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i am currently doing a budget project where i pay these bills every month. i am having a hard time determining what balances should be

i am currently doing a budget project where i pay these bills every month. i am having a hard time determining what balances should be assets and what should be listed as liabilities.

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Reference # Sepil-14 Sept 15 30 Oct Beginning cash balance Now 1,000.00 Receipts 84.77 Jan 1,043.69 Fet 1,020.12 1,232.39 1,958.08 Income after tax, social 902 11 security and Q-CAPA 3,472.92 3,472.92 3,472.92 Cash Available 3,472.92 1,000.00 3,472.92 3,472.92 3,567.69 Less Disbursements 4,516.61 4,493.04 4,705.31 5,031.00 4,375.04 Rent $25.00 decor $25.00 $25 00 100 00 $25.00 398 72 $25 00 244-67 $25.00 apartment Fees 100 00 45.88 renters Insurance 15.00 15.00 50.00 15.00 15.00 15.00 15.00 Internet 47.96 25.00 44.21 $6.23 car insurance 15.00 25.00 191.47 25.00 191 47 25/010 191 47 25.00 60,00 191.47 9 191 47 191 47 car maintenance 115 00 1is on 119.00 10 115 00 65.00 115 00 health insurance 11 174.71 174.71 174 71 90 00 prescriptions and copays 174.71 17 174.71 cellphone 174.71 13 179 83 179 82 25.00 179-82 50.Do 16.23 179.87 14 179 87 apple music 16.23 16.23 179 82 16.21 16.23 15 Food: groceries and eating 10.79 100 00 10.75 16.23 10.75 out 200 00 400-00 10.79 10,79 16 400 00 entertainment 400.00 400.00 400.00 17 100 00 student loan 200 00 200.00 200.00 18 200 00 haircut 300 00 300-00 200 00 19 800 00 gifts for others 200 00 300.00 200.00 20 kitchen table and chairs 132.44 98.76 21 to aply to stand cleaning supplies and 24.00 40.00 23 charitable contributions Total disbursements 915 73 $ Ending cash balance before 1,864.00 2,746.49 financing 84.77 $ 2,510.65 $ 1,693.69 2,197.23 1,770.12 2,378.89 1,982.39 2,447.35 Financing 7,108.08 2,652.11 1,927.68 24 borrowing principal repayments Interest 25 retirement 26 250-00 saving 250-00 250-00 250.00 250 00 Total financing 400 00 500.00 250.00 500 00 500.00 1,500.00 Ending cash balance 750.00 500 00 84.77 750.00 1,043.69 750.0 1,020.12 1,750.00 1,232.39 750.00 1,568.08 902 11 1,177.68

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