Recent Annual Filings for PAYX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $10,383,100,000 $5,278,300,000 $3,104,200,000 $1,705,200,000 $1,897,700,000 $-1,874,700,000 $-237,900,000
2023 $10,546,400,000 $5,007,100,000 $2,974,000,000 $1,531,300,000 $1,699,400,000 $-711,400,000 $1,206,500,000
2022 $9,635,200,000 $4,611,700,000 $2,771,700,000 $1,207,100,000 $1,505,500,000 $-979,300,000 $-894,700,000
2021 $9,227,200,000 $4,056,800,000 $2,596,100,000 $1,092,800,000 $1,260,300,000 $-636,400,000 $163,300,000
2020 $8,550,700,000 $4,040,500,000 $2,580,000,000 $1,154,500,000 $1,440,900,000 $-1,488,200,000 $724,600,000
2019 $8,676,000,000 $3,772,500,000 $2,404,500,000 $1,070,700,000 $1,271,500,000 $-1,008,500,000 $-1,365,300,000
2018 $7,463,700,000 $3,380,900,000 $2,084,800,000 $877,500,000 $1,276,400,000 $-423,800,000 $173,600,000
2017 $6,833,700,000 $3,151,300,000 $1,906,500,000 $808,100,000 $960,400,000 $-482,700,000 $53,100,000