Amended Annual Mid Year Supplemental (2017) for HAMBLEN CO. DEMOCRAT EXECUTIVE COMMITTEE submitted on 07/19/2017
Beginning Balance
$5,180.40
Receipts
Monetary Contributions, Unitemized
$263.00
Monetary Contributions, Itemized
| Contributor | C/P | Date | Amount |
|---|---|---|---|
|
AGC PAC
6070 POPLAR AVE., SUITE 750 MEMPHIS , TN 38119 |
P | 09/04/2018 | $2,500.00 |
|
ANHEUSER BUSCH
1200 LYNCH STREET ST LOUIS , MO 63118 |
09/25/2018 | $1,000.00 | |
|
BIV-PAC
P.O. BOX 40424 NASHVILLE , TN 37209 |
P | 09/10/2018 | $1,000.00 |
|
FLEX PAC
4208A FARRAR AVENUE NASHVILLE , TN 37215 |
P | 09/20/2018 | $10,000.00 |
|
TASCA PAC
1400 VILLAGE SQUARE BLVD., 3-175 TALLAHASSEE , FL 32312 |
P | 09/17/2018 | $500.00 |
TOTAL CONTRIBUTIONS
(other than adjustments, loans, and interest)
(other than adjustments, loans, and interest)
$4,630.00
Contribution Adjustments
$0.00
Loans Received
$0.00
Interest Received This Reporting Period
$0.00
TOTAL RECEIPTS
$4,630.00
Disbursements
Expenditures, Unitemized
$0.00
Expenditures, Itemized
| Vendor | C/P | Purpose | In-Kind | Independent | S/O | Date | Amount |
|---|---|---|---|---|---|---|---|
|
3B MEDIA
37 SOUTH DRIVE CROSSVILLE , TN 38555 |
ADVERTISING | BOYD, RANDY | S | 07/26/2018 | $1,920.00 | ||
|
FIN AND PEARL
211 12TH AVE S NASHVILLE , TN 37202 |
MEMBER DINNER | 08/27/2018 | $3,750.00 | ||||
|
PEG BROADCASTING
961 MILLER AVENUE CROSSVILLE , TN 38555 |
ADVERTISING | BOYD, RANDY | S | 07/26/2018 | $2,150.00 | ||
|
SHERRELL
, PAUL
6677 CROSSVILLE HWY. SPARTA , TN 38583 |
C | CONTRIBUTION | 09/04/2018 | $500.00 | |||
|
SPARKS
, MICHAEL
114 WOODLAND DRIVE SMYRNA , TN 37167 |
C | CONTRIBUTION | 09/17/2018 | $750.00 | |||
|
SPRY STRATEGIES
350 HOPE CREEK RD LENIOR CITY , TN 37771 |
RESEARCH / POLLING | 07/30/2018 | $1,848.00 | ||||
|
VALLEJOS
, TOMMY
705 WEST CREEK DRIVE CLARKSVILLE , TN 37040 |
C | CONTRIBUTION | 09/28/2018 | $1,000.00 |
Loan Payments
$0.00
Obligation Payments
$0.00
TOTAL EXPENDITURES
(other than adjustments)
(other than adjustments)
$7,445.84
Expenditures, Adjustments
$0.00
TOTAL DISBURSEMENTS
$7,445.84
Ending Balance
ENDING BALANCE
$2,364.56
Outstanding Loans
TOTAL OUTSTANDING LOAN BALANCE
$0.00
In-Kind Contributions
In-Kind Contributions are not included in the report ending balance.
Unitemized
$403.24
Itemized
$0.00
TOTAL IN-KIND CONTRIBUTIONS
$2,071.86
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