2021 Bank Report
4/1/2021 - 4/30/2021
780092
Summary
Expenditures [1]
Export to PDF
Filer:
Sutter, C. Samuel (14482)
Filing Bank:
Mechanics Cooperative Bank
Filed On:
Monday, May 3, 2021
Reporting Period:
4/1/2021 - 4/30/2021
Beginning Balance:
$1,390.14
Total Receipts this period:
$0.00
Subtotal:
$1,390.14
Total Expenditures this period:
$25.00
Checking Ending Balance:
$1,365.14
Savings Balance as of 4/30/2021:
$0.00
Cash On Hand as of 4/30/2021:
$1,365.14
Date
Name/Address
Type
Purpose
Amount
Total Expenditures this Period:
$25.00
4/30/2021
MONTHLY SERVICE FEE
Bank-Reported
$25.00