Balance at Beginning of Period | Accruals | Payments/Other | Balance at End of Period | |||||||||
2013 | ||||||||||||
Accrued Rebates(1) | $ | 2,466 | 10,559 | (10,102 | ) | 2,923 | ||||||
Accrued Returns | 710 | 480 | (558 | ) | 632 | |||||||
Accrued Promotions | 435 | 1,619 | (1,571 | ) | 483 | |||||||
Subtotal | $ | 3,611 | 12,658 | (12,231 | ) | 4,038 | ||||||
Reserve for doubtful accounts | 466 | 53 | (186 | ) | 333 | |||||||
Reserve for cash discounts | 105 | 1,097 | (1,099 | ) | 103 | |||||||
Total | $ | 4,182 | 13,808 | (13,516 | ) | 4,474 | ||||||
2012 | ||||||||||||
Accrued Rebates(1) | $ | 2,215 | 8,973 | (8,722 | ) | 2,466 | ||||||
Accrued Returns | 682 | 549 | (521 | ) | 710 | |||||||
Accrued Promotions | 396 | 1,583 | (1,544 | ) | 435 | |||||||
Subtotal | $ | 3,293 | 11,105 | (10,787 | ) | 3,611 | ||||||
Reserve for doubtful accounts | 361 | 127 | (22 | ) | 466 | |||||||
Reserve for cash discounts | 99 | 1,010 | (1,004 | ) | 105 | |||||||
Total | $ | 3,753 | 12,242 | (11,813 | ) | 4,182 | ||||||
2011 | ||||||||||||
Accrued Rebates(1) | $ | 2,146 | 8,331 | (8,262 | ) | 2,215 | ||||||
Accrued Returns | 640 | 560 | (518 | ) | 682 | |||||||
Accrued Promotions | 427 | 1,774 | (1,805 | ) | 396 | |||||||
Subtotal | $ | 3,213 | 10,665 | (10,585 | ) | 3,293 | ||||||
Reserve for doubtful accounts | 340 | 77 | (56 | ) | 361 | |||||||
Reserve for cash discounts | 110 | 960 | (971 | ) | 99 | |||||||
Total | $ | 3,663 | 11,702 | (11,612 | ) | 3,753 |
(1) | Includes reserve for customer rebates of $730 million, $642 million and $656 million at December 29, 2013, December 30, 2012 and January 1, 2012, respectively, recorded as a contra asset. |