-86%

est. 2Y upside i

FinTechSeries A

Easier and more reliable mobile app releases for teams.

Rank

#3799

Sector

Financial Software / FP&A SaaS

Est. Liquidity

~6Y

Data Quality

Data: Low

No disclosed revenue, no Series B after 2.5 years, ~26-person team.

Last updated: March 20, 2026

Bull (15%)+350%

$15-20M ARR, acquired at 8-10x for ~$150-200M, yielding ~3.5x.

Base (45%)-30%

Flat/down Series B, heavy dilution, liquidity 6-8 years away.

Bear (40%)-85%

Fails to raise Series B, burns capital, acqui-hire sub-$10M, preferences wipe common.

Est. time to liquidity~6.0 years

Preference Stack Risk

high

$33.5M preferences; exits under ~$60-70M return nothing to common.

Dilution Risk

high

Series B will issue 20-25% new equity, possibly at flat/down round.

Secondary Liquidity

none

No secondary market activity; 5-8 year illiquidity.

EPD 3 roles

Go-To-Market 2 roles

View all 5 open roles at Runway

Last updated: March 10, 2026

Questions to Ask at the Interview

Strategic questions based on Runway's data — designed to show you've done your homework.

  • 1

    Current ARR and Series B pipeline?

  • 2

    Liquidation preference structure?

  • 3

    Paid vs trial customers and ACV?

Community

Valuation Sentiment

Our model estimates -86% upside. What do you think?

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Disclaimer: This analysis is AI-generated and does not constitute financial or career advice. Always conduct your own due diligence.