Dashboard

2026-05

adjusted net (this month)
−$13,933
↑ 32% vs last month
reimbursement gap
$161,882
expected $161,882 · received $0
renovation budget remaining
$824,838
of $1,000,000
open anomalies
116
click to review →

Cashflow

Renovation

ends 2026-06-30
spent $175,162budget $1,000,000

18% of budget used

this month
$700
months remaining
1
projected total at current pace
$175,862(18% of budget)

Post-renovation projected monthly adjusted net: $4,074

Reimbursements (Lise)

accumulating
expected this month
$2,430
received this month
$0
outstanding
$161,882
trailing 6 months
12
01
02
03
04
05
View full ledger →

Anomalies

116 open →
  • Bill increase114
  • Renovation burn1
  • Reimbursement gap1
recent
  • Withdrawal charged $211 on 2026-05-16, up 60% from trailing median of $132.
  • Atm Withdrawal charged $800 on 2026-05-15, up 52% from trailing median of $525.
  • Capsule Pharmacy charged $24 on 2026-05-26, up 256% from trailing median of $7.