Amended 2012 3rd Quarter for THOMAS GRAY submitted on 10/09/2012
Beginning Balance
$4,132.67
Receipts
Monetary Contributions, Unitemized
$350.00
Monetary Contributions, Itemized
| Contributor | C/P | Rec'd For | Date | Amount | Aggregate |
|---|---|---|---|---|---|
|
CONLEY
, STEVE
1220 ETHRUDGE LN UNION CITY , TN 38261 LAWYER CONLEY & CONLEY |
General | 06/20/2023 | $250.00 | $250.00 | |
|
DARBY
, TANDY
276 HIGHWAY 124 GREENFIELD , TN 38230 |
C | General | 06/20/2023 | $1,500.00 | $1,500.00 |
TOTAL CONTRIBUTIONS
(other than adjustments, loans, and interest)
(other than adjustments, loans, and interest)
$3,100.00
Contribution Adjustments
$0.00
Loans Received
$0.00
Interest Received This Reporting Period
$0.00
TOTAL RECEIPTS
$3,100.00
Disbursements
Expenditures, Unitemized
$0.00
Expenditures, Itemized
| Vendor | C/P | Purpose | Date | Amount |
|---|---|---|---|---|
|
HAYNES
, SHANNON
P O BOX 254 ALAMO , TN 38001 |
ADVERTISING | 04/26/2023 | $100.00 | |
|
LAUDERDALE CO ENTERPRISE
145 E JACKSON AVE RIPLEY , TN 38063 |
ADVERTISING | 06/12/2023 | $50.00 | |
|
LAUDERDALE CO VOICE
470 S WASHINGTON ST RIPLEY , TN 38063 |
ADVERTISING | 06/12/2023 | $233.00 | |
|
LAUDERDALE CO VOICE
470 S WASHINGTON ST RIPLEY , TN 38063 |
ADVERTISING | 05/01/2023 | $240.00 | |
|
LAUDERDALE CO VOICE
470 S WASHINGTON ST RIPLEY , TN 38063 |
ADVERTISING | 04/07/2023 | $455.00 | |
|
LAUDERDALE CO VOICE
470 S WASHINGTON ST RIPLEY , TN 38063 |
ADVERTISING | 03/03/2023 | $240.00 | |
|
LAUDERDALE CO VOICE
470 S WASHINGTON ST RIPLEY , TN 38063 |
ADVERTISING | 02/03/2023 | $242.50 | |
|
LAUDERDALE CO VOICE
470 S WASHINGTON ST RIPLEY , TN 38063 |
ADVERTISING | 01/30/2023 | $354.50 | |
|
NELSON
, LAURA
P.O. BOX 293311 NASHVILLE , TN 37229 |
C | DONATIONS | 05/22/2023 | $1,800.00 |
|
PIG OUT
225 N FRONT ST HALLS , TN 38040 |
FOOD / BEVERAGE | 01/27/2023 | $200.00 | |
|
RICHEY
, BRYAN ANDREW
257 N. CALDERWOOD ST., #338 ALCOA , TN 37701 |
C | DONATIONS | 05/22/2023 | $1,000.00 |
Loan Payments
$0.00
Obligation Payments
$0.00
TOTAL EXPENDITURES
(other than adjustments)
(other than adjustments)
$3,927.73
Expenditures, Adjustments
$0.00
TOTAL DISBURSEMENTS
$3,927.73
Ending Balance
ENDING BALANCE
$3,304.94
Outstanding Loans
TOTAL OUTSTANDING LOAN BALANCE
$0.00
In-Kind Contributions
In-Kind Contributions are not included in the report ending balance.
Unitemized
$0.00
Itemized
$0.00
TOTAL IN-KIND CONTRIBUTIONS
$246.88
Obligations
Obligations are not included in the report ending balance.
Unitemized
$0.00
Itemized
$0.00
Obligations, Outstanding from Previous Reports
$0.00
TOTAL OBLIGATIONS OUTSTANDING
$0.00