Staffing 360 Solutions, Inc.STAF

時価総額
$1023.4万
PER
2013年
5月31日
2014年
5月31日
2015年
5月31日
2016年
5月31日
2017年
12月30日
2018年
12月29日
2019年
12月28日
2021年
1月2日
2022年
1月1日
2022年
12月31日
Net (Loss) Income-3,405,182-12,657,739-17,549,955-9-18-7-5-168-17
Depreciation and amortization-13---3333
Amortization of debt discount and deferred financing costs----311101
Accounts receivable allowance-------10-0
Impairment of goodwill-3--5--3310
Right of use assets depreciation-------211
Stock based compensation--22111101
Forgiveness of PPP loan and related interest--------20-
Re-measurement (loss) gain on intercompany note------01-0-
Accounts receivable528,997-203,0392-23-58741
Prepaid expenses and other current assets----01-0-00-00
Other assets-212,102380,3201-0-01102
Accounts payable and accrued expenses-555,81023-5-1-2-2-2-5
Accounts payable, related party259,487-124,67638,086-0--01-2-0
Other current liabilities-43,177-141,627-0-00-02-0-1
Other long-term liabilities and other---01-0-02-51
NET CASH USED IN OPERATING ACTIVITIES-1,423,484-4,287,975-4,556,7422-2-11-14-15-10
Purchase of property and equipment-144,964255,2720101001
Acquisition of business, net of cash acquired---32110----2
Collection of UK factoring facility deferred purchase price--------77
NET CASH PROVIDED BY INVESTING ACTIVITIES-907,287-11,612,461-2,014,255-5-2131279
Third party financing costs--------51
Proceeds from term loan - Related party56,500---5083-0-
Repayment of term loan----4115340
Proceeds from term loan-----2-1-0
Repayments on accounts receivable financing, net------3224
Dividends paid to related parties----10131-
Redemption of Series E preferred stock, related party--------5-
Proceeds from sale of common stock and warrants---------4
Payments made on earnouts---------0
Proceeds from sale of Series F preferred stock--------5-
NET CASH (USED IN) PROVIDED BY FINANCING ACTIVITIES31755--4-4122-1
NET DECREASE IN CASH-------29-6-2
Effect of exchange rates on cash-------0-0-0