UiPath IPO Presentation Deck slide image

UiPath IPO Presentation Deck

Free cash flow bridge Total free cash flow ($M) Revenue Net cash flows (used in) provided by operating activities Add: Purchases of property and equipment Add: Capitalized software development costs Non-GAAP free cash flow Non-GAAP free cash flow margin % Net cash used in investing activities Net cash provided by financing activities Notes: 1. Fiscal year end January 31 FY20A $336 (359) (16) (5) (380) (113%) (40) 458 Ui Path Work FY21A $608 PRIIT 29 (2) (1) 26 4% (126) 250 *************** CONFIDENTIAL
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