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CAMPAIGN DISCLOSURE STATEMENT SUMMARY PAGE <br /> FORM 420, 430 OR 490 <br /> <br /> (AmounTs Ma,/ Be RoundeC To Who~e Dol~ars~ <br /> i 2-27-82i3-27-82 <br /> <br />Claire for Council Committee I 820499 <br /> <br />CONTRIBUTIONS RECEIVED <br /> <br /> 1. Monetary contributions .......... $ 4~9 $ 1.401 <br /> 2. Loans ...................... 1,000 -- ll000 <br /> 3. Subtotal .................... $ 1~4~) $ 1,401 $ 2.qO0 <br /> 4. Non-monetary con=ributions ....... 410 ---- h 10 <br /> 5. Pledges ..................... - ..... <br /> 6. TOTAL CONTRIBUTIONS ........ S 1,909 $ li401 $ <br /> <br />EXPENDITURES MADE <br /> 7. Payments .................... $ 760 735 s 1,495 <br /> <br /> a. ~cc~ued expeme~ lu.npaid t~ills~ ..... -- 152 1 <br /> 2 <br /> <br /> 9. TOTAL EXPENDITURES ........ $ 760 $ 887 s 1~647 <br /> <br /> STATEMENT OF CHANGES IN FINANCIAL CONDITION <br /> <br /> 10. Cash on hand at the beginning of this period ...................... $ 73 <br /> 11. Cash receipts this period (Line 3, Column B atx}ve) ................. 1.401 <br /> 12. Miscellaneous adjustments to cash (Schedule G, Line 7) .............. -- <br /> 13. Cash paymeo~s This period (line 7, Column B above) ................ 7 <br /> 14. Cash on hand at cld~ing date (Lin~ 10+I I+12-13 above} ............. '1 <br /> <br /> 15. Outstanding deb~ (Line 2 + Line 8 of Column C above) .............. 1,15 <br /> 2 <br /> <br /> 16. Ending surplus (if Line 14 is grea[er Than Line 15, suba'ac~ llne 15 from Line 14) ............ S 253 <br /> 17, Ending deficit (if Line 15 is greater Than Line 14, subtract Line 14 from Line 15) ............ $ f 0 <br /> <br /> SUMMARY OF JUNE AND NovEMBER ELEcTIONs (See In~zruc~ions on Reverse) <br /> <br /> 18. CONTRIBUTIONS RECEIVED: I <br /> 19. EXPENDITURES MADE: <br /> <br /> <br />