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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
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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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CAMPAIGN DISCLOSURE STATEMENT SUMMARY PAGE <br /> I STATEMI;NT COil;RS PERIOD <br /> FORM 420, 430 OR 490 <br /> (Amounts May Be Rounded To Whole Dollars) 2/23/86 3/22/86 <br /> NAME OF CANDIDATE OR COMMITTEE: I I.D. NUMBER IIF COMMI~'i'EE) <br /> RICHARDS. CL/~I~E t 802499 (AMD~ <br /> <br /> COLUMN A COLUMN R COLUMN C <br /> <br />CONTRIBUTIONS RECEIVED 1979 3306 5285 <br /> I Monetary contributinfl.~ ............... $ $ $ <br /> <br /> 2. Loans received ....................... -~, ],, 4~ 0 1143 <br /> <br /> 6428 <br /> 3. SUBTOTAL CASH RECEIPTS ............ $ 3122 ~ 3306 $ <br /> <br /> 0 1632 1632 <br /> 4. Non-monetary contributions ............ <br /> <br /> 0 0 0 <br /> 5. Pledges ............................. ~CHEDULE D. UNE ? <br /> <br /> 6. TOTAL CONTRIBUTIONS ............... $ 3127~~ $ 4938 $ <br /> 8060 <br /> <br /> (sHou~ <br />EXPENDITURES MADE COLUMNS A + S) <br /> 1316 978 2294 <br />7. Payments ........................... $ $ <br /> 0 0 0 <br />8. Loans mode#* ....................... <br /> <br /> 9. SUBTOTAL .......................... 1316 978 2294 <br /> 10. Accrued expenses (unpaid billa) ......... 0 0 0 <br /> 11. TOTAL EXPENDITURES ................ $ 1316 a 978 s 2294 <br /> <br /> lee(IMPORTANT: SEE INSTRUCl10NS ON REVERSE FOR PREPARING THE SUMMARY PAGE CONCERNING REPORTING LOANS MADE, LiNE <br /> STATEMENT OF CHANGES IN FINANCIAL CONDITION <br /> 12. Csehonhan.d, at the beginning of this period. Enter "Cash on Hand st 1806 <br /> Closing Date' from previeua statement filed.) ...................... $ <br /> 3306 <br /> 13. Cash receipts this period (Line ~. Column B above) .................. <br /> 14. Miscellsneouaadjustmentatocesh(Schedule G, Line 8) ............. (12) <br /> 15. Cash payments this period (Line 9, Column B above) .............. .. 978 <br /> <br /> 16. Caahonhendatcloaingdete(I.inea12+13+14-15above) ................................. $ 4122 <br /> eNm.~ C~S. ON .A.O SHOULD <br /> <br /> 17. Cash equivalents {other assets held including outstanding loans made to others). Important: See <br /> instructions on reverse ................................................................ $ D <br /> 1143 <br /> 18. Outstanding debts (Line 2 + Line 10 of Column C above) ..................................... <br /> <br /> SUMMARY FOR CANDIDATES IN BOTH A JUNE AND NOVEMBER ELECTION (See Instruct~ohs on Reverse) <br /> <br /> 19. CONTRIBUTIONS RECEIVED: 5285 <br /> 20. EXPENDITURES MADE: 2294 <br /> <br /> <br />
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