Walkme Results Presentation Deck slide image

Walkme Results Presentation Deck

| Reconciliation of GAAP Cash Flow from Operating Activities to Free Cash Flow. (In thousands; unaudited) Net cash provided by (used in) operating activities Less: Purchases of property and equipment Less: Capitalized software development Costs Free cash flow Three months ended September 30, $ 2021 (11,254) (547) (1,101) $ (12,902) $ $ 2020 396 (213) (361) (178) Nine months ended September 30, 2021 $ (20,321) (1,375) (2,723) (24,419) 2020 $ (6,589) (770) (1,084) $ (8,443) walk me © All Rights Reserved 32
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