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Borgens 10-18-2015 thru 12-31-2015 Semi-Annual 460
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Borgens 10-18-2015 thru 12-31-2015 Semi-Annual 460
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9/4/2019 9:49:13 AM
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9/4/2019 9:49:13 AM
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Political Reform
Political Reform - Document Type
Campaign Statement
Name
Borgens 2015
Committee Name
Committee to Elect Janet Borgens RWC Council 2015
Identification
1374422
Treasurer
Hollis Matheny
Date
1/5/2015
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Campaign Disclosure Statement Type or print in ink. <br /> Summary Page Amounts may be rounded SUMMARYPAGE <br /> to whole dollars. Statement covers period , � . � <br /> from OCtober 18, 2015 � - � • � <br /> SEE INSTRUCTIONS ON REVERSE through December 31, 2015 page 3 Of 7 <br /> NAME OF FILER <br /> Committee to Elect Janet Borgens for Redwood City Council 2015 �•D. NUMBER <br /> 1374422 <br /> Contributions Received ColumnA Column B Calendar Year Summary for Candidates <br /> TOTALTHIS PERIOD CALENDAR YEAR <br /> (FROMATTACFiEDSCHEDULES) TOTALTODATE Running in Both the State Primary and <br /> 1. Monetary Contributions ........................................... scnedu�e,a,Line3 $ 1,300.00 23,192.00 General Elections <br /> � <br /> 2. Loans Received ...................................................... scnedu�e e,Line 3 0.00 0.00 1/1 through 6130 7/1 to Date <br /> 3. SUBTOTAL CASH CONTRIBUTIONS ......................... add�ines 1+2 $ 1,300.00 $ 23,192.00 20. Contributions <br /> 4. Nonmonetary Contributions.................................... scneduie c,Line 3 0.00 820.00 Received g $ <br /> 5. TOTAL CONTRIBUTIONS RECEIVED ...........................Add tines s+q $ 1,300.00 Z�• Expenditures <br /> g 24,012.00 Made � $ <br /> Expenditures Made <br /> 6. Payments Made....................................................... scnedu�e e,L(ne 4 $ 4,785.09 $ 18,474,22 Expenditure Limit Summary for State <br /> Candidates <br /> 7. Loans Made............................................................. scnedu�e H,Line 3 0.00 0,00 <br /> 8. SUBTOTAL CASH PAYMENTS .................................... Add�ines s+� $ 4,785.09 $ 18 474.22 22• Cumulative Expenditures Made* <br /> ' (If Subjectto Voluntary Expenditure Limlt) <br /> 9. Accrued Expenses (Uflp8ld BIIIS� ...............................Schedule F,Line 3 0.00 0.00 <br /> Date of Election Total to Date <br /> 10. Nonmonetary Adjustment ..........................................scneduie c,Line 3 0.00 0.00 (mm/dd/yy) <br /> 11. TOTAL EXPENDITURES MADE................................Add Cines 8+g+�p $ 4,785.09 $ 18,474.22 <br /> --�-� $ <br /> Current Cash Statement <br /> ____1_J $ <br /> 12. Beginning Cash Balance....................... Previous summaryPaqe,Line 16 $ 8,204.94 <br /> 13. Cash Receipts ................................................... co�umn A,�rne s above 1,300.00 amountsan o�umn A t he -�--� <br /> 14. Miscellaneous Increases to Cash........................... scnedu�e�,Line 4 „$� corresponding amounts $ <br /> from Column B of your last ._J_� $ <br /> 15.Cash Payments.................................................. co�umn a,�ine e above 4,785.09 report. Some amounts in <br /> 16. ENDING CASH BALANCE.......... Add l.ines�2+13+�4,then subtract Line 15 4,720.65 Column A may be negative _�_J <br /> $ figures that should be $ <br /> lf this is a termination statement, Line 16 must be zero. subtracted from previous <br /> period amounts. If this is _____J__J $ <br /> the first report being tiled <br /> 17. LOAN GUARANTEES RECEIVED ........ . ....... schedu�e e,Part 2 $ 0.00 for this calendar year, only <br /> carry over the amounts 'Since January 1,2001. Amounts in this section may be <br /> Cash Equivalents and Outstanding Debts from Lines 2, 7,and 9 (if different from amounts reported in Column B. <br /> 18. CaSh Equivalents........................................ See instructions on reverse 0.00 any). <br /> $ <br /> 19. OutStanding Debts ......................... Add line 2+(ine s in Column B above $ 0.00 <br /> FPPC Form 460 (June/01) <br /> FPPC Toll-Free Helpline: 866lASK-FPPC <br />
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