Friends Of Dave Mccormick Year-End 2024 Report
Filed on Jan. 31, 2025, covers activity between Nov. 26, 2024-Dec. 31, 2024
See this filing on FEC.gov
Summary
Total Receipts
$650,272
Total Expenditures
$1,487,747
Cash on Hand
$581,024
Contributions
$586,481
Unitemized Contributions
0.0%
Debts
$6,463,800
Notable: This report has individual expenses of at least $50,000.
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 |
---|---|
DIGITAL CONSULTING | $355,251.15 |
DATABASE MANAGEMENT | $200,769.67 |
FUNDRAISING CONSULTING | $156,394.99 |
PAYROLL | $109,961.49 |
PAYROLL TAXES / INSURANCE / PAYROLL PROCESSING FEES / PAYROLL BENEFITS | $106,899.50 |