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Account statement

Operating account · Pacific Coast Bank •••• 4821 · last 30 days

Opening balance
$71,142.63
Sep 4
Money in
$155,116.89
Money out
$178,048.97
Closing balance
$48,210.55
Today
Account statement
Date Description Reference Amount Balance
Oct 4 Card settlement, Oct 3 STL-5548 +$6,435.64 $48,210.55
Oct 3 Card settlement, Oct 2 STL-5547 +$5,340.28 $41,774.91
Oct 3 Supplies EX-879 −$400.98 $36,434.63
Oct 3 Card fees EX-880 −$4,139.46 $36,835.61
Oct 2 Card settlement, Oct 1 STL-5546 +$4,801.28 $40,975.07
Oct 2 Salaries EX-878 −$18,000.00 $36,173.79
Oct 2 Transfer to Tax reserve MT-95 −$6,200.00 $54,173.79
Oct 1 Owner's draw OD-39 −$24,000.00 $60,373.79
Oct 1 Card settlement, Sep 30 STL-5545 +$5,010.82 $84,373.79
Oct 1 Rent EX-877 −$27,000.00 $79,362.97
Sep 30 Card settlement, Sep 29 STL-5544 +$4,786.28 $106,362.97
Sep 30 Payment to Northfield Packaging SP-764 −$261.60 $101,576.69
Sep 30 Payment to Cacao Co. SP-770 −$404.40 $101,838.29
Sep 29 Card settlement, Sep 28 STL-5543 +$4,597.24 $102,242.69
Sep 28 Card settlement, Sep 27 STL-5542 +$5,224.04 $97,645.45
Sep 28 Payment to Clearwater Springs SP-769 −$145.20 $92,421.41
Sep 28 Transfer to Payroll account MT-94 −$30,271.50 $92,566.61
Sep 27 Card settlement, Sep 26 STL-5541 +$6,136.85 $122,838.11
Sep 26 Card settlement, Sep 25 STL-5540 +$5,784.36 $116,701.26
Sep 26 Supplies EX-874 −$417.46 $110,916.90
Sep 26 Utilities EX-875 −$3,831.74 $111,334.36
Sep 26 Payment to Sweet Drop Syrups SP-762 −$333.60 $115,166.10
Sep 26 Payment to Fresh Valley Dairy SP-768 −$140.40 $115,499.70
Sep 26 Transfer from Cash in safes MT-93 +$2,840.00 $115,640.10
Sep 25 Card settlement, Sep 24 STL-5539 +$4,441.38 $112,800.10
Sep 24 Card settlement, Sep 23 STL-5538 +$4,785.98 $108,358.72
Sep 24 Marketing EX-873 −$1,016.83 $103,572.74
Sep 24 Payment to Harbourline Merch SP-761 −$1,768.80 $104,589.57
Sep 23 Card settlement, Sep 22 STL-5537 +$4,423.76 $106,358.37
Sep 22 Card settlement, Sep 21 STL-5536 +$5,120.70 $101,934.61
Sep 22 Insurance EX-872 −$1,231.37 $96,813.91
Sep 21 Card settlement, Sep 20 STL-5535 +$5,485.31 $98,045.28
Sep 20 Card settlement, Sep 19 STL-5534 +$6,410.45 $92,559.97
Sep 19 Card settlement, Sep 18 STL-5533 +$5,038.57 $86,149.52
Sep 19 Supplies EX-870 −$415.83 $81,110.95
Sep 19 Software EX-871 −$423.54 $81,526.78
Sep 18 Card settlement, Sep 17 STL-5532 +$4,916.29 $81,950.32
Sep 17 Card settlement, Sep 16 STL-5531 +$4,444.98 $77,034.03
Sep 17 Payment to Hillside Farm SP-767 −$252.00 $72,589.05
Sep 16 Owner's draw OD-40 −$24,000.00 $72,841.05
Sep 16 Card settlement, Sep 15 STL-5530 +$4,750.65 $96,841.05
Sep 16 Payment to Sunny Orchard Juices SP-765 −$130.80 $92,090.40
Sep 15 Card settlement, Sep 14 STL-5529 +$4,989.46 $92,221.20
Sep 14 Card settlement, Sep 13 STL-5528 +$5,563.27 $87,231.74
Sep 14 Payment to Blue Harbour Roasters SP-757 −$522.60 $81,668.47
Sep 14 Transfer to Payroll account MT-92 −$30,271.50 $82,191.07
Sep 13 Card settlement, Sep 12 STL-5527 +$5,822.59 $112,462.57
Sep 13 Payment to Golden Crust Bakery SP-766 −$72.00 $106,639.98
Sep 12 Card settlement, Sep 11 STL-5526 +$5,759.93 $106,711.98
Sep 12 Supplies EX-868 −$408.93 $100,952.05
Sep 12 Payment to Meadow Bees SP-763 −$220.80 $101,360.98
Sep 12 Transfer from Cash in safes MT-91 +$2,310.00 $101,581.78
Sep 11 Card settlement, Sep 10 STL-5525 +$4,608.17 $99,271.78
Sep 10 Card settlement, Sep 9 STL-5524 +$4,349.15 $94,663.61
Sep 10 Repairs EX-867 −$570.37 $90,314.46
Sep 10 Payment to Green Leaf Teas SP-755 −$151.20 $90,884.83
Sep 9 Card settlement, Sep 8 STL-5523 +$4,521.69 $91,036.03
Sep 8 Card settlement, Sep 7 STL-5522 +$4,927.79 $86,514.34
Sep 7 Card settlement, Sep 6 STL-5521 +$5,326.43 $81,586.55
Sep 6 Card settlement, Sep 5 STL-5520 +$6,163.55 $76,260.12
Sep 6 Payment to Northfield Packaging SP-753 −$369.60 $70,096.57
Sep 6 Payment to Cacao Co. SP-760 −$264.00 $70,466.17
Sep 5 Supplies EX-866 −$412.46 $70,730.17