Recent Annual Filings for FLYW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,122,446,000 $492,144,000 $490,284,000 $-486,000 $91,468,000 $-37,631,000 $-159,366,000
2023 $1,079,731,000 $403,094,000 $407,446,000 $-5,334,000 $80,625,000 $263,418,000 $303,431,000
2022 $674,287,000 $289,375,000 $326,734,000 $-40,860,000 $5,427,000 $-23,970,000 $-38,183,000
2021 $639,845,000 $201,149,000 $227,076,000 $-28,270,000 $17,131,000 $327,512,000 $280,308,000