2021 Bank Report
1/1/2021 - 1/31/2021
770949
Summary
Expenditures [1]
Export to PDF
Filer:
Ambrosino Committee (15264)
Filing Bank:
TD Bank
Filed On:
Tuesday, February 2, 2021
Reporting Period:
1/1/2021 - 1/31/2021
Beginning Balance:
$17,125.03
Total Receipts this period:
$0.00
Subtotal:
$17,125.03
Total Expenditures this period:
$3.00
Checking Ending Balance:
$17,122.03
Savings Balance as of 1/31/2021:
$0.00
Cash On Hand as of 1/31/2021:
$17,122.03
Date
Name/Address
Type
Purpose
Amount
Total Expenditures this Period:
$3.00
1/29/2021
PAPER STATEMENT FEE
Bank-Reported
TD BANK SERVICE CHARGE
$3.00