Recent Annual Filings for IZEA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $62,220,274 $35,881,010 $55,361,954 $-18,496,383 $-11,457,524 $-1,098,893 $7,197,740
2023 $79,425,466 $36,214,598 $46,096,880 $-6,819,156 $-4,832,317 $-1,138,354 $12,845,768
2022 $85,674,890 $41,095,937 $46,726,798 $-5,250,293 $-3,057,112 $-76,316 $-50,832,335
2021 $90,795,072 $30,022,377 $35,380,104 $-3,140,621 $-2,566,999 $44,981,238 $42,388,070
2020 $44,752,071 $18,329,555 $28,563,258 $-10,250,007 $-2,095,651 $29,610,654 $27,160,596
2019 $23,944,361 $18,955,672 $26,123,376 $-7,290,120 $-2,905,485 $7,509,690 $3,916,226
2018 $22,918,077 $20,099,695 $25,508,745 $-5,718,407 $-5,582,480 $4,552,695 $-1,938,394
2017 $13,627,303 $24,437,649 $29,913,885 $-5,467,699 $-2,366,967 $514,446 $-2,042,207