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Enable Midstream Services L... - 2020 cycle
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Enable Midstream Services Llc Political Action Committee - 2020 cycle
Treasurer: Levescy, Tom
See Other Cycles:
2016
2018
2022
Total Receipts
$56,626
Total Spending
$97,250
Spending at Trump Properties
$0
Independent Expenditures
$0
Cash on Hand
$102,518
Debts Owed
$0
Totals Through: Dec. 31, 2020
Contributions from PACs
Electronic Filings
Typically files reports ON-TIME
Report title
Date Filed
End Date
Form type
Receipts
Spending
Cash
Debts
Amendment
YEAR-END
»
July 31, 2021
Dec. 31, 2020
F3
$6,162.13
$26,000.00
$102,517.61
Compare to original
YEAR-END
»
Jan. 29, 2021
Dec. 31, 2020
F3
$6,157.02
$25,000.00
$103,512.50
POST-GENERAL
»
Dec. 3, 2020
Nov. 23, 2020
F3
$6,157.02
$20,000.00
$122,355.48
PRE-GENERAL
»
Oct. 21, 2020
Oct. 14, 2020
F3
$2,052.34
$0.00
$136,198.46
OCT MONTHLY
»
Oct. 7, 2020
Sept. 30, 2020
F3
$4,104.68
$5,000.00
$134,146.12
SEP MONTHLY
»
Sept. 16, 2020
Aug. 31, 2020
F3
$4,104.68
$0.00
$135,041.44
AUG MONTHLY
»
Aug. 18, 2020
July 31, 2020
F3
$6,157.02
$15,500.00
$130,936.76
JUL MONTHLY
»
July 15, 2020
June 30, 2020
F3
$4,104.68
$0.00
$140,279.74
JUN MONTHLY
»
June 16, 2020
May 31, 2020
F3
$4,234.68
$0.00
$136,175.06
MAY MONTHLY
»
May 8, 2020
April 30, 2020
F3
$4,356.60
$0.00
$131,940.38
APR MONTHLY
»
April 10, 2020
March 31, 2020
F3
$4,356.60
$1,000.00
$127,583.78
MAR MONTHLY
»
March 19, 2020
Feb. 29, 2020
F3
$4,332.38
$13,000.00
$124,227.18
FEB MONTHLY
»
Feb. 20, 2020
Jan. 31, 2020
F3
$6,503.57
$16,750.00
$132,894.80
MISCELLANEOUS DOCUMENT
»
Feb. 11, 2020
F99
STATEMENT OF ORGANIZATION
»
Feb. 4, 2020
F1
STATEMENT OF ORGANIZATION
»
Feb. 4, 2020
F1
YEAR-END
»
Jan. 29, 2020
Dec. 31, 2019
F3
$28,933.84
$7,600.00
$143,141.23
MID-YEAR
»
Aug. 1, 2019
June 30, 2019
F3
$30,834.38
$1,145.30
$121,807.39
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