Issues Committee for Protect Kentucky Access - 11 report(s)

Financial Summary

Total Disburse: $12,506,277.95
Total Receipts: $12,063,975.49

60 Day Post Report Details - 60 Day Post
Original report received on 1/10/2023 7:11:17 PM. The report was due 1/10/2023.
Report Summary
Beginning Balance: $57,189.21
Total Receipts: $0.00
Total Expenditures: $2,453.95
Ending Balance: $54,735.26
30 Day Post Report Details - 30 Day Post
Original report received on 12/12/2022 7:04:34 PM. The report was due 12/12/2022.
Report Summary
Beginning Balance: $825,930.41
Total Receipts: $1,118,384.90
Total Expenditures: $1,887,126.10
Ending Balance: $57,189.21
15 Day Pre Report Details - 15 Day Pre
Amended on 12/12/2022 7:02:40 PM. It was due 10/26/2022.
Report Summary
Beginning Balance: $917,770.40
Total Receipts: $2,227,460.42
Total Expenditures: $2,319,300.41
Ending Balance: $825,930.41
15 Day Pre Report Details - 15 Day Pre
Amended on 10/31/2022 7:16:01 PM. It was due 10/26/2022.
Report Summary
Beginning Balance: $917,770.40
Total Receipts: $2,227,460.42
Total Expenditures: $2,319,300.41
Ending Balance: $825,930.41
15 Day Pre Report Details - 15 Day Pre
Original report received on 10/26/2022 8:04:19 PM. It was due 10/26/2022.
Report Summary
Beginning Balance: $917,770.40
Total Receipts: $2,227,460.42
Total Expenditures: $2,319,300.41
Ending Balance: $825,930.41
30 Day Pre Report Details - 30 Day Pre
Amended on 10/25/2022 4:39:34 PM. It was due 10/12/2022.
Report Summary
Beginning Balance: $1,231,128.14
Total Receipts: $1,255,626.58
Total Expenditures: $1,568,984.32
Ending Balance: $917,770.40
30 Day Pre Report Details - 30 Day Pre
Original report received on 10/12/2022 8:05:03 PM. It was due 10/12/2022.
Report Summary
Beginning Balance: $1,231,128.14
Total Receipts: $1,255,626.58
Total Expenditures: $1,568,984.32
Ending Balance: $917,770.40
60 Day Pre Report Details - 60 Day Pre
Original report received on 9/13/2022 11:58:20 PM. The report was due 9/13/2022.
Report Summary
Beginning Balance: $0.00
Total Receipts: $1,466,861.17
Total Expenditures: $476,478.03
Ending Balance: $1,231,128.14
Quarterly Report Details - Quarterly
Original report received on 1/4/2022 7:31:36 PM. The report was due 1/4/2022.
Report Summary
Beginning Balance: $34,905.00
Total Receipts: $250,095.00
Total Expenditures: $44,255.00
Ending Balance: $240,745.00
Quarterly Report Details - Quarterly
Original report received on 10/4/2021 4:38:27 PM. The report was due 10/4/2021.
Report Summary
Beginning Balance: $0.00
Total Receipts: $35,000.00
Total Expenditures: $95.00
Ending Balance: $34,905.00
Quarterly Report Details - Quarterly
Original report received on 9/28/2021 5:07:27 PM. The report was due 7/2/2021.
Report Summary
Beginning Balance: $0.00
Total Receipts: $0.00
Total Expenditures: $0.00
Ending Balance: $0.00