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Kitty Piercy for Mayor
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2004 Contribution & Expenditure Reports
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Kitty Piercy for Mayor
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Last modified
6/10/2010 10:59:43 AM
Creation date
11/23/2004 4:28:56 PM
Metadata
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Template:
City Recorder
CMO_Document_Type
Elections
Document_Date
12/2/2004
Author
Michael Arnold
Retention_Destruction_Date
1/1/2011
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Pc <br /> Summary S a emen of Contributions and E×pendRures <br />Please type or print legibly in black ink. Page 1 of 2 <br />Candidate or Political Committee Name (use full name): <br />Kitty Piercy for Mayor <br />Mailing Address as it Appears on Statement of Organization (street, route or box number, city. state, zip code): <br />P.O. Box 23301, Eugene, OR, 97402 <br />Treasurer's Name~ Telephone Number (day): <br />C. Michael Arnold 541-338-9111 <br />Committee ID Number: Committee Type, Measure Number or Office: <br />n/a Candidate for Mayor <br />[~] Original ~ Primap~: 2004_ ~ General 20__ [~ Other __ <br />[~ Amendment [--t 1 st Pre-election ~1 2nd Pre-election [~1 Post-election [7] 20__ September Supplemental <br /> A-TOTALS FOR THIS B---CUMULATIVE TOTALS <br /> ACCOUNTING PERIOD FOR THIS ELECTION <br /> CONTRIBUTIONS <br />1. Cash Contributions <br /> (Accounting Period Total h'om PC 2) 31,358 50 69,804.00 <br />2. Loans Received (Non-Exempt) + 15,000.00 + 15,000 00 <br /> tAccountmg Period Total from PC 2) <br />3. Total Cash Contributions <br /> = 46,358 50 = 84,804 00 <br /> (hnes 1+ 2) <br />4. In-Kind + 4,157.05 + 5,134 89 <br /> tAccoantmg Period Totat from PC 2) <br />5 TOTAL CONTRIBUTIONS <br /> = 50,515 55 = 89,938.89 <br /> (hn¢> 3 * 4} <br /> EXPEND)TtJRES <br />6~ Cash Expenditures 49,570 45 72,558.58 <br /> (Accounting Period Total ~*rom PC 3) <br />7. Loan Payments (Non-Exempt) + 0 00 + 0 00 <br /> (Accounting Period Total l?om PC 3I <br /> 8. Total Cash Expenditures = 49,570 45 = 72,558 58 <br /> (hne~ 6 + 7) <br />9. In-Kind + 4,157.05 + 5134 89 <br /> (Accounting Period l'otal frora PC 2) <br /> 10. TOTAL EXPENDITURES <br /> = 53,727 50 = 77,693.47 <br /> (hnea 8 ~- 9) <br /> CASH BALANSE <br /> 11. Beginning Cash Balance 15,457 37 FOR OFFICE USE ONLY <br /> Ihne 20 of previous report) <br /> 12. Total Contributions + 50,515 55 <br /> (linc 5) <br /> t3. Other Receipts + 0 00 <br /> (Accounling Period Total from PC 4A~ <br /> 14. Loans Received ~Exemp0 + 0 00 <br /> (Accounnng Period Total from PC 4A,~ <br /> 15. CONTRIBUTION SUBTOTAL <br /> = ~5,972 ~2 <br /> (hne= 11 q- I2+ 13+ <br /> <br /> 16. Total Expenditures 53,727 50 <br /> tl~ne 10) <br /> 17 Other Disbursem¢nts+ 000 <br /> (Accountin~ Period Potal from PC 4F~) <br /> 18 Loan Payments(Exempt} + 0.00 <br /> (Accounting Period Total Ico,a~ PC 4BI <br /> t9. EXPENDITURE SUBTOTAL = 53,727 50 <br /> <br /> 20. ENDING CASH BALANCE <br /> = 12,245 42 <br /> (hne 15 m~nus line <br /> <br /> <br />
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