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Atherly 09-19-1999 thru 10-16-1999 Preelection 490
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490 - Officeholder Candidate and Controlled Committee Campaign Statement - Long form
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Atherly 09-19-1999 thru 10-16-1999 Preelection 490
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Last modified
9/24/2019 9:02:32 AM
Creation date
9/24/2019 9:02:32 AM
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Template:
Political Reform
Political Reform - Document Type
Campaign Statement
Name
La Verne Atherly
Committee Name
Friends of La Verne Atherly
Identification
991159
Treasurer
La Verne Atherly
Date
1/1/1999
Date Range
1995-1999
Box
5262
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Campaign Disclosure Statement Type or print in ink. SUMMARY PAG~ <br /> Amounts may be rounded Statement covers period CALIFORNIA 490 <br />Summary Page 1o whole dollars. ~__//?/ <br /> from_ . ? ~ 1994 FORM <br /> <br />NAME OF OFFICEHOLDER OR CANDIDATE AND CONTROLLED COMMITTEE I.D. <br /> <br /> 1. Moneta~ Contributions. .................................................... Schedule ~. L/ne <br /> <br />2. Loans Received ................................................................. Schedule 8, Line 7 ~ '~ ~ - - <br />3. SUBTOTAL CASH CONTRIBUTIONS ................................. AddLine,,+2 <br />4. Non.monetary Contributions ............................................ Schedule C. L,ne 3 0 <br /> <br />6, Er~orceable Promises ~ ~ -~ '' <br />7. TOTAL CONTRIBUTIONS RECEIVED ................................ Add L,nes 5 * ~ $ - ~ ~ ~ ~ $ <br /> <br />Expenditures Made <br />8. Cash Payments (Olher than Loans Uade~ ................... Schedule E, [~ne 5 $ ~ 0 ~ ~ $ <br /> <br />9. Loans Made .................... · ....................................................Schedule H. <br /> <br /> o o <br /> 11. Accrued Ex~enses (Unpaid Bills) .................................... Schedule~[in. 5 <br /> !2. TOTAL EXPENDITURES MADE .......................................... Add Line, ,O .1' $ <br /> <br />Current Cash Statement <br /> 13. Beginning Cash Balance .............. : ............... pmv/ous Summary Page, Line IZ $ -- ~ this is the firsl re~ ~1~ f~ the cale~ar year, C~umn B s~ld <br /> 14. Cash Receipts ............................................................. Column A. Line 3 above ~ ~ ~' ~ ~ ~ blank excepl ~ L~ns Re~iv~ (Li~ 2). Enf~ceeble Pr~is~ <br /> <br /> CaS~ ................................... Schedule I. Line 4 ~*~~~~ ~:ine 6), L~ns M~e (U~ 9), ~ A~ Ex~s.(U~ 11). <br /> 1 <br /> 5. <br /> Miscellaneous <br /> Increases <br /> to <br /> <br /> Summa~ for Cahdidetes in Both June and <br /> 17. ENDING CASH BALANCE ............. Addr/ne~ 13 + f4 + 15, then subtract Line 16 $ ENO,.~C~S.~CE~"OULD " November Elections <br /> If this ts a te~lnatlon etatement, Line 17 must be zero. NO~ 8E A NE~rlVE ~OUNT <br /> <br /> 18. LOAN GUARANTEES RECEIVEQ .................. Schedule B, Part I, Column (b) ~ O 21. Contributions <br /> <br /> Cash Equivalents and Outstanding Debts <br /> 19, CaSh Equivalents.: ..... ;..'.'. ........................................ Seelnstruc~/ons on reverse $ 0 Made ..................$ .. -- <br /> 20. Outstanding Debts ................................ AddLIne2+Llne fflnColumnCahove <br /> <br /> <br />
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