All Years

Receipts

Transfers $0
Total Receipts $121,406

Spending

Operating Expenditures $13,556
Transfers to Other Committees $7,210
Other Disbursements $1,331
Total Spending $114,563

Cash Summary

Beginning Cash Balance (as of 11/06/2019) $0
Ending Cash Balance (as of 12/31/2020) $6,843
Outstanding Debts $0