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cAMPAIGN DISCLOSURE STATEMENT SUMMARY PAGE <br /> FORM 420, 430 OR 490 <br /> (AmounTs May Be Roundea To Whole DoHars~ <br /> I o ,~o 04 6-5-82 <br /> <br /> Claire £or Council Committee I 8204~ <br /> <br />CQNTfllBUTIONS RECEIVED <br /> <br /> 1. Monetary coh~ributions .;: . ...... $ 111900 818 $ 2.718 <br /> <br /> 2. Loans ...................... ] :[*)00 ~t~'1 <br /> <br /> 3. Subtotal .................... S 2,900 S ~182~ S 2,718 <br /> <br /> 4. Non-moneTary contributions ....... 410 296 706 <br /> 5. P,~. ................ 0 0 0 <br /> <br /> 6. TOTAL CONTRtBUTIONS'~;,,;... $ ~j~]~ $ ll~ $ ~.~P~ <br /> <br />EXPENDITURES MADE <br /> <br /> 7. ;,vmen~s .................... $ 1'~95 2,223 $ 3,718 <br /> 8. Accrued expenses (unpaid billsl ..... 1 i 1 5 2 · 1,0 19 <br /> 9. TOTAL EXPENDITURES ........ $ 2.647 s <br /> ..,..., .. ..,..., .. ,.-,,,,,.,, - ~ .':'.'-~.: -' -'o,,,,.. <br /> <br /> STATEMENT OF CHANGES IN FINANCIAL CONDITION <br /> <br /> 10. Cash on hand at the beginning Of this perio~ ...................... $ <br /> <br /> 1 I. Cash receipts this beriod (Li"a 3, Column S abOve)'. . . ...: .......... 818 <br /> 12. Mi~ceilaneeus adjuments to. cash (Schedule G, Line 7) .............. 0 <br /> 13. Cash ~aymen~s t~is period (Line 7, Column B above) ................ 2 <br /> 14. Cash on hand at clo~ing data (Line~ 10+11+12-13 shovel ............. <br /> 15. Outs~anding debts {Line 2 · I;~ne 8 of' Column C above) .............. 0 <br /> <br /> 16. Ending surplus (if Line 14 is ~rea~er ~han Line 15, subtract Line 15 from Line 14) ............ $ 0 <br /> <br /> 17. Ending deficit (if Line 15 is greeter ~an Line 14, subtract Line 14 from Line 15) ............ $ ( 0 ) <br /> <br /> SUMMARY OF JUNE AND NOVEMBER ELEC'FIONS (See In..~ruczions on Rever~e) <br /> 18. CONTRIBUTIONS RECEIVED: I <br /> 19; EXPENDITURES MADE: <br /> <br /> <br />