58

Corporate and other

Total charges

$

25

$

45

$

25

$

162

Summary of classification of workforce rebalancing and site-rationalization activities

Three Months Ended June 30,

Costs Incurred to Date

(Dollars in millions)

    

2025

    

2024

    

Fiscal 2026 Program

    

Fiscal 2025 Program

Cost of services

$

$

8

$

$

45

Selling, general and administrative expenses

1

3

Workforce rebalancing charges

25

36

25

114

Total charges

$

25

$

45

$

25

$

162

Schedule of components of and changes in workforce rebalancing and site-rationalization charges

Workforce

Rebalancing

(Dollars in millions)

    

Liabilities*

Fiscal 2025 Program

Balance at March 31, 2025

$

16

Charges

Cash payments

(10)

Non-cash adjustments

1

Balance at June 30, 2025

$

7

Fiscal 2026 Program

Balance at March 31, 2025

$

Charges

25

Cash payments

(11)

Non-cash adjustments

Balance at June 30, 2025

$

15

*The Fiscal 2025 Program balance excludes workforce rebalancing liabilities inherited from our former Parent of $16 million as of March 31, 2025. Current-year movement excludes cash payments of $2 million, non-cash adjustment of $1 million and ending balance of $15 million related to actions initiated by our former Parent. Workforce rebalancing liabilities are recorded within other liabilities in the Consolidated Balance Sheet.
*