Recent Annual Filings for BILL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,178,813,000 $1,290,172,000 $1,316,491,000 $-26,280,000 $278,771,000 $-742,599,000 $-873,442,000
2023 $9,636,018,000 $1,058,468,000 $1,281,385,000 $-217,996,000 $187,768,000 $235,110,000 $682,125,000
2022 $9,256,026,000 $641,959,000 $972,638,000 $-336,478,000 $-18,093,000 $2,878,566,000 $1,733,022,000
2021 $5,969,173,000 $238,265,000 $377,602,000 $-101,240,000 $4,623,000 $1,639,583,000 $217,316,000
2020 $2,404,015,000 $157,600,000 $188,638,000 $-28,997,000 $-4,430,000 $863,126,000 $609,209,000