National Ready Mixed Concrete Assn. Pac (Concretepac) April 2022 Monthly Report
Filed on April 17, 2024, covers activity between March 1, 2022-March 31, 2022
This filing replaces an earlier report
See this filing on FEC.gov
Summary
Total Receipts
$151,789
Total Expenditures
$53,908
Cash on Hand
$288,693
Contributions
$151,789
Unitemized Contributions
0.0%
Refunds
0.8%
See Transactions from this Report
Top Spending Categories
The top five categories of spending as reported by the committee (these are not standardized).
Purpose |
Amount |
---|---|
$60,500.00 | |
Direct Contribution Re-designated funds for trans. dated 2/28/2022 | $2,500.00 |
Funds Reported On March 20th Monthly Report | $2,500.00 |
Credit Card Processing Fee | $487.61 |
Refund of 2021 Personal Contribution - Original Check Lost | $420.00 |