The Company generated positive cash from operating activities of $1.0 Mfor FY 2024, compared to cash used in operating activities of $5.2 M in FY2023, a significant improvement in operating cash flow of $6.2M.
The Company generated positive cash from operating activities of $1.0 Mfor FY 2024, compared to cash used in operating activities of $5.2 M in FY2023, a significant improvement in operating cash flow of $6.2M.