Cash and spending from May 30, 2018 to Jul 5, 2018

Opening balance $200,621.33
+ Total contributions $9,122.85
Loans $9,122.85
– Total expenditures $83,696.87
= Closing balance $126,047.31

Debts for the period ending Jul 5, 2018

Outstanding debt $28,973.35

Net funds over time

Donations and expenditures over time