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  "documentTitle": "Enfusion | Results Presentation Deck | 21 slides",
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      "text": "(dollars in thousands) (Unaudited)",
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      "kind": "source-note",
      "text": "©2023 ENFUSION. ALL RIGHTS RESERVED.",
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      "text": "Six Months Ended June 30,\n2023\n2022\nCash flows from operating activities:\nNet income (loss)\n$ 5,692\n$ (16,649)\nAdjustments to reconcile net income (loss) to net cash provided by (used in) operating activities:\nNon-cash lease expense\n3,256\n2,550\nDepreciation and amortization\n3,950\n2,955\nProvision for credit losses\n688\n459\nAmortization of debt-related costs\n13\n13\nStock-based compensation expense\n1,431\n20,350\nChange in operating assets and liabilities:\nAccounts receivable\n(148)\n(11,007)\nPrepaid expenses and other assets\n(430)\n1,316\nAccounts payable\n(817)\n(1,970)\nAccrued compensation\n(3,981)\n3,860\nAccrued expenses and other liabilities\n375\n(540)\nLease liabilities\n(3,087)\n(2,544)\nNet cash provided by (used in) operating activities\n6,942\n(1,207)\nCash flows from investing activities:\nPurchases of property and equipment\n(4,769)\n(5,263)\nNet cash used in investing activities\n(4,769)\n(5,263)\nCash flows from financing activities:\nSettlement of tax receivable acquired in reorganization transaction\n1,501\n—\nIssuance of Class A common stock, net of issuance costs\n9,692\n—\nPayment of withholding taxes on stock-based compensation\n(48,080)\n(897)\nOther\n(308)\n—\nNet cash used in financing activities\n(37,195)\n(897)\nEffect of exchange rate changes on cash and cash equivalents\n248\n(439)\nNet decrease in cash and cash equivalents\n(34,774)\n(7,806)\nCash and cash equivalents, beginning of period\n62,545\n64,365\nCash and cash equivalents, end of period\n$ 27,771\n$ 56,559",
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      "text": "CONSOLIDATED STATEMENTS OF CASH FLOWS",
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