Recent Annual Filings for CBZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,470,883,000 $1,813,472,000 $1,755,665,000 $40,479,000 $123,692,000 $1,035,613,000 $30,022,000
2023 $2,043,592,000 $1,591,194,000 $1,424,891,000 $119,142,000 $153,507,000 $-77,111,000 $-2,997,000
2022 $1,879,124,000 $1,411,979,000 $1,270,486,000 $109,925,000 $126,132,000 $-17,343,000 $9,671,000
2021 $1,627,934,000 $1,104,925,000 $1,011,885,000 $72,189,000 $131,154,000 $-69,005,000 $-19,861,000
2020 $1,513,754,000 $963,897,000 $860,409,000 $76,710,000 $146,845,000 $-76,609,000 $23,830,000
2019 $1,400,774,000 $948,424,000 $855,535,000 $70,415,000 $98,185,000 $-54,549,000 $15,951,000
2018 $1,183,031,000 $922,003,000 $842,163,000 $61,270,000 $105,248,000 $-109,380,000 $-51,708,000
2017 $1,176,231,000 $855,340,000 $781,020,000 $50,699,000 $71,931,000 $-45,593,000 $-3,070,000