| Balance Sheet Information Supplemental information on our year-end balance sheets is as follows: | | | | | | | | | | | | | April 30, | 2020 | | 2021 | | Other current assets: | | | | | Prepaid taxes | $ | 195 | | | $ | 170 | | | Other | 140 | | | 93 | | | $ | 335 | | | $ | 263 | | | Property, plant, and equipment: | | | | | Land | $ | 82 | | | $ | 82 | | | Buildings | 652 | | | 659 | | | Equipment | 814 | | | 833 | | | Construction in process | 41 | | | 50 | | | 1,589 | | | 1,624 | | | Less accumulated depreciation | 741 | | | 792 | | | $ | 848 | | | $ | 832 | | | Accounts payable and accrued expenses: | | | | | Accounts payable, trade | $ | 131 | | | $ | 172 | | | Accrued expenses: | | | | | Advertising, promotion, and discounts | 135 | | | 202 | | | Compensation and commissions | 71 | | | 96 | | | Excise and other non-income taxes | 80 | | | 70 | | |
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| Other | 100 | | | 139 | | | 386 | | | 507 | | | $ | 517 | | | $ | 679 | | |
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| Accumulated other comprehensive income (loss), net of tax: | | | | | Currency translation adjustments | $ | (302) | | | $ | (179) | | | Cash flow hedge adjustments | 60 | | | (16) | | | Postretirement benefits adjustments | (305) | | | (227) | | | $ | (547) | | | $ | (422) | |
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