monday.com Investor Presentation Deck slide image

monday.com Investor Presentation Deck

Investing in growth while maintaining cash efficiency Quarterly adjusted free cash flow margin (16%) Q2-22 10% Q3-22 20% Q4-22 24% Note: Non-GAAP financial measures, see Appendix. Q1-23 26% Q2-23 Adjusted free cash flow amounts to: ($19.3M), $14.0M, $29.7M, $38.7M and $45.9M for Q2-22, Q3-22, Q4-22, Q1-23 and Q2-23, respectively. Annual adjusted free cash flow margin 3% (25%) FY-20 FY-21 2% FY-22 Adjusted free cash flow amounts to: ($40.7M), $9.9M, and $8.1M for FY-20, FY-21 and FY-22, respectively.
View entire presentation