Schedule H: Summary of Receipts and Disbursements
16. Beginning Balance [Line 19 of last report] | $224,594.86 | ||
17. Receipts for Current Reporting Period: | |||
a. Contributions received this period [Line 5 of Schedule G] | $4,240,935.06 | ||
b. Bank interest, refunded expenditures and rebates [Line 6 of Schedule G] | $1,233,094.11 | ||
c. Loans received this period [Line 12 of Schedule G] | $0.00 | ||
d. Subtotal: Contributions and Receipts received this period [Add Lines 17a, 17b and 17c above] |
$5,474,029.17 | ||
e. Total Expendable Funds [Add Lines 16 and 17d] | $5,698,624.03 | ||
18. Disbursements for Current Reporting Period: | |||
a. Expenditures made this reporting period [Line 10 of Schedule G] | $5,549,140.84 | ||
b. Loans repaid this reporting period [Line 14 of Schedule G] | $0.00 | ||
c. Other surplus funds paid out [from Schedule I] | $0.00 | ||
d. Total Payments Made [Add lines 18a,18b, and 18c] | $5,549,140.84 | ||
19. Ending Balance [Subtract Line 18d from Line 17e] | $149,483.19 | ||
20. Total Unpaid Debts [from Schedule F of this report] | $0.00 | ||
Committee’s Receipts and Disbursements – Election Cycle Totals | |||
21. Balance at Start of Election Cycle | $87,559.38 | ||
22. Previous Receipts [Line 24 from last report] | $5,773,619.48 | ||
23. Receipts from Current Reporting Period [Line 17d above] | $5,474,029.17 | ||
24. Total Receipts this Election Cycle [Add lines 22 and 23] | $11,247,648.65 | ||
25. Total Funds Available [Add lines 21 and 24] | $11,335,208.03 | ||
26. Previous Disbursements [Line 28 from last report] | $5,636,584.00 | ||
27. Disbursements from Current Reporting Period [Line 18d above] | $ 5549140.84 | ||
28. Total Disbursements this Election Cycle[Add lines 26 and 27] | $11,185,724.84 | ||
29. Ending Balance [Subtract Line 28 from Line 25 - Difference must match Line 19] |
$149,483.19 |
Report period: 10/01/2013 - 12/31/2013