Recent Annual Filings for VERX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $759,927,000 $572,387,000 $594,061,000 $-7,083,000 $74,332,000 $-26,482,000 $-17,597,000
2022 $719,192,000 $491,624,000 $501,754,000 $-22,559,000 $76,846,000 $17,094,000 $8,542,000
2021 $670,207,000 $425,548,000 $429,474,000 $-15,849,000 $91,969,000 $-9,099,000 $-214,067,000
2020 $554,928,000 $374,665,000 $482,534,000 $-81,573,000 $59,543,000 $213,632,000 $228,778,000