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� <br /> Reci ient Committee Amounts may be rounded SHORT FORM <br /> " p to whole dollars. Statement covers perlod � � � � <br /> Campaign Statement 01/01/2016 . - � • � <br /> Summary Page from <br /> through 06/30/2016 page 2 of 2 <br /> NAME OF COMMITTEE I.D.NUMBER <br /> Friends of Redwood City PAC 1266668 <br /> Expenditures Made <br /> 1. Expenditures of$100 or more made this period $ � <br /> 2. Ex enditures under$100 made this eriod Not itemized. 86 <br /> P P � )..................................................................................................................... <br /> 3. SUBTOTAL EXPENDITURES MADE THIS PERIOD..............................................................................................................Add Lines 1 +2 $ 86 <br /> 4. Nonmonetary Adjustment...........................................................................................................................................From Line 8 Below � <br /> 5. Total expenditures made from previous statement .............................................................Previous Summary Page, Line 6 $ � <br /> . . . . . ...... <br /> (If this is the first stafement for the calendar year, enter zero.) <br /> 6. TOTAL EXPENDITURES MADE TO DATE Add Lines 3+4+5 $ 86 <br /> Contributions Received <br /> 7. Monetary contributions received this period............................................................................................................................................. $ 0 <br /> 8. Non-monetary contributions received this period..................................................................................................................................... � <br /> 9. Total contributions received from previous statement.........................................................................Previous Summary Page, Line 10 $ � <br /> (If this is the�rst statement for the ca/endar year, enter zero.) <br /> 10.TOTAL CONTRIBUTIONS RECEIVED TO DATE ......................................................Add Lines 7+8+9 $ � <br /> Current Cash Statement <br /> 11.Beginning cash balance......................... .............................Previous Summary Page, Line 15 $ 328 <br /> 12.Cash receipts this period......................................................................................................................................................Line 7 above � <br /> 13.Miscellaneous increases to cash � <br /> ............................................................................................................................................................. $ <br /> 14.Cash expenditures this period..............................................................................................................................................Line 3 above <br /> 86 <br /> 15.ENDING CASH BALANCE THIS PERIOD Add Lines 11 + 12+ 13, then subtract Line 14 $ 242 <br /> FPPC form 450(Jan/2016) <br /> FPPC Advice:advice�fppc.ca.gov(866/275-3772) <br /> www.fppc.ca.gov <br />