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RIIMMARY RAGF <br />RecipientCommittee Type or pdnt in ink I Statementceverspedod CALIFORNIA 450 <br />Campaign Disclosure Statement Amountsmayberounded 1994FORM <br />Summary Page to whole dolmrs from 07/01/99 <br /> through 09/18/99 Page 5 of 5 <br /> <br />N~ME OF COMMITiEE ID. NUMBER <br />PLUMBRS /LND STEAMFITTERS LOCAL NO. 467 STATE POLITICAL ACTION FUND 782481 <br />Expenditures Made <br /> <br />1. Expenditures of $1 O0 or more made this period ........................................................................ $ ZOr 350.00 <br /> <br />2, Expenditures under $100 (Not itemized.) ........................................................................... -0-. <br />3. SUBTOTAL EXPENDITURES MADE THIS PERIOD .............................................................. Add Lines 1 + 2 $ lot 350. O0 <br /> <br />4. Total e~endfiures made from previous statement ...................................................... Previous Summay Page, Line 5 38f750.00 <br /> (ff this is the first statement for the calendar year. enter zero.) <br /> <br />5. TOTAL EXPENDITURES MADE TO DATE ................................................................... Add Lines 3 + 4 $ 49 r 110. 00 <br /> <br />Contributions Received <br /> <br />6. Monetary coetribufions received this pedod .......................................................................... $ ** 21f015.00 <br /> <br />7. Non-monetary cordributions received this period ....................................................................... -0-. <br /> <br />8. Total contdbetions received Eom previous statement .................................................... Previous Summmy Page. Line 9 $ 49 r 420. O0 <br /> (If this is the first etetement for the calendar year, enter zero.) <br /> <br />9. TOTAL CONTRIBUTIONS RECENED TO DATE ............................................................. AddLines6+7+8 $ 70r435.00 <br /> <br />Current Cash Statement <br />10 Beginning cash balance ................................................................... PredousSummayPage, Lirm14 $ 31f368.34 <br /> <br />11 Cash receipts this period ............................................................................ Line 6 above 21 r 015.00 <br /> <br />12 Miscellaneous increases to cash ................................................................................ 0-. <br />13. Cash eq~endilures this period .......................................................................... Line 3 above 10 r 350.00 <br /> <br />14 ENDING CASH BALANCE THIS PERIOD ................................................... Add Lines 10 + 11 + 12, then subtract Line 13 $ 42,033.34 <br /> <br /> **CONTRIBUTIONS RECEIVED THROUGH INTERMEDIARY: <br /> PLUMBERS AND STEAMFITTERS LOCAL NO. 467 <br /> 1519 ROLLINS ROAD <br /> BURLINGAME, CA 94010 <br /> <br /> <br />