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Recipient Committee Type or prinUn |nk. <br /> ~mounts may be rounded Statement covers period S U M MARY PAGE <br />Summary Page to whole dollars. <br /> <br /> from 7-1-9/4 <br /> <br /> SEE INSTRUCTIONS ON REVERSE through12- 31 - 94 Page, 2 of 5 <br /> NAME OF COMMITTEE I.D. NUMBER <br /> InvolvemenL Hakes Political Action Count 830435 <br /> Contributions Received Column A Column B* Column C <br /> TOTAL THIS PERIOD TOTAL PREVIOUS Pt NOD TOTAl. TO DATE <br /> <br />1. Monetary Contributions ............................... ScheduleA, Line3 S 625.0[~ S S 625.00 <br />2. Loans Received ......................................... Schedule B, Line 7 - 0 - - O- - 0 -' <br />3. SUBTOTALCASHCONTRIBUTIONS ...................... AddLinesl+2 $ 625.00 S S625.00 <br />4. Non-monetary Contributions ......................... Schedule C, Line 3 - O- - O- <br />S. SUBTOTALCONTRiBUTlONSCExcludeEnforceablePromises) AddLines3 +4 S 62~. O0 S $ 625. <br />6. Enforceable Promises -0- -0- -0- <br /> (Exclude Loan Guarantees, Line 18 below} ................... Schedule D, Line 7 <br />7. TOTALCONTRIBUTIONSRECEIVED ..................... AddLinesS+6 S 625.00 $ S625.00 <br /> <br />Expenditures Made <br />8. Cash Payments (Other than Loans Made) ............ ScheduleE, Line5 $ 265.00 s 60,00 S 325.00 <br />9. Loans Made ............................................. Schedule H, Une 7 - O- - 0 - - 0 - <br />10. SUBTOTALCASHPAYMENTS ............................ AddUnesa+g S 265~00 S 60.00 $ 325.00 <br />11. Accrued Expenses (Unpaid Bills) ........................ Schedule F, Une S ( 9 5 . O0 ) 95. O0 -0- <br />12. TOTALEXPENDITURESMADE ......................... AddLines10+11 S 170.00 s 155.00 s <br />Current Cash Statement <br /> 13. Beginning Cash Balance PreviousSummaryPage, Une 17 S 13'. 98 * From previous Statement Summary Page, Column C. However if <br /> .................. this is the first report filed for the calendar )'ear, Column B should be <br /> blank except for Loans Received (Line 2), Enforceable Prom. ises (Line <br /> 14. Cash Receipts ...................................... ColumnA, Llne3above 625.00 6), Loans Made (Line 9), and Accrued Expenses (Line 11). <br /> 15. Miscellaneous Increases to C,~sh ........................ ScheduleI, Une4 -0- <br />16. Cash Payments .................................... ColumnA, Line 10above 265 ~ O0 <br /> Summary for Non-Controlled Committees <br />i7. ENDING CASH BALANCE ..... AddLines~$+l~+1$,thensubtractUnel6 S 373.98 Primarily Fo.rmed to SuPport or Oppose <br /> Ifthisisaterminationstatement, Line 17mustbezero. ~m~C~SHEA~NCES~OULO Candidates In Both June and November <br /> "OT~^"C~^T~A~OU"~ Elections <br /> 111 through 6/30 7/1 to Date <br />18. LOAN GUARANTEES RECEIVED .............. ScheduleB, PartI, Column(b~ $ -0.- 21. Contributions <br /> Received .... <br />Cash Equivalents and Outstanding Debts <br />19. Cash Equivalents ................................ Seeln~truction$onrever~e $ -0- 22. Expenditures <br /> Made ....... S <br /> <br />20. Outstanding Debts ................. AddLlne2 + Line 111nColumnCabove $ -0- <br /> <br /> <br />