Recent Annual Filings for PAYS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $179,028,197 $58,384,552 $54,246,355 $3,815,907 $22,947,120 $-466,245 $12,992,173
2023 $146,598,849 $47,274,162 $44,910,346 $6,458,727 $27,620,624 $-1,118,284 $19,453,662
2022 $108,244,253 $38,033,667 $36,898,415 $1,027,775 $25,317,964 $-21,226,281
2021 $84,050,793 $29,464,849 $32,204,282 $-2,711,136 $15,228,189 $192,141 $12,740,666
2020 $67,833,506 $24,120,434 $32,367,814 $-9,141,562 $13,775,819 $-72,865 $10,358,099
2019 $53,548,346 $34,666,653 $28,123,883 $7,452,746 $16,712,779 $430,919 $13,906,564