REGO PAYMENT ARCHITECTURES, INC. (RPMT) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2010: -$898.6K2011: -$2.16M2016: -$2.05M2017: -$2.70M2018: -$1.31M2019: -$1.24M2020: -$2.19M2021: -$5.05M2022: -$6.26M2023: -$7.20M2024: -$6.97M2025: -$6.15M-$6.15M
2010Operating Cash Flow (USD)2025
Fiscal YearOperating Cash FlowChange YoY
2025-$6.15M+11.8%
2024-$6.97M+3.2%
2023-$7.20M-14.9%
2022-$6.26M-23.9%
2021-$5.05M-130.7%
2020-$2.19M-76.7%
2019-$1.24M+5.0%
2018-$1.31M+51.6%
2017-$2.70M-31.5%
2016-$2.05M
2011-$2.16M-139.9%
2010-$898.6K