Quarterly
Filed Doc ID: 495989 | Committee: District 230 Teachers Assn IPACE
Document Information
| Filed Date | 2013-04-04 |
| Document Type | Quarterly |
| Reporting Period | 2012-10-01 to 2012-12-31 |
| Pages | 3 |
| Amended | Yes |
| Clarification | Cash available at the Beginning of the reporting period = $2, 798.05 Expenditure = $1, 025 Total Expenditure = $1, 025 Receipts = $5, 780 Cash available at the End of the reporting period = $7, 553.05 |
| Signer | James Martin |
No itemized receipts or expenditures found for this filing.