SCHNEIDERMAN 2018

2018 July Periodic Report Summary Page


 Opening Balance   $8,503,308.97    
 Contributions   $390,689.38    
 Miscellaneous Receipts   $2,190.92    
 
 Total Receipts   $392,880.30
 Total Expenses   $1,459,699.84

 Closing Balance   $7,436,489.43
 
Report Date 09/24/18 09:09:42