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CpnStmt Claire 820499 & 802499
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CpnStmt Claire 820499 & 802499
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Last modified
7/5/2005 2:39:25 PM
Creation date
5/6/2003 10:37:46 AM
Metadata
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Template:
Political Reform
Political Reform - Document Type
Campaign Statement
Name
Richard S. Claire
Committee Name
Claire for Council Committee
Identification
820499
Treasurer
Barbara Greenalch
Date
2/27/1982
Date Range
1980-1984
Box
see log sheet
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PAGE. 2 OF 6 <br /> <br /> STATEMENT COVERS PERIO. <br />SUMMARY PAGE FROM THROUG~ <br />FORM 490 <br />(AmountS May 8e Rounded To Whole Dollars) <br />NAME OF CANDIDATE OR OFFICEHOLDER AND CONTROLLED COMMITTEE: I.D. NUMRER <br /> <br /> COLUMN A COLUMN 8 COLUMN C <br />CONTRIBUTIONS RECEIVED Cumulative total Total this nad from <br /> <br /> 1. Monetary contributions. $ 2184 $ ?378 $ 4562 <br /> 11oo (11oo) o <br /> <br /> 3. SUBTOTALCASHRECEtPTS .................. $ 3284 $ 1278 S 4562 <br /> 4. Non-monetary contributions ................ 935 {~ 935 <br /> <br /> 5. TOTAL CONTRIBUTIONS WITHOUT <br /> ENFORCEABLE PROMISES ................... 4219 1278 5497 <br /> <br /> 6. Enforceable Promises (Except loan 0 0 0 <br /> guarantees, see Line ! 8 below) .............. <br /> $ 4219 $ $ 5497 <br /> 7. TOTAL CONTRIBUTIONS .................... u~s s · ~ u~s <br /> <br /> EXPENDITURES MADE S 1339 $ 1683 S <br /> 8. Payments ................................. sc. Eou~ [.UN~ S · <br /> 0 0 <br /> 9. Loans Made ............................... <br /> <br /> l'q'~q ~6R~ 302~ <br /> 10. SUBTOTAL ................................ uN,si* ~ UN,SI. ~ ua~s8 .'~ <br /> 0 0 0 <br /> 11. Accrued expenses (u npai. d bi.lis) ............. <br /> S 1339 S <br /> 12. TOTAL EXPENDITURES ..................... u,~s,0 * 11 LINES '0 e II <br /> <br /> I*iF THiS iS THE FIRST REPORT RLED FOR THE CALENDAR YEAR, COLUMN A SHOULD BE BLANK <br /> EXCEFT FOR UNES 2, 6, 9 AND 11 (if applicable). <br /> <br /> STATEMENT OF CHANGES IN FINANCIAL CONDITION <br /> <br /> 13. Cashonhandatthebeginningofthisperiod. (Enter amount from $ 2960 <br /> Summary Page, L/ne 17, from previous statement filed.) ............ <br /> 1278 <br /> 14. Cash receiptS this period (Line 3, Column 8 above) ................... <br /> 1S. Miscellaneous increases to cash (Schedule G, Line 4) ................. 0 <br /> 16. Cash payments this period (Line 10, Column a above) ................ ] 683 <br /> 17. Cash on hand at end of reborting period (Lines 13 + 14 + 15-16above) $ 2555 <br /> (If this is a Termination Statement, Line 17 must be Zero.) ......................· . · · . . . · . . . IENO~GNO? ~CASkiA NEI~T~I~O# I~ANOAMOLit~?SHOULO <br /> 18. Amount of loan guarantees received (Schedule B, Part 1, Column (b)) ....................... <br /> 19. Cash equivalentS (other assets held including outstanding loans made to others). <br /> Important: See instructions on reverse .................................................. $ 0 <br /> $ <br /> 20. Outstandinc, ldebtS(Line2 + Line 11 of ColumnCabove) ................................... <br /> SUMMARY FOR CANDIDATES IN BOTH A JUNE AND NOVEMBER ELECTION (See Instructions on Reverse) <br /> I,I THRU 6~0 7/1 TO DATE <br /> 21. CONTRIBUTIONS REC£1VED: [ I <br /> 22. EXPENDITURES MADE: <br /> <br /> <br />
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