All Years

Receipts

Loans Received $0
Transfers $0
Total Receipts $922,173

Spending

Operating Expenditures $597,091
Transfers to Other Committees $0
Loan Repayments $0
Other Disbursements $2,500
Total Spending $599,602

Cash Summary

Beginning Cash Balance (as of 07/01/2021) $0
Ending Cash Balance (as of 05/01/2022) $322,570
Outstanding Debts $0