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Campaign DisclosureStatement 7YPa cr print In Ink. 3UMMARYA4t3E <br /> Amounts may be rounded Statema�t covers period <br /> Summary Page to whole dollara. � � � <br /> irom 1/1l2012 <br /> SEE INS7RUCTIONS ON REVERSE th�ough 6/30/12 P��e 3 0� 6 <br /> NAME OF FILER I.O. NUMBER <br /> Barbara Pierce for City Council 2011 990750 <br /> Column A Column B Calendar Year Summary�or Candidatea <br /> ContMbutions Received ,��,,�e�bo ���Y� <br /> (FROMATTACHEDBdi�Ul�p To�mo„� Runnin� in Both the State Primary and <br /> t3eneral Elections <br /> 1. Monemry ConMbu�ons ........................................... scnedure,a,u�•3 S 0.00 s 0.00 1/1 throuph 6/30 �» eo�ate <br /> 2. Loans Racaived ....................... sd�eauie e,u�3 0,00 0,00 <br /> ............................... <br /> 3. SUBTOTAL CASH CONTRIBUTIONS ......................... Add lines f+2 S 0,00 s 0,00 20. Contribudons <br /> 4. Nonmoneta Contribudona schedure c,l.ine 3 0,00 0.00 Raceived S S <br /> ry ' .................................... 21, Expenditures <br /> 5. TOTALCONTRIBUTIONSRECENED ••••..••...•..•.•.••.....•.addunes3+a S 0.00 s 0,00 M.d. S S <br /> Expendltures Made Expenditure Limit Summary tor State - <br /> 6. Payments Made....................................................... scneau�eE,unse S 1,000.00 s 1,000.00 Candidates <br /> 7. Loans Made............................................................. scneaure H��rne 3 0.00 0.00 <br /> 1,000.00 1 000.00 �2•Cumulative Expanditures Made" <br /> 8. SUBTOTAICASH PAYMENTS .................................... Add linese+7 S S + (Hauywlto�blunhry�cpewltunLlmk) <br /> 9. Accrued Expen�s (Unpaid Bills)...............................scheduteF uns 3 0.00 0.00 Dato oi Election Tota1 M Date <br /> 10.Nonmonetary Adjustmant ..........................................schedu�e c,Uns3 <br /> 0,00 0.00 (mmlddlyy) <br /> 11, TOTALEXPENOITURESMADE................................Addunese«sf oo s 1,000.00 S 1,000.00 �_� � <br /> Current Cash Statement —�—� $ <br /> 12.Beginning Cash Balance....................... PrevioussummaryPa�e,une is s 8,313.04 <br /> To calculate Column B,add <br /> 13.Cash ReCeipts .... Cdumn A,Une 3 above 0,00 amounb In Column A to th� <br /> ............................................... <br /> 56.05 �Reapondin9 smounts *q�punta in thia secbon may be dliferent from amounta <br /> 14.Miscellaneous Increasea to Cash........................... schedu�e i,Llne 4 from Column e ot your last reported in Column B, <br /> 15.Cash Payments,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,,, ColumnA,UneBabove 1,00�.00 report, Someamouittsin <br /> Column A mey be neyative <br /> 18.ENDINGCASH BALANCE..,...,.,. Addunes t2+t3•�e,tnsn sudtract une fs s 7,389,09 }�puros that shouid ba <br /> subtrectsd from previoua <br /> If fhls la a MnnlnaHon af�tsmsnt Uns 16 mu�bs zsro. period amounb. If lhis Is <br /> the flrst report belny flled <br /> 17,LOAN GUARANTEES RECEIVED........................... sd�edu�e 8,Pan 2 s for this calandar year,only <br /> carry ovar the amounb <br /> Ca8h E uivalents and Outstandin D@I�8 Trom Lines 2,�,ana a��t <br /> p � any). <br /> 18. Cash Equivalenb........................................ see inshucHons ai reverse S <br /> 19. OutstBnding Debts......................... Add Line 2+Llne 9 in Coiumn B above $ FPPC Form 480(January106) <br /> FPPC Toll•Free Helptlne:866/ASK•FPPC(886/276-9772) <br />