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' ' SIJMMARY <br />campaign Disclosure Statement <br />Summary Page ,. who,. do..ro, l'ro"' '"'- ' -'~' ~illlklliilidEdm~l~ <br />~ OF Oi:F~EHOL[)ER OR CANDI[D, TE AIDE) CONTFIOLLED COMMITTEE: I I D FI. JMBER <br /> <br />Contributions Received Colunm I Colunm l* Colunm C <br /> TOTAL 11.e8 PEG TOTAl. PREVlI~ P~RIO0 TOTAL TO DAlE <br /> fROM ATTACHED ~CHEDULE~ (SEE NOIE BELOWI (AOO <br /> <br />1. Monetary Co~dfibuUons .................................................................. Schedule A. Line 3 $ - , S <br />2. Loans Received .............................................................................. Schedule B. Line 7 <br />3. SUBTOTAL CASH CONTRIBUTIONS ................................................. AddLines ! · 2 <br />4. Non-monetary ConUibutions ........................................................... Schedu/e C././ne 3 ---" <br />5. SUBTOTAL CONTRIBUTIONS (Excluding Enforceable Promises) .... Add L~nes 3 · 4 S <br /> <br />6. Enlorceabie Promises (Exclude Loan Gua~anlees, L~ne 18 be/ow)Sc~ D, L~ne 7 "--' ~;~ <br />7. TOTAL CONTRIBUTIONS RECENED ................................................. Add Lims 5 + 6 $ <br /> <br />Expenditures bdo <br />8. CashPaymenm (O~her #mn Loans Ma~) ...................................... Schedule E. Line5 $ -'-- <br />9. Loan~ Made .................................................................................... scheu~e H. L~ 7 <br /> <br /> 10, SUBTOTAL CASH PAYMENTS ........................................................... Ack~ Lirm~ 8 + 9 $ $ 4~Z.~ $ '~'~ <br /> 11. Accrued i::xpep__~e~_ (Unpaid Bills) ................................................... Schec~le F. Line 5 '--' <br /> 12. TOTAL F-XPENDITUFES MADE ....................................................... AddL/ne~ I0, f! $ ---' S ,c:l-~.c:~) $ 4~.9..~ <br /> <br />Cmv~nt ~ <br />13. ~ Cash Balance ......................................... Pre~ Summ~ PaOe. Lira ~Z $ 1'70C) *From I~evloue Slatemefd Sunvna~/Page. Column C. <br /> Howev~, ii ~ le the fkM report filed for the calendm <br />14. Cash I:~p18 ........................................................................ ~ A. L/ne 3 abo~ ~ year, Cokmn 6 Ihould be blank excepl for Loans <br /> Received (Line 2). Enlorceable Pfomlses (Line 6), Loans <br />15. Miacell~ In~esae~ lo C86h .................................................... S~J~ldu/a I. Line 4 ~ Made (Line 9). Ind Acclued Eq~maes (Line 1 I). <br /> <br /> 16. Cash Paymm~ ................................................................... Column A. Line lO ~Jo~e <br /> 17. ENBIM4~ CASH BJI&.AI~E ........... Add Lmes 13, 14 + 15, Ihen sul:Wac~ L~ne 16 S <br /> [NON3 CAS. eA~CE s.o~o Sununmy for Clndidotes In Both June <br /> I1 f~s is a Te~mi,atk~ Stmement. Line l 7 n~st Ioe zero. NOT,.= ^,~G*m,~ ~mum and November Elections <br /> <br /> 18. LOAN GUARANTEES RECENED ................................ Schedule B, Part I. Cotumn (b) S '~ 1/1 Ibm 6/30 711 Io Date <br /> , 21. Contributions <br /> Cash Equivalents and Outstanding Debts Received ....... <br /> <br /> 19. Cash Equivalents .......................................... See Instruct;ohs on reverse $ "-' <br /> 22 Expenditures <br /> <br /> 20 Oulslandm§ Debts Add I ;ne 2 · 1 lne I 1 in Column C above $ Made ........... $ -'"-~ -"'"' <br /> <br /> <br />