Cash and spending from Jan 1, 2025 to Apr 7, 2025

Opening balance $108,762.91
+ Total contributions $0.00
– Total expenditures $325.03
= Closing balance $108,437.88

Debts for the period ending Apr 7, 2025

Outstanding debt $50,000.00

Funds available and debts by filing

Contributions and expenditures by month