Weekly Budget Report
May 2022 | ||||
Category | Previous | Budgeted | Spent | Remaining |
Monthly Bills | ||||
Mortgage | $2,100.00 | $2,100.00 | $0.00 | |
Phone | $340.00 | $40.00 | $380.00 | |
Internet | $49.99 | $49.99 | ||
Electricity | $26.79 | $120.00 | $111.74 | $35.05 |
Natural Gas | $54.96 | $120.00 | $174.96 | |
Water/Sewage | $0.53 | $120.00 | $119.47 | $1.06 |
Trash | $48.34 | $48.34 | ||
Car Insurance | $140.00 | $140.00 | ||
Car Payment | $300.00 | $300.00 | ||
TOTAL | $3,038.33 | $2,331.21 | $707.12 | |
Everyday Expenses | ||||
Groceries | $5.57 | $800.00 | $130.14 | $675.43 |
Alcohol | $89.01 | $89.01 | ||
Fuel | $121.77 | $121.77 | ||
Spouse Spending Money | $149.29 | $149.29 | ||
My Spending Money | $38.40 | $50.00 | $4.00 | $84.40 |
Kid Spending | $19.84 | $150.00 | $169.84 | |
Restaurants | $200.00 | $60.87 | $139.13 | |
Medical | $875.33 | $100.00 | $2.91 | $972.42 |
Household Goods | $150.00 | $150.00 | ||
Business expenses | $170.48 | $170.48 | ||
Pet Supplies | $158.64 | $20.00 | $178.64 | |
TOTAL | $1,470.00 | $197.92 | $1,272.08 | |
Rainy day funds | ||||
Emergency Fund | $18,203.04 | -$3,950.00 | $14,253.04 | |
Household Maintenance/Repair | $4,532.49 | $7,000.00 | $11,532.49 | |
Car Repairs | $6,443.83 | -$3,000.00 | $3,443.83 | |
Childcare | $600.00 | $600.00 | ||
Gifts | $537.86 | $200.00 | $339.61 | $398.25 |
Professional Licenses | $45.04 | $75.00 | $120.04 | |
Car License Fees | $505.00 | $505.00 | ||
Investment | $200.00 | $200.00 | ||
Taxes | $882.00 | $882.00 | ||
Vacation | $2,742.93 | $100.00 | $2,842.93 | |
Yearly Subscriptions | $600.01 | -$586.02 | $13.99 | |
TOTAL | $38.98 | $339.61 | -$300.63 | |
Debt | ||||
Student Loan Payment | $483.16 | $483.16 | ||
TOTAL | $483.16 | $0.00 | $483.16 | |
TOTAL EXPENSES | $5,030.47 | $2,868.74 | ||
TOTAL INCOME | $3,952.55 | |||
Remaining from Last Month | $2,298.25 | |||
TOTAL REMAINING | $1,220.33 | |||
OVERSPENT | ||||
TOTAL LEFT FOR NEXT MONTH | $1,220.33 |