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Braze Results Presentation Deck

16 GAAP Cash Flows from Operations to Free Cash Flow DOLLARS IN THOUSANDS Reconciliation of GAAP Cash Flow from Operating Activities to Non-GAAP Free Cash Flow Purchases of property and equipment Capitalized internal-use software costs Net cash used in operating activities ($24,530) Less: Free cash flow Three Months Ended January 31, Free cash flow margin 2022 (1,200) (223) ($25,953) (36.8%) 2021 $20 (416) (212) ($608) (1.4%) Twelve Months Ended January 31, 2022 ($35,398) ($6,080) (2,310) (2,065) 2021 (16.7%) (2,466) (1,886) ($39,773) ($10,432) (6.9%) braze
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