Export to PDF
  • Filer:
    McCabe, Michael A. (17208)
  • Filing Bank:
    Westfield Bank
  • Filed On:
    Wednesday, February 5, 2025
  • Reporting Period:
    1/1/2025 - 1/31/2025
  • Beginning Balance:
    $10,693.42
  • Total Receipts this period:
    $0.00
  • Subtotal:
    $10,693.42
  • Total Expenditures this period:
    $293.25
  • Checking Ending Balance:
    $10,400.17
  • Savings Balance as of 1/31/2025:
    $0.00
  • Cash On Hand as of 1/31/2025:
    $10,400.17