marketcaparena

MNY

MoneyHero Ltd

Company overview

Market capitalization
—
Employees
240
Latest publication
2026-09-29
About MoneyHero Ltd

MoneyHero Limited operates a personal finance aggregation and comparison platform for banking, insurance, and other financial products. Its online financial comparison platform provides services for credit cards, personal loans, mortgages, wealth, insurance, and other financial products connecting the providers of these products with matched and ready-to-transact consumers. The company's brand portfolio includes B2C platforms, such as MoneyHero, SingSaver, Money101, Moneymax, and Seedly, as well as Creatory, a B2B platform. It also offers advertising and marketing, and insurance brokerage services. The company operates in Singapore, Hong Kong, Taiwan, and the Philippines. The company was founded in 2014 and is headquartered in Singapore.

Company website

Financial statements

Income Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USDQ2 20242024-06-30 · USD
Total Revenue19,966,381USD19,966,381USD21,124,000USD18,022,000USD14,314,000USD15,723,000USD20,939,000USD20,674,000USD
Cost Of Revenue9,490,631USD9,490,631USD16,483,000USD9,101,000USD6,363,000USD7,496,000USD12,246,000USD13,795,000USD
Gross Profit10,475,750USD10,475,750USD4,641,000USD8,921,000USD7,951,000USD8,227,000USD8,693,000USD6,879,000USD
Selling General Administrative7,264,421USD11,513,948USD3,467,000USD6,052,000USD6,544,000USD17,246,281USD8,203,000USD9,934,000USD
Selling And Marketing Expenses4,249,527USD——4,548,000USD4,584,000USD——6,581,000USD
Total Operating Expenses11,913,069USD21,403,700USD6,546,000USD11,522,000USD10,991,000USD17,749,000USD5,041,000USD20,558,000USD
Operating Income-1,437,319USD-1,437,319USD-1,905,000USD-2,601,000USD-3,040,000USD-9,522,000USD3,652,000USD-13,679,000USD
Interest Expense14,629USD14,629USD13,000USD13,000USD14,000USD6,700USD4,000USD5,000USD
Income Before Tax554,430USD554,430USD-3,474,000USD230,000USD-2,449,000USD-18,737,000USD5,754,000USD-12,217,000USD
Income Tax Expense25,405USD——15,000USD19,000USD19,000USD33,000USD5,000USD
Net Income528,025USD528,025USD-3,474,000USD216,000USD-2,449,000USD-18,756,000USD5,721,000USD-12,223,000USD
Ebit-218,077USD—-2,774,000USD-2,603,635USD-2,435,000USD-18,728,000USD5,757,000USD-12,212,000USD
Ebitda569,059USD—-2,696,742USD243,000USD-2,357,742USD-17,835,000USD6,842,000USD-11,146,000USD
Depreciation And Amortization49,506USD—77,258USD129,957USD77,258USD893,000USD1,085,000USD1,066,000USD
Total Other Income Expense Net1,991,749USD1,424,834USD-1,569,000USD2,831,000USD591,000USD-9,215,000USD2,102,000USD1,462,000USD
Unclassified Operating Expenses—9,889,752USD2,210,000USD———-3,162,000USD4,043,000USD
Net Interest Income—566,915USD-13,000USD-13,000USD-14,000USD1,469,964USD-4,000USD-5,000USD
Tax Provision—25,405USD0USD15,000USD0USD18,928USD33,000USD5,000USD
Net Income From Continuing Ops—529,025USD-3,474,000USD215,000USD-2,449,000USD-18,186,339USD5,721,000USD-12,222,000USD
Research Development——869,000USD—————
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Income Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USDFY 20222022-12-31 · USDFY 20212021-12-31 · USDFY 20202020-12-31 · USD
Total Revenue73,426,381USD79,511,000USD80,671,081USD68,132,256USD61,882,481USD—
Cost Of Revenue37,283,631USD50,223,000USD43,929,982USD33,881,248USD29,880,855USD—
Gross Profit36,142,750USD29,288,000USD36,741,099USD-38,871USD32,001,626USD—
Selling General Administrative26,615,421USD39,693,478USD108,683,914USD48,144,688USD37,554,480USD—
Selling And Marketing Expenses17,329,527USD———15,624,780USD—
Unclassified Operating Expenses3,007,121USD17,576,436USD-41,916,388USD-13,764,791USD2,993,005USD—
Total Operating Expenses46,952,069USD64,697,000USD66,767,526USD40,934,151USD61,231,213USD238,199USD
Operating Income-10,809,319USD-40,191,707USD-30,026,427USD-40,973,022USD-29,229,587USD-238,200USD
Interest Income581,768USD1,478,436USD872,503USD28,043USD14,734USD—
Interest Expense53,629USD25,472USD19,028,007USD7,796,413USD1,700,137USD—
Net Interest Income527,915USD1,452,964USD-18,155,504USD-7,772,554USD-1,687,723USD—
Income Before Tax-5,138,570USD-37,678,000USD-172,537,530USD-49,693,594USD-30,970,178USD-90,424,867USD
Income Tax Expense40,405USD109,000USD62,983USD-251,779USD-38,173USD-206,297USD
Tax Provision40,405USD108,928USD62,983USD-251,779USD-38,173USD—
Net Income-5,178,975USD-37,787,000USD-172,600,513USD-49,441,815USD-30,932,005USD-90,424,867USD
Net Income From Continuing Ops-5,178,975USD-37,787,339USD-172,600,513USD-49,441,815USD-30,932,005USD—
Ebit-5,084,941USD-37,653,000USD-153,513,532USD-41,897,181USD-29,270,041USD-90,424,867USD
Ebitda-4,072,435USD-33,610,000USD-146,348,855USD-37,108,431USD-25,369,693USD-90,218,570USD
Depreciation And Amortization1,012,506USD4,043,000USD7,164,677USD4,788,750USD3,900,348USD206,297USD
Reconciled Depreciation1,012,506USD4,042,969USD7,164,677USD4,788,750USD3,900,348USD—
Total Other Income Expense Net5,670,749USD2,513,296USD-142,511,103USD-8,720,572USD-1,740,591USD-90,186,667USD
Research Development—7,427,086USD—6,554,254USD5,058,948USD—
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Balance sheet Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USDQ2 20242024-06-30 · USD
Total Assets76,645,338USD76,645,338USD75,901,000USD77,422,000USD76,531,000USD79,775,000USD90,998,000USD98,244,000USD
Intangible Assets625,859USD625,859USD—1,398,000USD1,215,000USD1,017,983USD6,080,000USD6,177,000USD
Other Current Assets5,279,785USD—7,572,000USD10,376,000USD9,412,000USD9,041,000USD197,000USD182,000USD
Total Liab37,234,629USD37,234,629USD37,482,000USD34,490,000USD31,690,000USD31,548,000USD34,325,000USD37,858,000USD
Total Stockholder Equity39,410,709USD39,410,709USD38,419,000USD42,932,000USD44,841,000USD48,227,000USD56,673,000USD60,386,000USD
Other Current Liab1,176,632USD1,130,168USD2,975,000USD1,266,000USD949,000USD1,496,000USD10,139,000USD11,656,000USD
Common Stock4,588USD—5,000USD5,000USD4,000USD4,000USD4,000USD4,000USD
Cash12,250,679USD31,185,296USD27,924,000USD30,173,000USD36,822,000USD42,522,000USD47,657,000USD56,497,000USD
Cash And Short Term Investments31,370,442USD—27,924,000USD30,173,000USD36,822,000USD42,707,000USD47,657,000USD56,497,000USD
Total Current Assets74,311,449USD74,311,449USD72,370,000USD74,274,000USD73,472,000USD77,174,000USD83,771,000USD91,367,000USD
Total Current Liabilities36,814,150USD36,814,150USD36,863,000USD33,961,000USD31,007,000USD31,039,000USD34,073,000USD37,617,000USD
Current Deferred Revenue633,780USD——————9,927,000USD
Net Debt-11,308,715USD—-26,787,000USD-29,270,000USD-35,773,000USD-41,786,000USD-47,416,000USD-56,145,000USD
Short Term Debt702,287USD—764,000USD628,000USD625,000USD442,000USD474,000USD694,000USD
Short Long Term Debt Total941,964USD—1,137,000USD903,000USD1,049,000USD736,000USD241,000USD352,000USD
Short Term Investments19,119,763USD———185,000USD185,000USD——
Net Receivables36,686,434USD18,745,572USD36,874,000USD33,725,000USD27,238,000USD25,426,000USD35,917,000USD34,688,000USD
Inventory974,788USD974,788USD——————
Accounts Payable34,301,451USD34,935,231USD33,122,000USD32,065,000USD29,400,000USD29,101,000USD23,427,000USD25,267,000USD
Property Plant Equipment Net1,105,825USD1,105,825USD1,322,000USD1,087,000USD1,208,000USD959,000USD521,000USD675,000USD
Accumulated Other Comprehensive Income39,406,121USD—38,414,000USD42,927,000USD44,837,000USD—56,669,000USD60,382,000USD
Common Stock Shares Outstanding43,827,090shares43,476,607shares34,740,000shares42,585,314shares42,513,976shares41,903,485shares41,546,401shares40,743,333shares
Non Current Assets Total2,333,888USD2,333,889USD3,531,000USD3,148,000USD3,059,000USD2,601,000USD7,227,000USD6,877,000USD
Non Current Liabilities Total420,479USD420,479USD619,000USD529,000USD682,999USD509,000USD252,000USD241,000USD
Non Currrent Assets Other58,204USD—159,000USD63,000USD36,000USD23,999USD26,000USD25,000USD
Capital Stock—4,588USD5,000USD5,000USD4,000USD4,363USD4,000USD4,000USD
Retained Earnings—-381,387,063USD——-376,208,088USD-376,208,088USD——
Long Term Investments—544,000USD600,000USD600,000USD600,000USD600,000USD600,000USD—
Property Plant Equipment Gross—2,479,903USD1,322,000USD1,087,000USD1,208,000USD2,362,494USD521,000USD675,000USD
Net Working Capital—37,497,299USD35,507,000USD40,313,000USD42,465,000USD46,134,766USD49,698,000USD53,750,000USD
Unclassified Current Assets—23,405,793USD——————
Unclassified Equity—420,793,184USD——376,204,088USD424,426,725USD——
Good Will——1,450,000USD—————
Non Current Liabilities Other——-2,000USD-1,000USD————
Other Assets—————1USD——
Unclassified Current Liabilities———————-9,927,000USD
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Balance sheet Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USDFY 20222022-12-31 · USDFY 20212021-12-31 · USDFY 20202020-12-31 · USD
Total Assets76,645,338USD79,775,000USD115,047,238USD64,251,681USD596,163,317USD597,055,232USD
Intangible Assets625,859USD1,017,983USD7,294,083USD14,406,672USD1,669,187USD—
Other Current Assets5,279,785USD9,041,000USD5,044,116USD3,523,947USD-23,437,473USD434,662USD
Total Liab37,234,629USD31,548,000USD35,962,889USD48,429,801USD45,319,901USD135,258,823USD
Total Stockholder Equity39,410,709USD48,227,000USD79,084,349USD15,821,880USD550,843,416USD461,796,409USD
Other Current Liab1,176,632USD1,054,122USD9,980,667USD21,069,990USD-13,018,530USD952,423USD
Common Stock4,588USD4,000USD4,200USD2,020USD594,994,997USD594,994,997USD
Capital Stock4,588USD4,363USD4,200USD2,020USD——
Retained Earnings-381,387,063USD-376,208,088USD-338,420,749USD-165,820,236USD-44,151,581USD-133,198,588USD
Cash12,250,679USD42,522,000USD68,641,016USD24,077,695USD156,127USD1,500,497USD
Cash And Short Term Investments31,370,442USD42,707,000USD68,641,016USD24,077,695USD156,127USD1,500,497USD
Total Current Assets74,311,449USD77,174,000USD106,946,873USD48,644,055USD712,794USD1,935,159USD
Total Current Liabilities36,814,150USD31,039,000USD35,707,926USD39,011,141USD3,949,180USD1,252,423USD
Current Deferred Revenue633,780USD—1,312,735USD301,986USD——
Net Debt-11,308,715USD-41,786,000USD-68,034,955USD-14,546,816USD643,873USD-1,200,497USD
Short Term Debt702,287USD883,878USD574,630USD985,470USD800,000USD300,000USD
Short Long Term Debt Total941,964USD736,000USD606,061USD9,530,879USD800,000USD300,000USD
Long Term Investments544,000USD600,000USD0USD———
Short Term Investments19,119,763USD185,000USD1,465,814USD391,766USD——
Net Receivables36,686,434USD25,426,000USD33,261,741USD24,370,477USD23,994,140USD—
Inventory974,788USD—-4,666,626USD-3,328,064USD——
Accounts Payable34,301,451USD29,101,000USD23,839,894USD16,653,695USD16,167,710USD—
Property Plant Equipment Net1,105,825USD959,000USD780,210USD1,072,027USD——
Property Plant Equipment Gross2,479,903USD2,362,494USD1,990,449USD2,264,511USD——
Accumulated Other Comprehensive Income39,406,121USD55,155,498USD14,076,929USD2,558,718USD——
Common Stock Shares Outstanding42,810,568shares41,906,399shares33,677,143shares37,226,906shares74,374,189shares74,374,189shares
Non Current Assets Total2,333,888USD2,601,000USD8,100,365USD15,607,626USD595,450,523USD595,120,073USD
Non Current Liabilities Total420,479USD509,000USD254,963USD9,418,660USD41,370,721USD134,006,400USD
Non Currrent Assets Other58,204USD24,000USD-53,374,155USD-152,234,066USD-6,013,141USD—
Net Working Capital37,497,299USD46,134,766USD71,238,947USD9,632,914USD——
Unclassified Equity381,382,475USD369,271,227USD403,419,769USD179,079,358USD——
Other Assets—1USD————
Good Will——0USD0USD4,343,954USD—
Unclassified Current Assets——-1,465,814USD-3,719,830USD-23,437,473USD—
Long Term Debt———8,745,192USD——
Unclassified Non Current Assets————589,437,382USD595,120,073USD
Unclassified Current Liabilities————-13,018,530USD—
Unclassified Non Current Liabilities————41,370,721USD134,006,400USD
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Cash flow Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USDQ2 20242024-06-30 · USD
Net Income528,025USD528,025USD-3,474,000USD216,000USD-2,449,000USD-18,186,339USD5,721,000USD-12,222,745USD
Depreciation49,506USD———————
Other Non Cash Items-577,531USD—3,403,000USD-520,000USD2,008,000USD—-5,631,000USD11,208,021USD
Capital Expenditures0USD0USD0USD0USD0USD0USD0USD0USD
Change In Cash-15,856,321USD———————
Begin Period Cash Flow28,107,000USD28,107,000USD——————
End Period Cash Flow12,250,679USD28,107,000USD28,107,000USD—————
Stock Based Compensation——71,000USD304,000USD441,000USD—-90,000USD1,014,724USD
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Cash flow Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USDFY 20222022-12-31 · USDFY 20212021-12-31 · USDFY 20202020-12-31 · USD
Net Income-5,178,975USD-37,678,411USD-172,600,513USD-49,441,815USD-30,970,178USD-90,424,867USD
Depreciation1,012,505USD4,042,969USD7,164,677USD4,788,750USD3,900,348USD—
Stock Based Compensation1,288,714USD3,179,214USD67,027,178USD15,312,950USD9,352,862USD—
Other Non Cash Items-2,665,647USD6,349,466USD85,055,961USD12,880,895USD9,845,701USD90,191,668USD
Change To Account Receivables-10,947,943USD7,202,121USD-7,396,057USD2,733,293USD-11,144,080USD—
Change In Working Capital-3,416,563USD-781,426USD-3,690,008USD1,849,816USD-6,514,071USD200,644USD
Total Cash From Operating Activities-10,248,680USD-24,888,188USD-17,042,705USD-14,609,404USD-14,385,338USD-32,555USD
Capital Expenditures-122,640USD-1,734,657USD-2,214,958USD-4,989,475USD-5,447,891USD-5USD
Free Cash Flow-10,371,320USD-26,622,845USD-19,257,663USD-19,598,879USD-19,833,229USD-32,555USD
Total Cashflows From Investing Activities-258,316USD-256,823USD-1,342,262USD-4,975,343USD-5,475,113USD-594,993,511USD
Net Borrowings-724,633USD-721,892USD-28,451,735USD34,790,032USD12,364,506USD—
Total Cash From Financing Activities-724,599USD-721,733USD63,061,729USD34,790,032USD11,584,506USD596,526,563USD
Change In Cash-10,569,574USD-26,119,496USD44,563,321USD14,887,409USD-8,420,349USD1,500,497USD
Begin Period Cash Flow22,820,253USD68,641,016USD24,077,695USD9,190,286USD17,610,635USD—
End Period Cash Flow12,250,679USD42,521,520USD68,641,016USD24,077,695USD9,190,286USD1,500,497USD
Other Cashflows From Investing Activities523,173USD80,685USD872,696USD5,129USD-27,222USD—
Unclassified Operating Cash Flow-1,288,714USD—————
Investments—-256,823USD-1,342,262USD-4,975,343USD-5,475,113USD—
Unclassified Investing Cash Flow—1,653,972USD1,342,262USD4,984,346USD5,475,113USD-594,993,506USD
Other Cashflows From Financing Activities——91,513,464USD-4,975,343USD-779,700USD257,269USD
Unclassified Financing Cash Flow———4,975,343USD—596,269,294USD
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Operating metrics

No operating metrics are currently published for this company.

Revenue breakdown

No revenue breakdown is currently published for this company.

Periods follow company fiscal calendars. Quarterly, annual and year-to-date amounts are shown separately. Missing values are not zero. Data may be delayed, incomplete or corrected; follow the disclosure links to verify figures.