Friends of Sue Scherer
D-2 Quarterly Report
7/1/2012 to 9/30/2012
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Print Report
RECEIPTS
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1. |
Individual Contributions: |
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a. Itemized |
$1,600.00 |
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b. Not-Itemized |
$1,025.00 |
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2. |
Transfers In: |
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a. Itemized |
$224,250.00 |
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b. Not-Itemized |
$300.00 |
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3. |
Loans Received: |
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a. Itemized (from Schedule A) |
$0.00 |
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b. Not-Itemized |
$0.00 |
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4. |
Other Receipts: |
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a. Itemized (from Schedule A) |
$0.00 |
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b. Not-Itemized |
$0.00 |
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TOTAL RECEIPTS (1-4) |
$227,175.00 |
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5. |
In-Kind Contributions: |
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a. Itemized |
$89,296.64 |
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b. Not-Itemized |
$0.00 |
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TOTAL IN-KIND |
$89,296.64 |
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EXPENDITURES
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6. |
Transfers Out: |
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a. Itemized |
$750.00 |
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b. Not-Itemized |
$80.00 |
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7. |
Loans Made: |
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a. Itemized (From Schedule B) |
$0.00 |
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b. Not-Itemized |
$0.00 |
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8. |
Expenditures: |
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a. Itemized |
$243,048.42 |
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b. Not-Itemized |
$3,733.34 |
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9. |
Independent Expenditures: |
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a. Itemized (From Schedule B-9) |
$0.00 |
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b. Not-Itemized |
$0.00 |
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TOTAL EXPENDITURES (6-8) |
$247,611.76 |
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DEBTS AND OBLIGATIONS
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9. |
9 a. Itemized |
$327.94 |
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b. Not-Itemized |
$0.00 |
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TOTAL DEBTS AND OBLIGATIONS |
$327.94 |
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FUNDS BALANCE
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Funds available at the beginning of the reporting period |
$30,755.24 |
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Total Receipts |
$227,175.00 |
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Subtotal |
$257,930.24 |
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Total Expenditures |
$247,611.76 |
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Funds available at the close of the reporting period |
$10,318.48 |
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Investment Total |
$0.00 |
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