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Global Payments Cash Flow Statement

Operating, investing, and financing cash movements

Global Payments generated $1.8B in operating cash flow over the trailing twelve months. After $751.5M in capital expenditures, free cash flow was $1.1B. Free cash flow decreased 0.6% year-over-year. Based on the Q1 2026 filing.

Latest FilingQ1 2026
Report Date2026-05-08
Market Cap$20.2B
ROE-3.06%

Operating

MetricQ4 '24Q1 '25Q2 '25Q3 '25Q4 '25Q1 '26
Other non-cash income (expense)-$22.9M-$19.3M-$276.0K-$5.7M-$48.7M-$44.8M
Amortization of deferred commissions$35.1M$34.4M$32.5M$33.0M$27.7M$24.8M
Amortization of intangible assets$329.3M$221.8M-$551.1M$0.0$747.2M
Other non-cash income (expense)-$22.9M-$19.3M-$276.0K-$5.7M-$48.7M-$44.8M
Change in accounts payable-$181.4M$135.9M-$252.1M-$746.2M
Change in accounts receivable$36.7M$65.8M$22.7M-$44.2M
Change in income taxes payable/receivable$79.3M$2.5B
Change in other assets$53.9M$93.6M$30.5M$34.4M$14.9M$193.5M
Other working capital changes-$22.9M-$19.3M-$276.0K-$5.7M-$48.7M-$44.8M
Depreciation and amortization$124.1M$122.8M$102.3M$94.6M$99.1M$117.6M
Distributions from equity method investments$32.8M$7.5M$28.3M$0.0
Gain (loss) on sale of assets$4.0M$22.2M
Gain (loss) on disposal of group$4.0M$22.2M
Amortization of Contract Acquisition Assets$35.1M$34.4M$32.5M$33.0M$27.7M$24.8M
Other Non-Cash Income (Expense)-$22.9M-$19.3M-$276.0K-$5.7M-$48.7M-$44.8M
Other Non-cash Income (Expense)-$22.9M-$19.3M-$276.0K-$5.7M-$48.7M-$44.8M
Gain (Loss) on Disposal Group$4.0M$22.2M
Other Non-cash Income (Expense)-$22.9M-$19.3M-$276.0K-$5.7M-$48.7M-$44.8M
Gain (Loss) on Disposal of Group (Not Discontinued Operation)$4.0M$22.2M
Net cash from operating activities$883.4M$555.1M$817.5M$768.7M$515.2M-$288.8M
Net income$598.3M$312.8M$246.1M$660.6M$236.6M-$1.8B
Other non-cash income (expense)-$22.9M-$19.3M-$276.0K-$5.7M-$48.7M-$44.8M
Amortization of capitalized software and acquired intangible assets$332.6M$329.3M$221.8M$208.6M$236.9M$747.2M
Amortization of costs capitalized to obtain revenue contracts, net$35.1M$34.4M$32.5M$33.0M$27.7M$24.8M
Depreciation$124.1M$122.8M$102.3M$94.6M$99.1M$117.6M
Distributions of earnings from equity method investees$32.8M$7.5M$28.3M$0.0
Gain (Loss) on Disposition of Business, Net$68.3M$38.9M$38.9M$38.9M$38.9M
Income (Loss) from Equity Method Investments, Net$18.3M$19.9M
Income and other taxes$79.3M$2.5B
Increase (Decrease) in Prepaid Expense and Other Assets$53.9M$93.6M$30.5M$34.4M$14.9M$193.5M
Noncash lease expense$14.5M$14.2M$11.0M$10.4M$9.9M$15.0M
Other Noncash Deferred Income Tax Expense-$94.6M-$70.7M$166.3M-$11.8M-$165.8M-$1.0B
Other Noncash Income (Expense)-$22.9M-$19.3M-$276.0K-$5.7M-$48.7M-$44.8M
Paid-In-Kind Interest, Capitalized$19.4M$19.5M$19.5M$4.2M$16.2M$16.3M
Provision For Operating Losses And Doubtful Accounts$20.3M$20.0M$21.9M$18.5M$18.4M$34.7M
Other Non-cash Income and Expense-$22.9M-$19.3M-$276.0K-$5.7M-$48.7M-$44.8M
Other Non-Cash Adjustments-$22.9M-$19.3M-$276.0K-$5.7M-$48.7M-$44.8M
Other Non-Cash Income and Expense-$22.9M-$19.3M-$276.0K-$5.7M-$48.7M-$44.8M
Pre-tax Gain on Disposal of Business$4.0M$22.2M
Stock-based compensation$29.9M$39.7M$39.8M$35.3M$38.8M$21.5M
Gain (Loss) on Disposal Group Not Discontinued Operation$4.0M$22.2M

Financing

MetricQ4 '24Q1 '25Q2 '25Q3 '25Q4 '25Q1 '26
Proceeds from lines of credit-$258.3M$223.2M-$135.7M$351.8M-$641.2M$675.9M
Net change in commercial paper$867.6M-$69.9M-$797.7M$0.0$1.1B
Proceeds from issuance of debt$2.0B$1.6B$1.2B$2.1B$7.4B$4.7B
Repayments of debt$2.5B$2.5B$1.2B$2.2B$1.2B$13.6B
Acquisition of redeemable noncontrolling interests$27.2M$0.0$0.0$0.0$0.0
Distributions to noncontrolling interests$8.7M$10.3M$19.8M$19.1M$9.3M$6.0M
Dividends paid$62.3M$61.1M$60.4M$58.0M$59.1M$68.2M
Changes in funds held for customers$221.4M-$58.5M-$60.5M-$37.6M-$18.5M
Changes in settlement processing assets and obligations, net$479.2M$151.1M$292.3M-$534.8M
Payments For Repurchase Of Common Stock For Share-Based Compensation Plans$2.4M$36.0M$1.4M$1.3M$972.0K$31.5M
Payments for Repurchase of Redeemable Noncontrolling Interest$27.2M$0.0$0.0$0.0$0.0
Payments Of Debt Issuance Costs$0.0$40.5M$902.0K$46.7M$8.7M
Payments to Noncontrolling Interests$8.7M$10.3M$19.8M$19.1M$9.3M$6.0M
Proceeds from exercises of stock options and other stock issuances$9.5M$6.3M$9.9M$7.5M$7.1M$4.7M
Proceeds from (repayments of) short-term borrowings, net$867.6M-$69.9M-$797.7M$0.0$1.1B
Repurchase of Redeemable Noncontrolling Interest$27.2M$0.0$0.0$0.0$0.0
Net cash from financing activities-$1.8B-$31.5M-$490.7M-$1.6B$5.9B-$8.4B
Payment of debt issuance costs$0.0$40.5M$902.0K$46.7M$8.7M
Proceeds from issuance of common stock$9.5M$6.3M$9.9M$7.5M$7.1M$4.7M
Repurchases of common stock$651.9M$446.3M$244.8M$500.0M$0.0$549.9M