Recent Annual Filings for PAYC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,859,900,000 $1,883,200,000 $1,248,900,000 $502,400,000 $533,900,000 $1,108,300,000 $1,620,000,000
2023 $4,197,539,000 $1,693,674,000 $1,242,352,000 $343,452,000 $485,037,000 $-274,660,000 $13,665,000
2022 $3,902,513,000 $1,375,218,000 $996,539,000 $277,686,000 $365,103,000 $254,587,000 $596,404,000
2021 $3,215,145,000 $1,055,524,000 $801,957,000 $195,960,000 $319,362,000 $165,724,000 $227,416,000
2020 $2,607,912,000 $841,434,000 $655,311,000 $143,453,000 $227,207,000 $-165,909,000 $-56,579,000
2019 $2,486,917,000 $737,671,000 $511,447,000 $180,576,000 $224,263,000 $650,672,000 $655,390,000
2018 $1,521,926,000 $566,336,000 $392,621,000 $137,065,000 $184,817,000 $-247,796,000 $-359,000
2017 $1,355,164,000 $433,047,000 $354,422,000 $66,807,000 $130,600,000 $145,665,000 $-14,081,000