Amended 4th Quarter for CVS CAREMARK CORPORATION EMPLOYEES PAC submitted on 06/28/2011
Beginning Balance
$54,136.65
Receipts
Monetary Contributions, Unitemized
$0.00
Monetary Contributions, Itemized
$0.00
TOTAL CONTRIBUTIONS
(other than adjustments, loans, and interest)
(other than adjustments, loans, and interest)
$70,625.04
Contribution Adjustments
$0.00
Loans Received
$0.00
Interest Received This Reporting Period
$0.00
TOTAL RECEIPTS
$70,625.04
Disbursements
Expenditures, Unitemized
| Purpose | Amount |
|---|---|
| CHECKS | $46.81 |
| CONTRIBUTION | $60.00 |
Expenditures, Itemized
| Vendor | C/P | Purpose | In-Kind | Independent | S/O | Date | Amount |
|---|---|---|---|---|---|---|---|
|
ALEXANDER FOR SENATE
1226 16TH AVENUE S. #10 NASHVILLE , TN 37212 |
CONTRIBUTION | 05/28/2013 | $1,000.00 | ||||
|
BOY SCOUTS OF AMERICA
1333OLD WEISGARBER RD KNOXVILLE , TN 37909 |
CONTRIBUTION | 02/20/2013 | $250.00 | ||||
|
C.R.O.S.S. MINISTERIES
174 MAPLE RIDGE LANE SEYMOUR , TN 37865 |
CONTRIBUTION | 06/01/2013 | $260.00 | ||||
|
CATLETTSBURG ELEMENTARY PTO
1409 CATLETTSBURG RD. SEVIERVILLE , TN 37876 |
CONTRIBUTION | 05/30/2013 | $500.00 | ||||
|
DR. ROBERT F. THOMAS FOUNDATION
709 MIDDLE CREEK RD. SEVIERVILLE , TN 37862 |
CONTRIBUTION | 02/28/2013 | $300.00 | ||||
|
HASLAM
, BILL
1910 21ST AVENUE SOUTH NASHVILLE , TN 37212 |
C | CONTRIBUTION | 05/28/2013 | $2,500.00 | |||
|
HOPE CENTER
4001 MIDDLEBROOK PIKE KNOXVILLE , TN 37921 |
CONTRIBUTION | 06/03/2013 | $250.00 | ||||
|
PIGEON FORGE HIGH SCHOOL BASEBALL
414 TIGER DR PIGEON FORGE , TN 38763 |
CONTRIBUTION | 02/19/2013 | $100.00 | ||||
|
SEYMOUR HIGH SCHOOL BOOSTHER CLUB
732 BOYDS CREEK HIGHWAY SEYMOUR , TN 37865 |
CONTRIBUTION | 03/05/2013 | $250.00 | ||||
|
THE KING'S ACADEMY
202 SMOTHERS RD. SEYMOUR , TN 37865 |
CONTRIBUTION | 06/03/2013 | $1,000.00 | ||||
|
THE KING'S ACADEMY
202 SMOTHERS RD. SEYMOUR , TN 37865 |
CONTRIBUTION | 05/10/2013 | $380.00 |
Loan Payments
$0.00
Obligation Payments
$0.00
TOTAL EXPENDITURES
(other than adjustments)
(other than adjustments)
$9,000.00
Expenditures, Adjustments
$0.00
TOTAL DISBURSEMENTS
$8,500.00
Ending Balance
ENDING BALANCE
$116,261.69
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
$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