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Hartnett 01-01-1992 thru 06-30-1992 Semi-Annual 490
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490 - Officeholder Candidate and Controlled Committee Campaign Statement - Long form
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Hartnett 01-01-1992 thru 06-30-1992 Semi-Annual 490
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Last modified
10/15/2019 10:07:40 AM
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10/15/2019 10:07:40 AM
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Political Reform
Political Reform - Document Type
Campaign Statement
Name
James H. Hartnett
Committee Name
Hartnett for City Council
Identification
911876
Treasurer
Dennis W. Royer
Date
1/1/1992
Date Range
1990-1994
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SIIMMARY PA(*;I~ <br /> <br />Summary Page ~'--Y ~ ~ <br /> <br /> TOT~ ~ ~R~ TOT~ P~V~S ~ TOT~ TO ~TE <br /> <br />3. SUBTOT~ CASH C~TRIBUTIONS ................................................. A~ L~s f + 2 S ~ ~ ' $ S <br />5. SUBTOT~C~TRIBUT~S(ExcI~E~orce~ises) .... ~L~s3+4 S ~ r ~ { S ~ S ~ Z ~ {, <br />7. TOT~C~TRIBUT~~NED ................................................. A~L~s5+6 S ~ ~ ~ t S ~=~ S -~ ~L , <br /> <br />Exgenditurns Made <br />8. CashPaymenls (Other#~LoansMade) ......................... : ............ ScheduteE. Line5 $ ~ ? ~'-c:,~ ? S S / ~ %-?,p, q'9 <br /> <br />9. Loans Made .................................................................................... Schedule H. L~ne 7 <br />10. SUBTOTAL CASH PAYMENTS .... : ................................. ' ..................... AddLines 8 + 9 S $ $ <br /> <br />1 I. Accrued Expenses (Unpwd Bills) ................................................... Schedule F. Line 5 ' <br />12. TOTAL EXPENDITURES MADE ....................................................... Add Lines fO + 1! $ <br /> <br />Culprit Cash <br />13. Begging Cash BaJeJ~ce ......................................... P~evk)us Summary Page. Lk)e 1Z S [ L © © C~, ~*~ C~ *From p~evious StMemeM Summa~ Page. Cetumn C. <br /> Howevot. ii thk, i~ the fh'~t fopogl filed lei' the calendar <br />14. Cash Receipts ........................................................................ ~ A. Line 3 above ~' ~ / ~-' c © yeM. Column O Nto~d be blank except fm Loans <br /> Received (Line 2), Enk~caable Promises (Line 6). Loa~s <br />15. Idir, ceilaneous Increases to Cash .................................................... Sched~/e I. Line 4 <br /> Made (Line 9). and Accrued Expe~ses (Line t t). <br /> <br />16. CMh Paymerds ................................................................... Cotum~A. IJnelO above <br />17. F~NOCASH BJ~NC[ ........... Addl~nes 13, 14+ 15, thensubtractl~ne 16 $ ~ ~-'~' ~ ~ ~ ' <br /> ENaNG CAS. ~ 6.0ULO Smmnary for Candidates in Both Juno <br /> If fhis ~s a Tem~nefk~ $faren~r. Lk~e l T must be zero. Nore[^mGAnWAu0mT and November Elections <br /> <br />18. LOAN GUARANTEES RECEIVED ................................ Schedule B. Part I. Column (b) $ 111 thru 6/30 711 lo Date <br /> , 21. Cont.butions <br />Cash Equivalents and Outstanding Debts Received ....... <br /> <br />19. Cash Equivalents .............................................................. See instruclions on reverse S 22. Expenditures <br />20. Oulsla~ding Debls ..................................... Add Lme 2 + Line 11 in Column C above $ Made ............. $ <br /> <br /> <br />
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