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Recipient Committee Type or print In Ink. <br />p <br />Statement covers periodCALIFORNIA <br />_ <br />_ SHORT FORM <br />Amounts may be rounded <br />Campaign Statement to whole dollars. <br />7/1/13 <br />• 1 <br />Summary Page <br />from <br />FORM <br />12/31/13 <br />� <br />J <br />through <br />Page <br />of <br />NAME OF COMMITTEE <br />I.D. NUMBER <br />Redwood City Teacher's Association Political Action Fund <br />1347115 <br />Expenditures Made <br />0 <br />1. Expenditures of $100 or more made this period..................................................................................................................................... <br />$ <br />0 <br />2. Expenditures under $100 made this period (Not itemized.).................................................................................................................... <br />0 <br />3. SUBTOTAL EXPENDITURES MADE THIS PERIOD......................................................................................................................... <br />Add Lines 1 + 2 <br />$ <br />0 <br />4. Nonmonetary Adjustment.......................................................................................................................................... <br />From Line 8 Below <br />0 <br />5. Total expenditures made from previous statement............................................................................... <br />Previous Summary Page, Line 6 <br />$ <br />(If this is the first statement for the calendar year, enter zero.) <br />0 <br />6. TOTAL EXPENDITURES MADE TO DATE.................................................................................................................................. <br />Add Lines 3 + 4 + 5 <br />$ <br />Contributions Received <br />0 <br />7. Monetary contributions received this period........................................................................................................................................... $ <br />0 <br />8. Non -monetary contributions received this period.................................................................................................................................... 0 <br />9. Total contributions received from previous statement......................................................................... Previous Summary Page, Line 10 $ <br />(If this is the first statement for the calendar year, enter zero.) <br />0 <br />10. TOTAL CONTRIBUTIONS RECEIVED TO DATE......................................................................................................................... Add Lines 7 + 8 + 9 $ <br />Current Cash Statement <br />0 <br />11. Beginning cash balance..................................................................................................................... Previous Summary Page, Line 15 $ <br />0 <br />12. Cash receipts this period.................................................................................................................................................... Line 7 above <br />0 <br />13. Miscellaneous increases to cash............................................................................................................................................................ $ <br />0 <br />14. Cash expenditures this period............................................................................................................................................ Line 3 above <br />0 <br />15. ENDING CASH BALANCE THIS PERIOD..................................................................................... Add Lines 11 + 12 + 13, then subtract Line 14 $ <br />FPPC Form 450 (January/05) <br />FPPC Toll -Free Helpline: 866/ASK-FPPC (888/275-3772) <br />