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Pierce 07-01-2000 thru 12-31-2000 Semi-Annual 460
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Pierce 07-01-2000 thru 12-31-2000 Semi-Annual 460
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Last modified
11/22/2019 11:04:01 AM
Creation date
11/22/2019 11:04:00 AM
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Template:
Political Reform
Political Reform - Document Type
Campaign Statement
Name
Barbara Pierce
Committee Name
Committee to Elect Barbara Pierce
Identification
990750
Treasurer
Danielle L. Del Carlo
Date
1/31/2001
Date Range
1995-1999
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Campaign Disclosure Statement <br /> Summary Page <br /> SEE INSTRUCTIONS ON REVERSE <br /> NAME OF FILER <br /> C,ornmi �"c�e -� E��cf <br /> Contributions Received <br /> Type or print in ink. <br /> Amounts may be rounded <br /> to whole dollars. <br /> Column A <br /> TOTAL 1HIS PERIO� <br /> (FROM ATfALHED SCHEDUIES) <br /> Statement covers period <br /> from <br /> Column B• <br /> TOTPL PREVIOUS PERIO� <br /> (SEE NOiE BELONq <br /> PAGE <br /> Page� of� <br /> I.D.NUMBER <br /> 99�1�a <br /> Column C <br /> TOTqI Tq DATE <br /> (COLUMNS A�B) <br /> 1. Monetary Contributions...................................................... scnedwe a,une 3 $ �,e� g �D ��0 0.D(j_ g ��y._(,��0 �� <br /> 2. loans Received................................................................... scneduie s.u�e� 0.0 0 —�3�'�g� �?�9 8 $'� <br /> 3. SUBTOTAL CASH CONTRIBUTIONS................................... .4dd�ines 7*2 $ � • �U $ �3 DS"� g.� s i3�cs� ,�a <br /> 4. NonmonetaryContributions............................................... scneewec.u�e3 O .CL' /S.S�06 /�S. G(? <br /> 5. TOTALCONTRIBUTIONSRECEIVED.................................... qddunes3+s $ %�.�U $ � 3 `��3.g'? $ 13,�5�3 . g� <br /> Expenditures Made <br /> 6. Payments Made........................ <br /> 7. LoansMade.............................. <br /> 8. SUBTOTAL CASH PAYMENTS <br /> 9. Accrued Expenses (Unpaid Bills)............ <br /> 10. Nonmonetary Adjustment....................... <br /> 11. TOTAL EXPENDITURES MADE ............ <br /> Schedule E,Line 4 <br /> Schedule H,Line 7 <br /> ..... Adtl Lines 6�7 <br /> ...Schedule F,Line 3 <br /> .................Schedule C,Line 3 <br /> .............Adtl Lines 8�9+ f0 <br /> $ P. �O $ /3 S83 08 $ /3��5�3.c£� <br /> C�,OO � b ou o cao <br /> $ D.oO $ /�, 5�'3. D8 $ 13.5"�308 <br /> c�.00 �,oc o.o�� <br /> P,op O,GZ� � oD <br /> $ C�. o� $ /3 58.�. b 8� $ i3�,$"13.0�' <br /> Current Cash Statement <br /> 12. Beginning Cash Balance................................ <br /> 13. Cash Receipts...........�......................................... <br /> 14. Miscellaneous Increases to Cash..................... <br /> Previous Summary Page,Line i6 <br /> .......... Column A,Line 3 above <br /> ................. Schedule l,Line 4 <br /> 15. Cash Payments............................................................ coi�m�a,u�e a above <br /> 16. ENDING CASH BALANCE..............Add Lines 72+ 73+ 74, then subliacf Line 15 <br /> If this rs a fermination sfatement,Line 16 must be zero. <br /> $ 0.oU <br /> Q.��% <br /> �S� �b <br /> 6 Ob <br /> s L���'.l� <br /> 'From previous s[atement Summary Page,Column C.However,ifihis <br /> is the first report filed for ihe calendar year,Column B should be blank <br /> exceplfor Loans Received(Line 2),Loans Made(Line 7),andAccrued <br /> Expenses(Line 9). <br /> Summary for Candidates in Both June and <br /> November Elections <br /> 1/1 lhrough 6/30 <br /> 20. Contributions <br /> 17. LOAN GUARANTEES RECEIVED................... Schedule e, Part�, Co�umn(b) $ �— Received............ $ <br /> Cash Equivalents and Outstanding Debts <br /> �8. CaSh EqUIVa10f115 ..................................................... See instrucfions on reverse <br /> 19. Outstanding Debts ................................... aed u�e 2+�/ne 9 in Column C above <br /> 21. Expenditures <br /> g �7.Oi� Made............ <br /> g �� 398.g�, <br /> 7/7 to Date <br /> �Q� <br /> ��/l� <br /> FPPC Form 460(8199) <br /> For Technical Assistance: 97 W322-5660 <br />
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