Amended 2020 1st Quarter for BUD HULSEY submitted on 05/21/2020
Beginning Balance
$51,449.79
Receipts
Monetary Contributions, Unitemized
$0.00
Monetary Contributions, Itemized
| Contributor | C/P | Rec'd For | Date | Amount | Aggregate |
|---|---|---|---|---|---|
|
CLAUSSEN
, H. PETE
401 HENLEY STREET KNOXVILLE , TN 37902 Owner C \& O Railroad |
General | 07/24/2006 | $200.00 | $200.00 | |
|
FEDERAL EXPRESS PAC
942 SOUTH SHADY GROVE RD 2ND FLOOR MEMPHIS , TN 38120 |
P | General | 07/05/2006 | $350.00 | $350.00 |
|
TENNESSEE ANESTHESIOLOGISTS PAC
ATTN JOHN C. LYELL, II NASHVILLE , TN 37219 |
P | General | 07/13/2006 | $500.00 | $1,000.00 |
|
TENNESSEE OPTOMETRIC PAC
2727 BRANSFORD AVE. NASHVILLE , TN 37204 |
P | General | 07/13/2006 | $1,000.00 | $1,000.00 |
|
TENNESSEE RADIOLOGISTS PAC
P.O. BOX 120909 NASHVILLE , TN 37212-0909 |
P | General | 07/06/2006 | $500.00 | $500.00 |
|
TINDELL
, F. CARL
7751 NORRIS FREEWAY KNOXVILLE , TN 37938 Owner Tindell Building Supply |
General | 07/17/2006 | $200.00 | $200.00 | |
|
TITLEMAX MANAGEMENT
24 DRAYTON STREET, STE. 610 SAVANNAH , GA 31401 |
General | 07/06/2006 | $500.00 | $500.00 | |
|
WYETH GOOD GOVERNMENT FUND
5 GIRALDA FARMS MADISON , NJ 07940 |
P | General | 07/01/2006 | $500.00 | $500.00 |
TOTAL CONTRIBUTIONS
(other than adjustments, loans, and interest)
(other than adjustments, loans, and interest)
$7,250.00
Contribution Adjustments
$0.00
Loans Received
$0.00
Interest Received This Reporting Period
$0.00
TOTAL RECEIPTS
$7,250.00
Disbursements
Expenditures, Unitemized
| Purpose | Amount |
|---|---|
| ADVERTISING | $500.00 |
| FOOD / BEVERAGE | $200.00 |
| GAS | $230.00 |
| SPOT LABOR | $300.00 |
Expenditures, Itemized
| Vendor | C/P | Purpose | Date | Amount |
|---|---|---|---|---|
|
DIX
, ANDREW
2645 SELMA AVENUE KNOXVILLE , TN 37914 |
TRANSPORTATION TO POLLS | 07/14/2006 | $1,000.00 | |
|
GILLESPIE
, FRANK
107 CHESTNUT STREET KNOXVILLE , TN 37914 |
SPOT LABOR | 07/24/2006 | $600.00 |
Loan Payments
$0.00
Obligation Payments
$0.00
TOTAL EXPENDITURES
(other than adjustments)
(other than adjustments)
$5,916.21
Expenditures, Adjustments
$0.00
TOTAL DISBURSEMENTS
$5,916.21
Ending Balance
ENDING BALANCE
$52,783.58
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