Deltek Reports Q4 License Revenue of $27 Million and Total Revenue of $77 Million


                             DELTEK, INC.
                CONSOLIDATED STATEMENTS OF CASH FLOWS
                            (in thousands)
                             (unaudited)


                                                 Twelve Months Ended
                                                      December 31,
                                                 ---------------------
                                                    2007       2006
                                                 ---------- ----------
CASH FLOWS FROM OPERATING ACTIVITIES:
   Net income                                    $  22,519  $  15,298
   Adjustments to reconcile net income to net
    cash provided by operating activities:
      Provision for doubtful accounts                2,419      2,052
      Depreciation and amortization                  9,241      8,097
      Amortization of debt issuance costs            1,096      3,048
      Stock-based compensation expense               6,134      1,686
      Employee stock purchase plan expense              35          -
      Stock issued in lieu of director's fees            -         20
      Loss on disposal of fixed assets                 214         28
      Deferred income taxes                         (2,464)     1,874
      Change in assets and liabilities:
         Accounts receivable, net                  (17,586)   (17,708)
         Prepaid expenses and other assets          (1,794)     2,980
         Accounts payable and accrued expenses       3,343      8,662
         Interest payable on shareholder notes           -     (5,467)
         Income taxes payable                        2,544        294
         Excess tax benefit from stock option
          exercises                                 (1,759)         -
         Other tax liabilities                          21          -
         Other long-term liabilities                  (120)       661
         Deferred revenues                          (4,748)    (3,083)
                                                 ---------- ----------
            Net Cash Provided by Operating
             Activities                             19,095     18,442
                                                 ---------- ----------

CASH FLOWS FROM INVESTING ACTIVITIES:
   Acquisitions, net of cash acquired               (6,101)   (32,769)
   Purchase of property and equipment               (9,055)    (4,671)
   Capitalized software development costs             (412)      (856)
                                                 ---------- ----------
            Net Cash Used in Investing
             Activities                            (15,568)   (38,296)
                                                 ---------- ----------

CASH FLOWS FROM FINANCING ACTIVITIES:
   Issuance of common stock                                87            1,051
      Sale  of  common  stock  in  initial  public
        offering,  net  of  offering  costs                                  42,991                    -
      Proceeds  from  exercise  of  stock  options                      3,950                  12
      Excess  tax  benefit  from  stock  option
        exercises                                                                                1,759                    7
      Redemption  of  stock  and  shareholder  payments
        in  recapitalization                                                          (4,780)        (7,038)
      Proceeds  from  the  issuance  of  debt                              22,500        125,000
      Debt  issuance  costs                                                                      -          (1,312)
      Repayment  of  debt                                                              (59,712)    (108,900)
                                                                                                  ----------  ----------
                        Net  Cash  Provided  by  Financing
                          Activities                                                            6,795            8,820
                                                                                                  ----------  ----------

IMPACT  OF  FOREIGN  EXCHANGE  RATES  ON  CASH  AND
  CASH  EQUIVALENTS                                                                            102                  22
                                                                                                  ----------  ----------

NET  INCREASE  (DECREASE)  IN  CASH  AND  CASH
  EQUIVALENTS                                                                                10,424        (11,012)

CASH  AND  CASH  EQUIVALENTS--Beginning  of  year                  6,667          17,679
                                                                                                  ----------  ----------

CASH  AND  CASH  EQUIVALENTS--End  of  year                      $    17,091    $      6,667
                                                                                                  ==========  ==========

 


« Previous Page 1 | 2 | 3 | 4 | 5 | 6  Next Page »
Featured Video
Latest Blog Posts
Jobs
Geoprocessing Product Engineer II for ESRI at Redlands, California
Sr. GIS Apps Product Engineer for ESRI at Portland, Oregon
Business Development Manager for Berntsen International, Inc. at Madison, Wisconsin
Sr. GIS Apps Product Engineer for ESRI at Portland, ME, Maine
Senior Principal Software Engineer for Autodesk at San Francisco, California
Senior Principal Mechanical Engineer for General Dynamics Mission Systems at Canonsburg, Pennsylvania
Upcoming Events
GeoBuiz Summit 2025 at Hyatt Regency Aurora-Denver Conference Center. Denver CO - Jan 13 - 15, 2025
Coastal GeoTools 2025 Conference at 301 North Water Street - Jan 27 - 30, 2025
GEO Week 2025 at Colorado Convention Center Denver CO - Feb 10 - 12, 2025



© 2025 Internet Business Systems, Inc.
670 Aberdeen Way, Milpitas, CA 95035
+1 (408) 882-6554 — Contact Us, or visit our other sites:
AECCafe - Architectural Design and Engineering EDACafe - Electronic Design Automation TechJobsCafe - Technical Jobs and Resumes  MCADCafe - Mechanical Design and Engineering ShareCG - Share Computer Graphic (CG) Animation, 3D Art and 3D Models
  Privacy PolicyAdvertise