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Cash Flow Statement

Detailed overview of inflows, outflows, and net cash movement for FY 2023.

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Total Inflow

$1,250,000.00

arrow_upward 12.5% vs last month
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Total Outflow

$980,500.00

arrow_upward 5.2% vs last month
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Net Cash Flow

$269,500.00

remove 0.0% Target reached
savings

Closing Balance

$4,100,230.50

arrow_upward 8.4% vs last year

Monthly Inflow vs Outflow

Jan
Feb
Mar
Apr
May
Jun
Inflow
Outflow
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Date arrow_downward
Category Description Inflow (+) Outflow (-) Running Balance
Oct 24, 2023 Top-up Wire Transfer from JP Morgan +$50,000.00 - $4,100,230.50
Oct 23, 2023 Fee Monthly Maintenance - $50.00 $4,050,230.50
Oct 22, 2023 Transfer Payroll Disbursement - $120,000.00 $4,050,280.50
Oct 21, 2023 Top-up ACH Deposit: Stripe Inc. +$24,500.00 - $4,170,280.50
Oct 20, 2023 Transfer Vendor Payment: AWS Services - $4,200.00 $4,145,780.50