Amended Annual Year End Supplemental (2007) for HOUSE DEMOCRATIC CAUCUS submitted on 10/20/2008
Beginning Balance
$166,450.94
Receipts
Monetary Contributions, Unitemized
$0.00
Monetary Contributions, Itemized
| Contributor | C/P | Date | Amount |
|---|---|---|---|
|
CVS CAREMARK CORPORATION EMPLOYEES PAC
1300 I STREET, NW, SUITE 525 WASHINGTON , DC 20005 |
P | 11/01/2010 | $150.00 |
|
FARRIS BOBANGO PAC
999 S. SHADY GROVE ROAD, SUITE 500 MEMPHIS , TN 38120 |
P | 01/10/2011 | $500.00 |
|
FIELDS
, TERRY E
110 NOBILITY CT ROSWELL , GA 30075 CHIEF FINANCIAL OFFICER COMMUNITY LOANS OF AMERICA |
11/01/2010 | $250.00 | |
|
FRIENDS OF THE UNIVERSITY OF MEMPHIS PAC
155 ASCOT PARK COMMON DR. MEMPHIS , TN 38120 |
P | 12/28/2010 | $500.00 |
|
HARWELL PAC
42 WYN OAK NASHVILLE , TN 37205 |
P | 11/01/2010 | $1,000.00 |
|
INDEPENDENT MEDICINE'S PAC-TN
2301 21ST AVE. SOUTH NASHVILLE , TN 37212 |
P | 11/01/2010 | $500.00 |
|
LAWYERS INVOLVED FOR TN
1903 DIVISION ST. NASHVILLE , TN 37203 |
P | 12/07/2010 | $500.00 |
|
MEDCO HEALTH SOLUTIONS INC PAC
2350 KERNER BLVD., STE.250 SAN RAFAEL , CA 94901 |
P | 12/15/2010 | $250.00 |
|
NORRIS
, MARK
853 S. COLLIERVILLE-ARLINGTON RD. COLLIERVILLE , TN 38017 |
C | 01/10/2011 | $250.00 |
|
SERVE PAC
ATTN JEFF FEDORCHAK 860 RIDGE LAKE BOULEVARD MEMPHIS , TN 38120 |
P | 11/01/2010 | $250.00 |
|
TENNESSEE BANKERS ASSN PAC
211 ATHENS WAY, SUITE 100 NASHVILLE , TN 37228-1603 |
P | 11/01/2010 | $500.00 |
|
TENNESSEE FIRST
PO BOX 58083 NASHVILLE , TN 37205 |
P | 11/01/2010 | $250.00 |
|
TENNESSEE PHYSICAL THERAPY PAC
1005 ACHIEVER CIRCLE SPRING HILL , TN 37174 |
P | 11/01/2010 | $250.00 |
|
TENNESSEE WINE & SPIRITS RETAILERS GOOD GOV'T FUND
P. O. BOX 58083 NASHVILLE , TN 37205 |
P | 11/01/2010 | $250.00 |
|
WEATHERINGTON
, JAMES V
453 BUNTYN ST MEMPHIS , TN 38111 AC ELECTRIC PRESIDENT |
11/01/2010 | $250.00 |
TOTAL CONTRIBUTIONS
(other than adjustments, loans, and interest)
(other than adjustments, loans, and interest)
$239,716.08
Contribution Adjustments
$0.00
Loans Received
$0.00
Interest Received This Reporting Period
$2,327.84
TOTAL RECEIPTS
$242,043.92
Disbursements
Expenditures, Unitemized
$0.00
Expenditures, Itemized
| Vendor | C/P | Purpose | In-Kind | Independent | S/O | Date | Amount |
|---|---|---|---|---|---|---|---|
|
BUILD PAC
7990 TRINITY RD #110 CORDOVA , TN 38018 |
P | REFUND OF CONTRIBUTION | 01/07/2011 | $500.00 |
Loan Payments
$0.00
Obligation Payments
$0.00
TOTAL EXPENDITURES
(other than adjustments)
(other than adjustments)
$10,640.52
Expenditures, Adjustments
$0.00
TOTAL DISBURSEMENTS
$10,640.52
Ending Balance
ENDING BALANCE
$397,854.34
Outstanding Loans
TOTAL OUTSTANDING LOAN BALANCE
$0.00
| Loans | Beg Balance | Paid | End Balance* |
|---|---|---|---|
| Self-Endorsed | $13,796.97 | $4,000.00 | $9,796.97 |
In-Kind Contributions
In-Kind Contributions are not included in the report ending balance.
Unitemized
$0.00
Itemized
$0.00
TOTAL IN-KIND CONTRIBUTIONS
$0.00
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