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Citizens to Protect RWC PAC 07-01-2008 thru 09-30-2008 Quarterly 460
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460 - Recipient Committee Campaign Statement
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Citizens to Protect RWC PAC 07-01-2008 thru 09-30-2008 Quarterly 460
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Last modified
11/12/2019 10:15:11 AM
Creation date
11/12/2019 10:15:10 AM
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Political Reform
Political Reform - Document Type
Campaign Statement
Name
Citizens to Protect RWC PAC
Committee Name
Citizens to Protect Redwood City PAC
Identification
130639
Treasurer
Barbara J. Valley
Date
10/7/2008
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,� .�, <br /> � :a�npaign Disclosure Statement Type or print in ink, SUMMARYPAGE <br /> Amounts mey be rounded SWtement covars perlod � - <br /> a�nmary Page to whole doilars. / � � <br /> from 7� / — O � • ' <br /> �WSTRUCTIONS ON REVERSE through 9� 3 G '�� Pege Z of�. <br /> �OF FILER � � �j ��D. NUMBEF <br /> C It1LLN5 �6 12c7lECT J\YDUkDOI+/? �oLlf/tAL �JQ/a�N oHfn�/flcG /3a �763 <br /> ColumnA ColumnB Calendar Year Summary for Candidates <br /> :ontributions Received TorA�TH�sr�A�oo CI.IENDARYEAR Runninn m Both the 5tate Prima and <br /> �FRQNATfPCMED5CNEWLES) TOTALTOQ�.TE D �Y <br /> �� Generel Elections <br /> Monetary Contributions ........................................... Scnadu�e n.1me 3 g `f a 40.00 g •�0 <br /> � i/7 inrough 6rlo 7/t to Dete <br /> Loans Received .._......_........_.........._.................... scneao�e.u�e3 —8" <br /> . SUBTOTALCASH CONTRIBUTIONS ......................... ada unes r+ z S g Z0. Contributiona <br /> Received 5 $ <br /> . Nonmonetary Contributions.................................... scneau�e c,tine a 21. Expenditures <br /> . -POTALCONTRIBUTIONSRECEIVED ...... ....................qdy�ines7�o $ g Mede S $ <br /> :xpenditu�es Made Expenditure Llmit Summary for State <br /> ,,. <br /> . Payments Made....................................................... scnedu�ee,une a $ � /::`I � ! � S G ��� Ca�dfdates <br /> _ Loans Made............................................................. scnadu�e H,tine 3 <br /> 22. Cumulative Expenditurea Made' <br /> SUBTOTALCASHPAYMENTS .................................... Addl.inese* � S S (tlBuEJectloVOlunuryE�anEllurolJmiq <br /> _ Accrued Expenses (Unpaid Bills) ...............................scnedweF,iine 3 Date ot eieetion Total to Oate <br /> il_Nonmonetary Adjusiment ..........................................sceadu�ec,iine 3 (mri✓ddtyy) <br /> 1.70TALEXPENDITURESMADE................................qadu�esate� �o $ S __�_� $ <br /> :urrent Cash Statement —�--� $ <br /> 2 Beginning Cash Balance....................... aie��ous summaryaepe.�me is S To calculate Coiumn B,add <br /> 3.CeSh RBCCiplS ................................................... Column A,Line 3 above amounts in Column A to the <br /> corresponAing amounls •p,mounts in this section may he differenl from amounts <br /> 4.Miscellaneous Increases to Cash........................... 5cnedule l.Una a hom Column B of your last reportad in Column 8. <br /> 5.Cash Pa ment5..........._....... report. Some amounts in <br /> y .............................. Coiumn a.�ine a aaove Column A may be negative <br /> �.ENDINGCASHBALANCE.......... addLines ts. f3. io,tnensu�trac(Line 75 S fgures that should be <br /> subtraqed from previous <br /> �7 this is a termination stelemenf, Une 16 must be zero. period amounts. If this is <br /> . the firat report being filed <br /> T.LOAN GUARANTEES RECEIVED ........................... scneau�e e.Pan z 5 —f�'� fa� �his wlendar year, onty <br /> wrry over the amounts <br /> ash Equivalents and Outstanding Debts an�,Lines 2, 7, and 9(if <br /> 8. Cash EquIV818nfS........................................ See insrrvctions on reverse S �� <br /> 9. OutslBnding DCblS......................... Aed Line 2�line 9 in Column A aDOVe $ -�� FPPC Form 460(Januery105) <br /> FPGC Toll-Free Melpline:866IASK-FPPC(866l275-3772) <br />
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