Open Collective
Open Collective
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Expenses

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All expenses
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All
Reimbursement #152203
batteries
medicine

Medicine, pet food, pads86.40

Category
Program Food & Groceries
$86.40 USD
Paid
Reimbursement #140090
medicine
pet
hygiene

Medicine

Category
Mutual Aid
from Charlie to South Bay Mutual Aid and Care Club
$80.00 USD
Paid
Reimbursement #135881
medicine

eye drops

Category
Materials & Supplies
$32.52 USD
Paid
Reimbursement #132824
medicine

Cones

Category
Materials & Supplies
from Charlie to South Bay Mutual Aid and Care Club
$18.62 USD
Paid
Reimbursement #124144
medicine

Cones

Category
Mutual Aid
from Charlie to South Bay Mutual Aid and Care Club
$60.00 USD
Paid
Reimbursement #123485
medicine

Cones

Category
Materials & Supplies
from Charlie to South Bay Mutual Aid and Care Club
$44.08 USD
Paid
Reimbursement #121994
medicine

Medicine

Category
Mutual Aid
$105.00 USD
Paid
Reimbursement #121987
medicine

Medical supplies

Category
Materials & Supplies
from Charlie to South Bay Mutual Aid and Care Club
$267.36 USD
Paid
Reimbursement #121667
medicine

Sunday distro supplies

Category
Materials & Supplies
$86.30 USD
Paid
Reimbursement #120783
hygiene
medicine
clothes
Page Total:$926.16 USD

Payment processor fees may apply.

Page of 2
Collective balance
-$0.39 USD

FAQ

How do I get paid from a Collective?
Submit an expense and provide your payment information.
How are expenses approved?
Collective admins are notified when an expense is submitted, and they can approve or reject it.
Is my private data made public?
No. Only the expense amount and description are public. Attachments, payment info, emails and addresses are only visible to you and the admins.
When will I get paid?
Payments are processed by the Collective's Fiscal Host, the organization that hold funds on their behalf. Many Fiscal Hosts pay expenses weekly, but each one is different.
Why do you need my legal name?
The display name is public and the legal name is private, appearing on receipts, invoices, and other official documentation used for tax and accounting purposes.