Schedule I for Report FEC-41792
SCHEDULE I
AGGREGATION PAGE
NON-FEDERAL ACCOUNTS OF PARTY COMMITTEES
FOR FILING FEC-41792
Committee: NRCC
FEC ID: C00075820
Bank Account ID Number:
Acount Name:
NON-FEDERAL #1
Date From = 05/01/2002
Date Through = 05/31/2002
| This Period | Year To Date |
---|
RECEIPTS |
1. Total Receipts | 3003627.38 | 9130603.30 |
DISBURSEMENTS |
2. Transfers to FED or allocation account | 2510840.29 | 7051848.55 |
3. Transfers to State/Local Party | 295000.00 | 1766052.14 |
4. Direct State/Local Candidate Support | 0.00 | 6000.00 |
5. Other Disbursements | 108327.55 | 328113.70 |
6. Total Disbursements | 2914167.84 | 9152014.39 |
SUMMARY |
7. Beginning Cash On Hand | 85674.49 | 196545.12 |
8. Receipts | 3003627.38 | 9130603.30 |
9. Subtotal | 3089301.87 | 9327148.42 |
10. Disbursements | 2914167.84 | 9152014.39 |
11. Ending Cash On Hand | 175134.03 | 175134.03 |
Bank Account ID Number:
Acount Name:
NON-FEDERAL #2
Date From = 05/01/2002
Date Through = 05/31/2002
| This Period | Year To Date |
---|
RECEIPTS |
1. Total Receipts | 0.00 | 300000.00 |
DISBURSEMENTS |
2. Transfers to FED or allocation account | 0.00 | 0.00 |
3. Transfers to State/Local Party | 10000.00 | 316822.50 |
4. Direct State/Local Candidate Support | 0.00 | 0.00 |
5. Other Disbursements | 0.00 | 750.00 |
6. Total Disbursements | 10000.00 | 317572.50 |
SUMMARY |
7. Beginning Cash On Hand | 46113.50 | 53686.00 |
8. Receipts | 0.00 | 300000.00 |
9. Subtotal | 46113.50 | 353686.00 |
10. Disbursements | 10000.00 | 317572.50 |
11. Ending Cash On Hand | 36113.50 | 36113.50 |
Bank Account ID Number:
Acount Name:
NON-FEDERAL Building Fund
Date From = 05/01/2002
Date Through = 05/31/2002
| This Period | Year To Date |
---|
RECEIPTS |
1. Total Receipts | 350000.00 | 700000.00 |
DISBURSEMENTS |
2. Transfers to FED or allocation account | 0.00 | 0.00 |
3. Transfers to State/Local Party | 40300.00 | 40300.00 |
4. Direct State/Local Candidate Support | 0.00 | 0.00 |
5. Other Disbursements | 325849.27 | 624802.54 |
6. Total Disbursements | 366149.27 | 665102.54 |
SUMMARY |
7. Beginning Cash On Hand | 106426.90 | 55380.17 |
8. Receipts | 350000.00 | 700000.00 |
9. Subtotal | 456426.90 | 755380.17 |
10. Disbursements | 366149.27 | 665102.54 |
11. Ending Cash On Hand | 90277.63 | 90277.63 |