Recent Annual Filings for RPAY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,519,833,000 $296,627,000 $408,040,000 $-117,420,000 $103,614,000 $-28,944,000 $50,582,000
2022 $1,626,800,000 $279,227,000 $326,428,000 $8,740,000 $74,223,000 $-17,459,000 $17,223,000
2021 $1,685,839,066 $219,258,038 $273,254,032 $-48,394,266 $53,330,244 $313,839,952 $-30,164,808
2020 $1,109,978,140 $155,035,943 $187,045,529 $-54,734,071 $28,486,704 $186,097,387 $68,603,617
2019 $782,042,151 $104,603,000 $152,812,000 $-54,802,530 $21,285,862 $350,694,321 $32,850,571