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, <br /> SHORTFORM <br /> RBC�plelit COt111Y11tt@e lype or pr�nt�n�nk.. stats nt covers per�od <br /> � Amounts may be rounded ' <br /> Campaign Statement to wnae dana�. nom I � �.o�3 � � � , <br /> Summary Page <br /> through� �d �D!� paga� of� <br /> NAME OF COMMITTEE I.D:NUMBER <br /> �v��e�c��r o� �-�d ��.r,�l Cf , `�',�1 G 1 Z Co �O 6 Co � <br /> Expenditures Made , ' <br /> 1. Expendltures of�100 or more made this period............................................................................................................ ..................... $ <br /> 2. Expenditures under$100 made this period(Not iternized.).............................................................................................'....................... <br /> 3. SUBTOTAL EXPENDITURES MADE THIS PERIOD ......................................................................................................................... Add�.fies 1 +2 $ �10� <br /> 4. Nonmonetary Adjustment................................................................................................. .....................................From Llr►e 8 Below . � <br /> 5. Total expenditures made from previous statement..... ..... .....................`...,,......,...................,..,.......Prevlous Summary Page, Line 8 $ � <br /> (!f fhis Is the flrst stafernent for the calendar year,enfer z�rro.) " '� <br /> 6. TOTAL EXPENDITURES MADE TO DATE .............................................................................................................�.........,..........Add Lines 3+4+5 $ /l0/D <br /> Contributions Received <br /> 7. Monetary c:ontributions received this period ........................................................................................................................................... $ � <br /> 8. Non-monetary contributions received this period.................................................................................................................................... � <br /> 9. Total contributions received ftom previous statement.........................................................................PrevJous SummaryPa�e, Llne 90 � � <br /> (If fhis is the fJist statement for the calendar year, enter zero.) <br /> 10.TOTAL CONTRIBUTIONS RECEIVED TO DATE.........................................................................................................................Add Lfnes 7+8+g $ � <br /> ��� � <br /> Current Cash Statement <br /> 11.Beginning cash balance .....................................................................................................................Previous Summary Page Li»e 15 $ l�I `t <br /> , <br /> 12.Cash receipts this period.................................................................................................................................................... Line 7 above � � <br /> 13.Miscelianeous increases to cash................. ..................................................... ................:............................................................. $ � <br /> .... <br /> 14.Cash expenditures this period.............:. ,,........ Line 3 above ! �r�lD <br /> . .... ... ..................................................... ...................................... <br /> 15.ENDING CASH BALANCE THIS PERIOD.....................................................................................Add Lines 11 + 12+ 13, then subfrect Line 14 $ �5�� <br /> FPPC Form 460(Januaryl05) <br /> , FPPC Toll•�ree Helplinec 886/A3K-FPPC(8881275-3772) <br />