Recent Annual Filings for FPAY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $156,490,377 $116,975,007 $103,284,660 $-4,233,617 $-6,664,520 $12,465,560 $-1,760,219
2022 $148,289,510 $113,056,173 $119,359,383 $13,631,719 $-31,236,936 $37,516,288 $1,078,707
2021 $84,812,056 $125,426,756 $118,061,937 $3,272,774 $-11,256,031 $12,758,985 $-3,446,590
2020 $68,249,379 $102,084,514 $97,458,799 $-339,896 $-5,207,547 $9,978,501 $1,672,760
2019 $52,214,892 $88,789,889 $83,685,652 $577,415 $-469,461 $3,437,895 $727,262
2018 $48,626,315 $84,728,369 $89,906,585 $-9,461,262 $-18,160,258 $21,617,429 $1,172,295
2017 $34,008,626 $67,046,364 $73,208,863 $-8,330,761 $-6,598,834 $8,176,792 $-443,580
2016 $29,155,624 $47,579,585 $57,908,108 $-12,253,707 $-17,372,429 $21,243,806 $2,016,289