What i spent in february 2022
Posted 03-01-2022 at 03:57 PM by TNSLPPTSO13
DEBT PAYMENTS:............................$2310
NEW INTEREST CHGD...................$1118
FLA. LOTTERY
(CASH PURCH. - CASH WINS).......$ 223
FOOD............................................$ 482
HOUSE STUFF.................................$ 10
PETS.............................................$ 29
PERSONAL/HYGIENE.......................$ 74
CAR LEASE/CARWASH/TOLLS...........$ 313
GAS..............................................$ 42
ELECTRICITY..................................$ 59
RENT.............................................$ 1200
INTERNET/PHONE LINE....................$ 106
NETFLIX.........................................$ 15
YOUTUBETV....................................$ 74
L/P RECORD BOUGHT.......................$ 42
VITAMINS/SUPPLEMENTS..................$ 63
DR/MEDICARE PREMIUM 3 MOS.........$554
CHARITY..........................................$ 38
TOTAL EXPENSES..$6752
DEDUCT INTEREST CHGD.............-$1118
TOTAL ACTUAL PMTS FOR MONTH.. $5634
.......................................
TAKE HOME PAY FOR FEBRUARY.....$5810
BEG. BALANCE AT BANK IN FEB. $ 21
TOTAL...............$5831
****NO DEFICIT THIS MONTH!!!!!***
DID NOT PUT ANY PMTS. ON CREDIT CARD THIS MONTH
MARCH LOOKS GOOD.....5 PAYDAYS PLUS I'M GETTING MY TAX REFUND OF $1071!!!,
NEW INTEREST CHGD...................$1118
FLA. LOTTERY
(CASH PURCH. - CASH WINS).......$ 223
FOOD............................................$ 482
HOUSE STUFF.................................$ 10
PETS.............................................$ 29
PERSONAL/HYGIENE.......................$ 74
CAR LEASE/CARWASH/TOLLS...........$ 313
GAS..............................................$ 42
ELECTRICITY..................................$ 59
RENT.............................................$ 1200
INTERNET/PHONE LINE....................$ 106
NETFLIX.........................................$ 15
YOUTUBETV....................................$ 74
L/P RECORD BOUGHT.......................$ 42
VITAMINS/SUPPLEMENTS..................$ 63
DR/MEDICARE PREMIUM 3 MOS.........$554
CHARITY..........................................$ 38
TOTAL EXPENSES..$6752
DEDUCT INTEREST CHGD.............-$1118
TOTAL ACTUAL PMTS FOR MONTH.. $5634
.......................................
TAKE HOME PAY FOR FEBRUARY.....$5810
BEG. BALANCE AT BANK IN FEB. $ 21
TOTAL...............$5831
****NO DEFICIT THIS MONTH!!!!!***
DID NOT PUT ANY PMTS. ON CREDIT CARD THIS MONTH
MARCH LOOKS GOOD.....5 PAYDAYS PLUS I'M GETTING MY TAX REFUND OF $1071!!!,
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