2025 Bank Report
2/1/2025 - 2/28/2025
964707
Summary
Expenditures [3]
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Filer:
Wood , Scott (16766)
Filing Bank:
TD Bank
Filed On:
Monday, March 3, 2025
Reporting Period:
2/1/2025 - 2/28/2025
Beginning Balance:
$15,546.45
Total Receipts this period:
$0.00
Subtotal:
$15,546.45
Total Expenditures this period:
$37.52
Checking Ending Balance:
$15,508.93
Savings Balance as of 2/28/2025:
$0.00
Cash On Hand as of 2/28/2025:
$15,508.93
Date
Name/Address
Type
Purpose
Amount
Total Expenditures this Period:
$37.52
2/18/2025
INTL TXN FEE
Bank-Reported
INTL TXN FEE
$0.87
2/18/2025
SENDINBLUE
Bank-Reported
DEBIT CARD
(Email Service)
$29.00
2/18/2025
WIX
Bank-Reported
DEBIT CARD
(Website Fee)
$7.65