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' Recipient Committee �Yn�o�a�M��n� �����W� s�T FoRM <br /> AmouMs msy ba rounded � i <br /> Campaign Statement � ���u��. � f ._�_ �j� ! i • <br /> 3ummary Page <br /> through �._.�sC�'"",�f� papa� ot ":�." <br /> NAMEOF COMMITTEE I.D.•NUMBER <br /> ; t�«��S �� ��-� c.�-��� ��� �,�-1 t: . � Z C� � �6 � <br /> Expenditures Made � . � <br /> 1. Expenditurea of$100 or more made this period..................................................................................................................................... $ <br /> (�,J <br /> 2. Expenditures under$100 made this period(Nrif itemized.)...................................................................................... ............................ ,�/� <br /> .. , i�l r� <br /> 3. SUBTOTAL EXPENDITURES MADE THIS PERIOD ................................................:........................................................................ Add Unes 1 +� $ <br /> , <br /> 4, Nonmonetary Adjustment............................................................................:.......................:.....................................From Line 8 Below �✓ <br /> 5. Total expenditures made from previous statement.. ...... ...................:....................... ...........:......P�vJous Summary Page, Line 6 $ � <br /> (!f thfs is the flrs#stafement fior the cetendsr year,enter zero.) � , <br /> 6. TOTAL EJCPENDtTURES MADE TO DATE ..................... . ...........................................,..,.�.....��...........................,,....�..............Add Un@s 3+4+5 $ r�l rJ <br /> Contributions Received � <br /> 7. Moneta contribuNons received this riod ,. ... $ � <br /> ry pe .......................................................... ..................... ...................................................... � <br /> 8. Non-mone�ry conG�ibutions recsived this period.........................:..................................... ................................................:......... .„ .. • � <br /> 8. Total cont�ibutions received from preyious statement.......... ................. . ................................... . ...Prevlous Summery Page,Une 10 $ �-!' <br /> (/f thls Is the flrst statement for tha calendar year, enter zero.) ;�, , <br /> ........................................................................................ � <br /> 10:TOTAL CONTRIBUTIONS RECEIVED TO DATE..................... .,..........Add Unes 7+8+9 $ <br /> Current Cash Statement <br /> 11.Beginning cash balance .....................................................................................................................Prev/ous SummaryPage,Llne 15 $ /� h'.7 <br /> 12.Cash receipts this period............... ................................................................................................................................. Une 7 above C.,� <br /> 13.Miscellaneous increases b cash...................:....................................:................. ................................................ ............,............. $ C�� <br /> 14.Cash expenditures this period............................................................................................................................................ Ltne 3 above ;;�./ `1� <br /> 15.ENDINC3 CASH BAI.ANCE THIS PERIOD.................................................................................... <br /> .Add Lines 11 + 12+13, then subtract Lfie 14 $ ��' ��� <br /> FPPC Form 460(Jenwry/05) <br /> FPPC Toll-Frea Helplinas 868lASK-FPPC(866/27li-3772) <br />