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SUMMARY PAGE <br /> Summary Page Ty~e or Print In Ink. [ Statement ¢over~ period <br /> Amo[mls may bo rounded <br /> to whole dollar~. <br /> <br /> SEEINSTRUCTION$ONREVERS~ through 6-3(3-92 Page ~¥ of. <br /> NAME CE COMMITTEE: l D. NUMBER <br /> [nvotvemenf. Hakes Polit,ical Act,ion Count. 830435 <br /> Contributions Received Column A Column B* Column C <br /> ~ROU ATJrACHED SCHEDUI. E~ TOTAL PREVrOUS PE RtOO TOTAL TO DATE <br />1. MoDe ary Contr but ons .................................. Schedule A, Line 3 $ $ $ <br />2. Loans Received .............................................................................. Schedule B, Line 7 - 0 - - O- - 0 - <br />3. SUBTOTAL CASH CONTRIBUTIONS ................................................. Add Lines I + 2 $ $ $ <br />4. Non-monetary ConU'ibutions ........................................................... Schedule C, Line 3 <br /> <br />5. SUBTOTAL CONTRIBUTIONS (Excluding Enforceable Promises) ....Add Lines 3 + 4 $ $ $ <br />6. £nlorceable Promises (Exclude Loan Guaranlees, Line 18 below) Schedule D, Line 7 - O- - 0 ~ - [3- - [3 - <br />7. TOTAL CONTRIBUTIONS RECEIVED ................................................. Ad~ Lines 5 + 6 $ - O- $ $ - O- <br />Expenditures Made <br />8. Cash Payments (Other lhan Loans Made) ...................................... ScheduleE. Line5 $ 130.20 S S 130.20 <br />9. Loans Made .................................................................................... Schedule H, Line 7 - O- - 0 - - O- <br /> 10. SUBTOTAL CASH PAYMENTS ........................................................... AddLines8+9 $ 130.20 S $ 130.20 <br /> 11. Accrued Expenses (Unpaid Bills) ................................................... Schedule F, IJne 5 - 0 - - 0 - - O - <br /> 12. TOTAL EXPENDITURES MADE ....................................................... Add Lines10 + 11 $ 130.20 $ $ 130.20 <br />Cu~en~ Cash Statement <br />13. Beginning Cash Balance ......................................... Previous Summaq/ Page, Line 17 $ 490. 18 *From previous Sta~erneel Summary Page, ColumoC. <br /> However, if this Il Ihs firsl repo~l filed for ~e calendar <br />14. Cash Receipts ........................................................................ Column A, Line 3 above 0.00 year, Column B should be blank excepI for Loans <br /> Received (Mos 24 Enforceable Promises (Line 6), Loans <br />15. Miscellaneous Increases lo Cash .................................................... Schedule I, Line 4 0.00 Made (Una 94 and Accrued Expenses (Uno 11). <br />16. Cash Payments ................................................................... ColumnA, ~'ne 10 above 130.20 <br />17. ENDING CASH BALANCE ........... AddLines 13 + 14 + 15, Ihen subtract Line 16 $ 3.59.98 Summary for Non-controlled Committees <br /> <br /> ffthisis a Terminalion Statement. Line 17 must bo zero. E.a~ c.,a~ S~-~CE SHOUU) Primarily Formed to Support or Oppose <br /> NOTaEANEGATtVEAMOUNT Candidates in Both June and November <br /> <br />18. LOAN GUARANTEES RECEIVED ................................ Schedule B, Part I. Colume (b) $ 0.00 Elections 1/1 thru 6/30 711 to Dale <br /> 21. Contributions <br />Cash Equivalents and Outstanding Debts ~ Received ....... <br />19. Cash Equivalenls ............................................................... See instructions on feverse $ ~.00 <br /> 22. Expenditures <br />20. OulslandingDebls ...................................... Add Line 2 + Line llinColumnCabove $ 0.00 Made ............. $ <br /> <br /> <br />