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CpnStmt Leipzig, M 951036
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CpnStmt Leipzig, M 951036
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Last modified
7/5/2005 2:36:21 PM
Creation date
11/19/2002 11:52:31 AM
Metadata
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Template:
Political Reform
Political Reform - Document Type
Campaign Statement
Name
Matt Leipzig
Committee Name
Friends of Matt Leipzig
Identification
951036
Treasurer
Larry Aikins
Date
8/18/1995
Date Range
1995-1999
Box
5262
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Campaign Disclosure Statement <br /> Summary Page <br /> 07/01/97 <br /> <br /> .~.~%?E OF OFFICEPfi)tDER OR C. ANDI DATE AN~ CONTROLL~-D C~f'-'M) I 1 El:: ~'~,la{jh 12 / 31 / 97 Page. 2 o~ 4 <br /> <br /> I.D. NU~ER <br /> Mact Leipzig, Friends of 1,fart Leipzig 951036 <br /> Con~btltlon$ Received Column A Column i~' Column C <br /> TOTA4.1141S PERIOD TOTA~ PP~--VIOU$ PERlC~) 'r~)TAJ_ TO DAT~ <br /> (1=~0~ ATTAC~D $CHEDtJ~.E$) [SEE NOTE B~ <br /> 1. MonetaryContrib~J~ons .................................................................. ScheduleA, Line3 $ C..00 $ 0.0,.7 $ 0. O0_ <br /> 2. Loans Received ............................................................................. Sche(luleB, Line 7 0. C'9 0.00 3.00 <br /> 3. SUBTOTAL CASH CONTRIBUTIONS ................................................ Add Lines 1 + 2 $. 0. CL0- $ O. 00 $ O. D 0 <br /> 4. Non-monetary Contributions .................. Schedule C Line 3 <br /> ............................. , 0.00 <br /> 5. SUBTOTAL CONTRIBUTIONS {Exciu 0lng Enfon:eable Prom;sss) .... Add LiNes 3 + 4 $ ,9.90 $ C.. 00 <br /> 6. Enforceable Promises (Exclude Loan Guarantees, Une 18 be[ow) Schedule D, LJr~e 7 ~. 0 C C.. 0 ~_ 6. 0 £, <br /> 7. TOTAL CONTRIBUTIONS RECEIVED ............................................. Ackl Lines 5,- 6 $ C,. O 0 $. 0 <br /> F~?ertd[lure$ Mede <br /> 8. Cash Payments (Otl~erlha~Loans Made) .................................. $cheouleE, Line5 $ 111.5-5 $ <br /> 9. Loans Made <br /> .............................................................................. Schedule H, Line 7 0. C 0 O ~ 0 C- 0.03 <br /> 10- SUBTOTAL CASH PAYMENTS ..................................................... Ao~fL/nes$+9 $ 111.5~ $ ~9!.51 $ ~.;003. O7 <br /> 11. Aocrue~ Expenses (Unpaid Bills) ................................................. Schedule F, LJne 5 0.0C. <br /> 12- TOTAL EXPENDITURES MADE .................................................... AdclLines10+11 $__ 111.56 $ 891.51 $__ 1_,.~03.07 <br /> Cur, mt Cam $~alement <br /> 13. Beginning Cash Balance ...................................... Previous SummaO, Page, L~ne ~ 7 $ 5'_. 9.3 <br /> 14. Cash Receipts 'From J:.rev~ous <br /> ................................................................... Column A, Une 3 above 0.0 O Howe/er, i~ mis is me firsl tel)orr ~e~ for '~e c alan~a~ <br /> tS. Miscellaneous Irtcmases to Cash year, C~)lum~ B shoulcl be bla~k exoel~ for LoaDs <br /> ................................................ Sche4ule l, Line 4 100.00 Rsoeived (1.~e 2), Enforce. able Pron~ses [L~e 6). Loans <br /> 16. Cash Peym e~ts ................................................................. Column A, Line 1D above 111.5 ,~ M~cle (Liras 9}, and Accrued Expeeses (IJne 11). <br /> 17. ENDIN~ CASI-I BALANCE ................ Actd Unss 13 ~. ~4 + ~5, lhen suOrracl Line 16 $ 40.34 <br /> If ;ltis is a Terminal;on Slalemenr, Line 17 mu~t be zero. E~C,,G C~_=~ S~.~. <br /> ~o~^.~u~v~uou~ Summary for CandkJates in Bo~ Jrme <br /> and November Elections <br />~8- LOAN GUARANTEES RECEIVED .......................... Sc. heduie B, Part 1, Cofu~nn (b) $ C. <br />C~s,% Equhrmk-,-,~s an~ O~Jtstan~ing Debts 1/1' thru 6/30 7/1 to Date <br /> 21. Contributions <br />19. Cash Equivalents ........................................................................................................ $ O. 00 Received $ 0.0 0 0.0 <br />20. Oulsta~clingDebts ................................... AddUne2+~"nel;inCofumnCabov~ $ 0 O0 22 Expenditures <br />S4::CW- PCa, POe~:,_~ (Rev. 3~4) · Ma~e .... _~ 0.0 0 0.0 0 <br /> <br /> <br />
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