Make It Work Pac - 2024 cycle

Treasurer: Paterson, John M.R.
See Other Cycles: 2014 2016 2018 2020 2022

Total Receipts

$182,500

Total Spending

$142,426

Spending at Trump Properties

$0

Independent Expenditures

$0

Cash on Hand

$79,208

Debts Owed

$0

Totals Through: Nov. 25

Contributions from PACs

Electronic Filings

Typically files reports ON-TIME
Report title Date Filed End Date Form type Receipts Spending Cash Debts Amendment
POST-GENERAL » Dec. 5 Nov. 25 F3 $17,500.00 $16,193.61 $79,208.37
PRE-GENERAL » Oct. 24 Oct. 16 F3 $30,000.00 $6,500.00 $77,901.98
OCT MONTHLY » Oct. 18 Sept. 30 F3 $30,000.00 $22,151.38 $54,401.98
SEP MONTHLY » Sept. 20 Aug. 31 F3 $12,500.00 $4,522.50 $46,553.36
AUG MONTHLY » Aug. 20 July 31 F3 $25,500.00 $5,723.39 $38,575.86
JUL MONTHLY » July 19 June 30 F3 $15,000.00 $33,604.21 $18,799.25
JUN MONTHLY » June 20 May 31 F3 $7,000.00 $9,426.73 $37,403.46
MAY MONTHLY » May 20 April 30 F3 $5,000.00 $8,156.60 $39,830.19
APR MONTHLY » April 19 March 31 F3 $30,000.00 $26,523.70 $42,986.79
MAR MONTHLY » March 20 Feb. 29 F3 $5,000.00 $9,409.20 $39,510.49
FEB MONTHLY » Feb. 20 Jan. 31 F3 $5,000.00 $215.00 $43,919.69
YEAR-END » Jan. 31 Dec. 31, 2023 F3 $108,500.00 $87,392.22 $39,134.69
STATEMENT OF ORGANIZATION » July 31, 2023 F1
MID-YEAR » July 31, 2023 June 30, 2023 F3 $41,000.00 $43,358.05 $18,026.91
MISCELLANEOUS DOCUMENT » Jan. 31, 2023 F99