CivicShift / FinanceFinance
Period: FY2026 · March  ·  Open
DW

Finance overview

Books in balance
Cash on hand
$1,284,500
across 3 accounts
Revenue · March
$342,100
▲ 6.2% vs Feb
Expenses · March
$298,640
87% of budget
Surplus · MTD
$43,460
on track

Record what happened

Describe the event in plain language — CivicShift writes the correct, balanced entry for you. No debits and credits to learn.

Amount received, including GST?
$
What CivicShift will post Balanced
AccountDebitCredit
Totals
Posting writes one signed-action record to the audit trail · immutable once posted

Trial balance

Live · proves the ledger is internally consistent.

Total debits$4,061,920
Total credits$4,061,920
Difference$0 ✓

Income statement · MTD

Revenue$342,100
Cost of sales($61,400)
Operating expenses($237,240)
Net surplus$43,460

Recent activity

Utility receipt — Public Works
Posted by R. Mehta · 2h ago
+$8,420
Vendor payment — GoodRoads Ltd.
Posted by Dana W. · today
−$14,900
Reversal — duplicate invoice
Linked to entry #2241 · yesterday
−$1,260
Concept mockup for illustration · figures and names are fictitious · rendered as a styled Power Apps custom page within CivicShift Core