Contributions Received |
Column A |
Column B |
|
|
|
This Period |
Total to Date |
1. |
Monetary Contributions |
Sched. A, Line 3 |
$167,709.00 |
$1,104,753.00 |
2. |
Loans Received |
Sched. B, Line 3 |
$0.00 |
$16,000.00 |
3. |
SUBTOTAL CASH CONTRIBUTIONS |
Add Lines 1 + 2 |
$167,709.00 |
$1,120,753.00 |
4. |
Non-Monetary Contributions |
Sched. C, Line 3 |
$2,712.50 |
$16,796.83 |
5. |
TOTAL CONTRIBUTIONS RECEIVED |
Add Lines 3 + 4 |
$170,421.50 |
$1,137,549.83 |
Expenditures Made |
Column A |
Column B |
6. |
Cash Payments |
Sched. E, Line 4 |
$414,611.77 |
$1,217,134.98 |
7. |
Loans Made |
Sched. H, Line 3 |
$0.00 |
$0.00 |
8. |
SUBTOTAL CASH PAYMENTS |
Add Lines 6 + 7 |
$414,611.77 |
$1,217,134.98 |
9. |
Accrued Expenses (Unpaid Bills) |
Sched. F, Line 3 |
($236,393.45) |
$6,174.27 |
10. |
Non-Monetary Adjustment |
Sched. C, Line 3 |
$2,712.50 |
$16,796.83 |
11. |
TOTAL EXPENDITURES MADE |
Add Lines 8 + 9 + 10 |
$180,930.82 |
$1,240,106.08 |
Current Cash Statement |
12. |
Beginning Cash Balance |
Prev. Summary, Line 16 |
$336,058.06 |
|
|
13. |
Cash Receipts |
Col. A, Line 3 |
$167,709.00 |
|
|
14. |
Miscellaneous Increases to Cash |
Sched. I, Line 4 |
$0.00 |
|
|
15. |
Cash Payments |
Col. A, Line 8 |
$414,611.77 |
|
|
16. |
Ending Cash Balance |
Lines (12 + 13 + 14) - 15 |
$89,155.29 |
|
|
Loan Guarantees Received |
17. |
Loan Guarantees Received |
Sched. B, Part II |
$0.00 |
|
|
Cash Equivalents and Outstanding Debts |
18. |
Cash Equivalents |
|
$0.00 |
|
|
19. |
Outstanding Debts |
Add Line 2 + Line 9 in Column B above |
$22,174.27 |
|
|
Summary for Candidates in Both June and November Elections |
1/1 through 6/30 |
7/1 to Date |
20. |
Contributions Received |
$0.00 |
$0.00 |
21. |
Expenditures Made |
$0.00 |
$0.00 |
|