| Schedule of Restructuring Reserve |
The tables below summarize the activity related to the global restructuring initiative. | | | | | | | | | | | | | | | | | | | | | | (in thousands) | | Severance and other employee costs | | Other restructuring costs (1) | | Total | | Liability as of January 1, 2026 | | $ | 17,988 | | | $ | 709 | | | $ | 18,697 | | | Restructuring and other costs | | 23,525 | | | 105,357 | | | 128,882 | | | Cash payments | | (23,798) | | | (92,540) | | | (116,338) | | | Non-cash charges | | — | | | (13,020) | | | (13,020) | | | Translation | | (237) | | | (11) | | | (248) | | | Liability as of June 30, 2026 | | $ | 17,478 | | | $ | 495 | | | $ | 17,973 | |
(1)Amount includes professional fees, accelerated rent, facility closure costs, moving expenses and asset impairment costs. Amount excludes a $5 million non-cash charge reflected in cost of goods sold for inventory liquidated rather than moved during facility consolidation in connection with the restructuring. | | | | | | | | | | | | | | | | | | | | | | (in thousands) | | Severance and other employee costs | | Other restructuring costs (1) | | Total | | Liability as of January 1, 2025 | | $ | 23,830 | | | $ | 926 | | | $ | 24,756 | | | Restructuring and other costs | | 36,600 | | | 63,882 | | | 100,482 | | | Cash payments | | (31,249) | | | (57,268) | | | (88,517) | | | Non-cash charges | | — | | | (5,778) | | | (5,778) | | | Translation | | 1,847 | | | 41 | | | 1,888 | | | Liability as of June 30, 2025 | | $ | 31,028 | | | $ | 1,803 | | | $ | 32,831 | |
(1)Amount includes professional fees, accelerated rent, facility closure costs, moving expenses and asset impairment costs.
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