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Finance

Last 30 days · money in, money out, what is owed

Net sales
$261,738.30
Last 30 days
Expenses
$118,811.97
15 expenses, last 30 days
Operating profit
$47,814.84
Gross profit $166,626.81 less expenses
Cash and bank
$89,832.95
4 accounts

Money in and out

By week · last 8 weeks

Net sales and expenses by week
Week startingNet salesExpenses
Aug 10$59,638$1,176
Aug 17$60,102$32,369
Aug 24$61,187$4,376
Aug 31$59,756$80,859
Sep 7$59,839$979
Sep 14$60,652$31,111
Sep 21$60,452$6,497
Sep 28$61,457$79,812

Expenses by category

Last 30 days

  • Payroll$60,543.0051%
  • Rent$27,000.0023%
  • Salaries$18,000.0015%
  • Card fees$4,139.463%
  • Utilities$3,831.743%
  • Supplies$2,055.662%
  • Insurance$1,231.371%
  • Marketing$1,016.83<1%
  • Repairs$570.37<1%
  • Software$423.54<1%
Expenses by category
CategoryAmount
Payroll$60,543
Rent$27,000
Salaries$18,000
Card fees$4,139
Utilities$3,832
Supplies$2,056
Insurance$1,231
Marketing$1,017
Repairs$570
Software$424

Invoices to collect

10 open · $3,037.16 outstanding

Invoices to collect
InvoiceCustomerDueOutstandingStatus
INV-2026098Pine & Oak CateringOct 10$730.84Sent
INV-2026097Riverbend ClinicOct 7$146.85Partly paid
INV-2026095Old Town YogaOct 1$183.63Partly paid
INV-2026090Bayview DentalSep 16$273.92Overdue
INV-2026086Pine & Oak CateringSep 4$105.22Partly paid
INV-2026083Old Town YogaAug 26$239.76Overdue