Begbies Traynor Group plc (FRA:BTA)
Germany flag Germany · Delayed Price · Currency is EUR
1.310
-0.010 (-0.76%)
At close: Jan 28, 2026

Begbies Traynor Group Cash Flow Statement

Millions GBP. Fiscal year is May - Apr.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Oct '25 Apr '25 Apr '24 Apr '23 Apr '22 Apr '21
Net Income
9.96.31.52.91-0.50.15
Depreciation & Amortization
4.54.43.83.259.176.52
Other Amortization
0.10.10.20.180.180.12
Loss (Gain) From Sale of Assets
---0.03-0.09-
Asset Writedown & Restructuring Costs
-----0.35
Stock-Based Compensation
1.51.30.61.281.571.03
Other Operating Activities
-0.14.17.11.470.742.43
Change in Accounts Receivable
-7.1-5.8-7.8-4.66-3.92-2.68
Change in Accounts Payable
2.954.12.482.35.4
Change in Other Net Operating Assets
---0.3-0.570.38-0.28
Operating Cash Flow
11.715.49.26.389.8313.04
Operating Cash Flow Growth
9.35%67.39%44.20%-35.07%-24.65%686.55%
Capital Expenditures
-1.6-2-1.4-0.93-0.88-1
Sale of Property, Plant & Equipment
---0.020.04-
Cash Acquisitions
-0.5-0.5-20.460.11-20.66
Sale (Purchase) of Intangibles
----0.06-0.19-0.31
Investing Cash Flow
-2.1-2.5-3.4-0.51-0.91-21.97
Long-Term Debt Issued
--2---
Long-Term Debt Repaid
--2.9-1.9-2.38-3.17-7.68
Net Debt Issued (Repaid)
--2.90.1-2.38-3.17-7.68
Issuance of Common Stock
-0.20.50.210.520.92
Repurchase of Common Stock
-2-1.6-2.9---
Common Dividends Paid
-6.5-6.3-5.9-5.39-4.55-3.58
Financing Cash Flow
-8.5-10.6-8.2-7.56-7.219.66
Net Cash Flow
1.12.3-2.4-1.681.70.74
Free Cash Flow
10.113.47.85.458.9512.04
Free Cash Flow Growth
10.99%71.80%43.15%-39.12%-25.69%1139.10%
Free Cash Flow Margin
6.34%8.72%5.71%4.47%8.14%14.37%
Free Cash Flow Per Share
0.060.080.050.030.060.09
Cash Interest Paid
2.22.22.11.080.790.85
Cash Income Tax Paid
5.84.46.75.333.622.27
Levered Free Cash Flow
13.7413.211.5411.7717.9414.39
Unlevered Free Cash Flow
15.1814.712.7312.4618.4114.9
Change in Working Capital
-4.2-0.8-4-2.74-1.242.44
Source: S&P Global Market Intelligence. Standard template. Financial Sources.