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PAGE ? OF 7 <br /> <br />~ CAMPAIGN DISCLOSURE STATEMENT SUMMARY PAGE STATEMENTCOVERS PER[C <br />'~ FORM 490 FROM THROUG~ <br /> (Amounts May Be Rounded To Whole Dollars) 2/25/90 3/28/90 <br />~ NAMF~CJF C~rANDIDATE OR OFFICEHOLDER AND CONTROLLED COMMITTEE: LD. NUMBER <br /> Klcnard S. Claire 802499 <br /> <br /> CONTRIBUTIONS RECEIVED COLUMN A COLUMN B COLUMN C <br /> Cumulative total <br /> from previous period* Total this period from Cumulative to date <br /> attached schedules (ColumnsA + B) <br /> 1. Monetary contributions ..................... $ $ 2184 $ 2184 <br /> SCHEDULE A. LINE 3 <br /> 2. Loans received ................. 1100 110(] <br /> SCHEDULE B, LINE 7 <br /> 3. SUBTOTAL CASH RECEIPTS .................. $ $ 3284 $ 3284 <br /> 4. Non-monetary contributions .......... · ...... 935 935 <br /> 5. TOTAL CONTRIBUTIONS WITHOUT SCHEDULE C. LINE 3 <br /> ENFORCEABLE PROMISES ................... 4219 4219 <br /> <br /> t~ p~Cxce-' loan U~ESS · 4 LINES 3 + 4 LINES 3 ~ 4 <br /> 6. <br /> Enforceable <br /> Promises <br /> 0 <br /> 0 <br /> guarantees, see Line 18 below) .............. <br /> <br /> 7. TOTALCONTRIBUTIONS .................... $ $ 4219 $ 4219 <br /> <br /> EXPENDITURES MADE <br /> $ $ 1339 $ co~o.~9~ .I <br /> 8. <br /> Payments ................................. SCHEDULE E, LINE 5 <br /> <br /> 9. Loans Made ............................... 0 <br /> 0 <br /> <br /> 10. SUBTOTAL ................................ 1339 1339 <br /> 11. Accrued expenses (t~npaid bills). 0 0 <br /> 12. TOTAL EXPENDITURES ..................... $ $ 1339 $ 1339 <br /> <br /> · IF THIS IS THE FIRST REPORT FILED FOR THE CALENDAR YEAR, COLUMN A SHOULD BE BLANK <br /> EXCEPT FOR LINES 2, 6, 9 AND 11. <br /> <br /> STATEMENT OF CHANGES IN FINANCIAL CONDITION <br /> <br /> 13. Cash on hand at the beginning of this period. (Enter "Cash on hand <br /> at end of reporting period "from previous statement filed.) ........ $ 1015 <br /> 14. Cash receipts this period (Line 3, Column B above) ................... 3284 <br /> 15. Miscellaneous increases to cash (Schedule G, Line 4) ................. 0 <br /> 16. Cash paymentsthis period (Line 10, Column B above) ................ 1339 <br /> <br /> 17. Cash on hand at end of reporting period (Lines13 + 14 + 15-16above) $ 2960 <br /> (If this is a Termination Statement, Line 17 must be Zero.) ................................. ENmNG C~SH O" "^NO SHOULD <br /> 18. Amount of loan guarantees received (Schedule B, Part I, Column (b)) ....................... $ 1100 <br /> 19. Cash equivalents (other assets held including outstanding loans made to others). 0 <br /> Important: See instructions on reverse .................................................. $ <br /> 20. Outstandinc, ldebts(Line2 + Line 11 of ColumnCabove) ................................... $ 1100 <br /> SUMMARY FOR CANDIDATES IN BOTH A JUNE AND NOVEMBER ELECTION (See Instructions on Reverse) <br /> 111 THRg 6/~0 711 TO DATE <br /> 21. CONTRIBUTIONS RECEIVED: <br /> <br /> 22. EXPENDITURES MADE: <br /> <br /> <br />