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Cam ai n Disclosur+eStatement 7ype or prirn !n Ink. 3UMMARYPAOE
<br /> P 9 Amounts may be roundsd Stat�m�nt aovera perlod
<br /> Summary Page to whole dollara. �
<br /> irom g/23/07 '
<br /> throuqh 10/20/07 p�Qe ,3 of �.
<br /> SEE IN3TRUCTIONS ON REVERSE
<br /> NAME OF FILER I.D. NUMBER
<br /> Committee to Elect Barbara Pierce 990750
<br /> Contrlbutlons ReCelved co�umn A co�umn s Calendar Year Summary for Candidate�
<br /> rorun+ieaER�oo ca�NO�r+v�w Runnln In Both the Stata Prim�lr and
<br /> (FROMATTACME08CHEGULE� TOT/LLTOMTE � y
<br /> 2 949,00 13,779,00 �eneral Electlona
<br /> 1. Monatery Contributions .......................•...,.,,,.,•••,,,.., Schedul�A,Line 3 $ � S
<br /> 2. Loans Received ...................................................... scnedub 8,Line 3
<br /> 0.00 0,00 1/1 throuph 8l30 �n �o ace
<br /> 3. SUBTOTAL CASH CONTRIBUTIONS ......................... Add unas f+2 s 2,949,00 $ 13,779,00 20. Contributlons
<br /> Racaived S S
<br /> 4. Nonmoneta Contributions scnedu�s c,Llne 3 0,00 0.00 Z� ��nditures
<br /> ry ....................................
<br /> 5. TOTALCONTRIBUTIONSRECEIVED .••.••••••••••••••••••••�••Addlinss3+4 $ 2,949,00 s 13,779,00 M�da S S
<br /> Expenditur'es Made Expenditure Limit Summary for 8tate
<br /> e. Paymanta Mada scnsdu�s e,Llns 4 3 7,813,32 $ 9,947,08 Candidates
<br /> 7. Loens Made............................................................. ScnedubH,llne3 0.00 0,00
<br /> 7,813,32 g�947,pg ZZ. Cumul�tive Expenditures Made"
<br /> 8, SUBTOTALCASH PAYMENTS .................................... Add lines e+7 $ $ (HSulywttoVblunhry�cp�ndltuhLlmR)
<br /> 9, Axrued Ex naes Un aid Bills Schedule F,Une 3 0.00 0.00 Drb of El�ctlon Totel to Dat�
<br /> Pe � P )...............................
<br /> 10.Nonmonetary Adjustment scnedub c,Una 3 0.00 0,00 (mm/dd/yy)
<br /> 11. TOTALEXPENDITURESMADE................................Addunsse+9+�o S 7,813,32 g 9,947,06 _�_� $
<br /> Current Cash Statement --�—J $
<br /> 12.Be�inning Cash Balance....................... ProWousSummaryPaae,Ltne te $ 10,867,30 To celculate Column B,add
<br /> 13.Cash Receipts ...................................••••,••••••..•,. CoiumnA,Une3above 2,949.00 amountelnColumnAtotho
<br /> 0,00 oorrsspondlnp amounts •Amounta In thls sectlon m�y b�difhnnt from�mounta
<br /> 14.Miscel�aneous (ncreases to Cash........................... Schedula l,Llna 4 from Column B of your lest r�port�d In Column B.
<br /> 15.Cesh Payments.................................................. ColumnA,unseacovs 7,813.32 nport. soms�mounte in
<br /> Column A may be nepativo
<br /> 16,ENDINGCASH BALANCE.,.,...... Add ltnes 12+t3+�4,then auDtract Line 16 $ 6,002,98 fipuns thet thould be
<br /> subtract�d from prsvioua
<br /> If thls!s e termineNo�atstsmsnf, Ltns 16 rrruat b�zsro. psrlod emountd. N this is
<br /> tha tirot nport bsinp fllsd
<br /> 17.LOAN GUARANTEES RECEIVED........................... schedub e,Pert 2 $ tor thls ce�end�r yaer, only
<br /> carry ovar tha amounb
<br /> Cash Equfvalents and Outstandinq Debts trom Lin..2,�,end 8(K
<br /> any).
<br /> 18. Caah Equivslenta........................................ sselnstructronsonroverse S
<br /> 19. Outstand'Ing Debte......................... Add Line 2+Une 91n Column e ebove $ FPPC Form 4Q0(Janu�ry/06)
<br /> FPPC Toii•Fra�Helplina:866/ASK•FPPC(866/2T6�3772)
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