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CAMPAIGN DISCLOSURE STATEMENT SUMMARY PAGE <br /> FORM 420, 430 OR 490 <br /> <br /> IAmounts May Be Roundea To Whole Oollarsl <br /> · ~ 1-8-82i 2-27-82 <br /> <br /> Claire for Council Committee I 820499 <br /> <br />CONTRIBUTIONS RECEIVED <br /> 1. Monetary contributions .......... $ S 499.00 s 499.00 <br /> <br /> 2. Loans ...................... l~000.00 1~000.00 <br /> <br /> 3.*$ub~0tal .................... S S 1,499.00 S 1,499.00 <br /> <br /> 4. Non-monetary contributions ....... 410.00 410. <br /> 00 <br /> <br /> 6. TOTAL CONTRIBUTIONS ........ S S 1~909.00 s 1~90~.00 <br /> <br />EXPENDITURES MADE <br /> <br /> 7. Payments. S :s 760.00 s 760.00 <br /> 8. Accrued expenses (unpaid bills) ..... 0 0 <br /> 9. TOTAL EXPENDITU RES ........ S S 7~0.00 <br /> <br /> b~I'ATEMENT OF CHANGES IN FINANCIAL CONDITION <br /> <br /> 1 Cl. Cash· on hend at the beginning of this period ...................... $ 0 <br /> 11.' Cas~ reCeil~tS thi~ ped0d (Line 3', C01umnl R alive)-:: :..-: -.;:'; ' · ' 1 ~ 499.00 <br /> <br /> 12. Miscellaneous adjustments to cash {,~:fleclule G, Line 7) . . ~ .... <br /> <br /> 13. Cash payments this period (Line 7, Column g above) .......... "(6 0 . 0 0 <br /> 14. Cash on hand at cto~ing date (Lines 10+1 I+12-13 above) ....... ...... 7 <br /> <br /> 15. Outriding debts (~ine'2 + Line 8 of Column C above) .............. <br /> <br /> 16. Ending surplus (if Line 14~ is ~reater than Line 1 §, subtrac~ LJne 15 from Line 14) ............ $ 7 ~ C~. 0 0 <br /> 17. Endlngdeficit (i~ [.in~ iS'i~'g~eater than' ~ine 141 subtrac~ Line 14 from Line 151 ............ S ( 0 ) <br /> <br /> SUMMARY OF JUNE AND NOVEMBER ELECTIONS' ~$~' [t~.~[~rti O~ Re~e~[ ' i ·. <br /> 18. CONTRIBUTIONS RECEIVED: <br /> <br /> 19. EXPENDITURES MADE: · <br /> <br /> <br />