ReskillReskill Corp.291A東証グロースサービス業FY ending Mar 2026, non-consolidated, J-GAAP

What does Reskill do with its cash?

How cash from operations was spent on investment, dividends, buybacks and more.

Operating cash flow
¥639.8M
Capex
—
of revenue —
Free cash flow
—
Returned to shareholders
¥150.6M
of net income: 25%

Cash flow ratios

Cash conversion, investment and shareholder payments calculated from disclosed figures.

Net income¥601M
Operating cash flow¥639.8M
Cash conversion (operating CF ÷ operating income)
71.2%
Cash vs. profit gap
¥38.8M(純利益の 6.5%)
Investing CF relative to operating CF
14.0%

Nonpositive profit and free cash flow are omitted as ratio denominators. Amounts use the period's reported currency.

Five-year trend

Operating cash flow¥639.8M
FY ending Mar 2024: ¥265.4M¥265.4MFY ending Mar 2025: ¥552.1M¥552.1MFY ending Mar 2026: ¥639.8M¥639.8MFY24FY25FY26
Free cash flow—
FY ending Mar 2024: ¥263.4M¥263.4MFY ending Mar 2025: ¥551.4M¥551.4MFY24FY25FY26
Net income¥601M
FY ending Mar 2024: ¥285.1M¥285.1MFY ending Mar 2025: ¥473.8M¥473.8MFY ending Mar 2026: ¥601M¥601MFY24FY25FY26

How to read this

  • Operating cash flow is the cash the core business actually brought in, including changes in receivables and inventory.
  • Free cash flow = operating cash flow − capital expenditure: a gauge of cash available for other uses.
  • Large "borrowing" or "cash drawdown" flows mean the company spent more than it generated that year.

Sources

Show source documents (2)
  • EDINET (FSA Japan)

    有価証券報告書-第4期(2025/04/01-2026/03/31)

    ID S100YI712026-06-23Open
  • EDINET (FSA Japan)

    有価証券報告書-第3期(2024/04/01-2025/03/31)

    ID S100W9R32025-06-30Open

Extracted from XBRL: 41

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