Green for Salem City Council - Anne Marie: Committee
Finance Summary
$0 Starting Balance on June 16, 2022
| Count | Receipt | Type of Receipt |
|---|---|---|
| 3 | $3,547 | Cash Contributions More than $100 |
| 7 | $596 | Cash Contributions of $100 or Less |
| 2 | $132 | In-Kind Contributions More than $100 |
| - | $0 | In-Kind Contributions of $100 or Less |
| $3,725 | Loans Received | |
| $0 | Miscellaneous Receipts | |
| $8,000 | Receipts 6/16/2022-12/31/2025 |
| Expense | Type of Expense |
|---|---|
| $4,854 | Itemized Expenses |
| $132 | In-Kind Expenses |
| $999 | Loans Repaid |
| $47 | Surplus Funds |
| $6,032 | Expenses 6/16/2022-12/31/2025 |
$1,962 Ending Balance on Dec. 31, 2025
View amended report history for this committee
METHODOLOGY: Information on this page is derived from campaign finance reports filed by Green for Salem City Council - Anne Marie