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Illinois Road Builders PAC
D-2 Semiannual Report
7/1/2010 to 12/31/2010

Print Report
RECEIPTS
1. Individual Contributions:
a. Itemized $79,105.00
b. Not-Itemized $4,290.00
2. Transfers In:
a. Itemized $0.00
b. Not-Itemized $0.00
3. Loans Received:
a. Itemized $0.00
b. Not-Itemized $0.00
4. Other Receipts:
a. Itemized $0.00
b. Not-Itemized $26.26
TOTAL RECEIPTS (1-4) $83,421.26

5. In-Kind Contributions:
a. Itemized $0.00
b. Not-Itemized $0.00
TOTAL IN-KIND $0.00

EXPENDITURES
6. Transfers Out:
a. Itemized $82,600.00
b. Not-Itemized $0.00
7. Loans Made:
a. Itemized $0.00
b. Not-Itemized $0.00
8. Expenditures:
a. Itemized $44,823.32
b. Not-Itemized $0.00
TOTAL EXPENDITURES (6-8) $127,423.32

DEBTS AND OBLIGATIONS
9. a. Itemized $0.00
b. Not-Itemized $0.00
TOTAL DEBTS AND OBLIGATIONS $0.00

FUNDS BALANCE
Funds available at the beginning of the reporting period $212,251.11
Total Receipts $83,421.26
Subtotal $295,672.37
Total Expenditures $127,423.32
Funds available at the close of the reporting period $168,249.05
Investment Total $0.00
 
 

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