Revenue
$4.04M
+6.2%
Expenses
$3.47M
Net profit
$569.8K
14.1%
Cash on hand
$8.24M
Profit & loss
August 2026
| Line item | Amount |
|---|---|
| Gross revenue | $4,042,800 |
| Refunds & discounts | -$184,600 |
| Cost of goods sold | -$2,074,900 |
| Fulfillment & shipping | -$486,200 |
| Marketing | -$512,400 |
| Payroll | -$348,900 |
| Software & tooling | -$41,800 |
| Other operating | -$63,400 |
Net profit$330,600
Expense mix
Where the money goes