Rectitude Holdings Cash Flow Statement Analysis

Operating, investing, and financing activities in millions SGD

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Cash flow statement showing operating, investing, and financing activities for Rectitude Holdings Ltd (RECT) - Annual data in millions SGD
BreakdownFY 2025FY 2024FY 2023FY 2022
Period EndingMar 2025Mar 2024Mar 2023Mar 2022
Operating Activities
Net Income2.242.243.932.08
Depreciation & Amortization1.901.901.211.08
Change in Working Capital-4.26-4.26-1.95-2.31
Change in Accounts Receivable-0.40-1.35-1.75-1.85
Change in Inventory-1.33-1.33-0.42-0.66
Change in Accounts Payable1.131.130.910.92
Change in Other Working Capital-2.94-2.72-0.05-0.71
Other Operating Activities-0.040.32-0.050.15
Net Cash from Operating Activities0.200.203.611.32
Investing Activities
Capital Expenditures-0.62-0.62-0.01-0.19
Other Investing Activities0.00-5.180.000.00
Net Cash from Investing Activities-5.80-5.80-0.01-0.19
Financing Activities
Debt Repayment-0.73-0.73-1.31-0.56
Common Stock Issued9.519.510.000.00
Dividends Paid0.000.00-1.15-0.95
Other Financing Activities0.000.000.160.50
Net Cash from Financing Activities8.778.77-2.30-1.00
Summary
Net Change in Cash3.183.181.290.13
Cash at Beginning of Period3.473.471.141.01
Cash at End of Period6.656.652.431.14
Free Cash Flow-0.42-0.423.591.13
Supplemental Disclosures
Interest Paid0.20-0.210.140.12
Income Taxes Paid0.94-0.660.320.46