Jemma Dolan - Constituency Office Operating Expenses
Figures for April 2019 - September 2019
Account Name | Transaction Date | Transaction Amount | Expenditure Description | Supplier Name |
---|---|---|---|---|
Office Utilities - Water | 01-Apr-19 | £149.49 | Apr 19 - Mar 20 | Northern Ireland Water |
Members Office - Oil | 13-May-19 | £125.00 | Fuels & Lubricants - Apr 19 | Jemma Dolan MLA |
Members Office - Oil | 29-Jul-19 | £170.00 | Fuels & Lubricants - Jul 19 | Jemma Dolan MLA |
Office Utilities - Electricity | 13-May-19 | £70.18 | Jan - Apr 19 | Power NI |
Office Utilities - Electricity | 02-Aug-19 | £51.59 | Apr - Jul 19 | Power NI |
Members Office - Telephones | 13-May-19 | £131.98 | Apr 19 | Rainbow Communications |
Members Office - Telephones | 24-May-19 | £128.94 | May 19 | Rainbow Communications |
Members Office - Telephones | 19-Jun-19 | £128.62 | Jun 19 | Rainbow Communications |
Members Office - Telephones | 18-Jul-19 | £130.78 | Jul 19 | Rainbow Communications |
Members Office - Telephones | 19-Aug-19 | £129.23 | Aug 19 | Rainbow Communications |
Members Office - Telephones | 26-Sep-19 | £130.43 | Sep 19 | Rainbow Communications |
Sundry Expenses | 10-Jun-19 | £16.93 | Apr 19 | Jemma Dolan MLA |
Sundry Expenses | 10-Jun-19 | £14.04 | May 19 | Jemma Dolan MLA |
Sundry Expenses | 02-Aug-19 | £13.35 | Jul 19 | Jemma Dolan MLA |
Sundry Expenses | 02-Aug-19 | £10.34 | Jun 19 | Jemma Dolan MLA |
Recharge: Consumables | 07-Jun-19 | £0.56 | Jun 19 | NI Assembly |
Recharge: Consumables | 24-Jul-19 | £110.27 | Jul 19 | NI Assembly |
Recharge: Ink Cartridges/Toner | 24-Jul-19 | £182.59 | Jul 19 | NI Assembly |
Total | £1,694.32 |