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! <br /> Schedule I <br /> Miscellaneous Increases to Cash <br /> SEE INSTRUCTIONS ON REVERSE <br /> NAME OF FILER <br /> ROSANNEFOUST <br /> DATE FULL NAME AND ADDRESS OF SOURCE <br /> RECEIVED (IF COMMITTEE,ALSO ENTER I.D.NUMBER) <br /> BARBARA PIERCE FOR CITY COUNCIL <br /> 12/28/07 <br /> REDWOOD CITY CA-ID#990750 <br /> ALLCIA AGUIRRE FOR CITY COUNCIL <br /> 12/28/07 <br /> REDWOOD CITY CA-ID#1276471 <br /> Aftach additional information on appropriately labeled continuation sheets. <br /> Type or print in ink. <br /> Amounts may be rounded <br /> to whole dollars. <br /> Statement covers period <br /> from 10/20/07 <br /> through 12/31/07 <br /> DESCRIPTION OF RECEIPT <br /> REIMBUSTMENT FOR MAILER <br /> REIMBUSTMENT FOR MAILER <br /> Page 12 of 12 <br /> I.D.NUMBER <br /> 1253171 <br /> AMOUNT OF <br /> INCREASE TO CASH <br /> 205.00 <br /> 287.00 <br /> SUBTOTAL 5 492.00 <br /> Schedule I Summary <br /> 1. Itemized increases to cash this period. .......................................................................................................................$ 492.00 <br /> 2. Unitemized increases to cash of under$100 this period.............................................................................................$ � <br /> 3. Total of all interest received this eriod on loans made to others. Schedule H, Column e . � <br /> P i � ) ) .................................$ <br /> 4. Total miscellaneous increases to cash this period. (Add Lines 1, 2, and 3. Enter here and on the <br /> SummarPa e, Line 14. .................................................................................................. TOTAL $ 492.00 <br /> Y 9 ) ......................... <br /> FPPC Form 460(January/O5) <br /> FPPC Toll-Free Helpline:866IASK-FPPC(866/275-3772) <br />