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<br />PC 1 Summary Statement of Contributions and Expenditures <br />please type or print legibly in black ink <br /> <br />page 1 of 2 <br /> <br />rev 1/06 <br /> <br />name of committee use full name <br /> <br />n/a <br /> <br />Kitty Piercy for Mayor <br />mailing address as it appears on Statement of Organization po box or street, city, state, zip code <br /> <br />1371 W. 4th Ave., Eugene, OR, 97402 <br />name of treasurer <br /> <br />committee id number <br /> <br />C. Michael Arnold <br /> <br />day phone number <br /> <br />541-338-9111 <br /> <br />committee type, measure number or office: <br /> <br />Cand idateJof"May'or <br />This filing is an: t8J Original <br />D Primary 20_ t8J General 2004 <br />D 1 st pre-election D 2nd pre-election <br /> <br />D Amendment <br />D other: _ <br />D Post-election <br /> <br />t8J 2000 Sept. Suppl. <br /> <br />A Totals for this <br />Accounting Period <br /> <br />D Report of Initial Assets <br /> <br />B Cumulative Totals <br />for this Election <br /> <br />contributions <br /> <br />1 cash contributions accounting period total from PC 2 <br /> <br /> <br />2 loans received (non-exempt) accounting period potal from PC 2 <br /> <br /> <br />3 total cash contributions lines 1+2 <br /> <br /> <br />4 in-kind accounting period total from PC 2 <br /> <br /> <br />5 total contributions lines 3+4 <br /> <br />0.00 <br /> <br />0.00 <br /> <br />0.00 <br /> <br />0.00 <br /> <br />0.00 <br /> <br />+ <br /> <br />= <br /> <br />+ <br /> <br />= <br /> <br />+ <br /> <br />20,075.00 <br /> <br />2,000.00 <br /> <br />22,075.00 <br /> <br />803.57 <br /> <br />22,878.57 <br /> <br />= <br /> <br />+ <br /> <br />= <br /> <br />expenditures <br /> <br />6 cash expenditures accounting period total from PC 3 <br /> <br />7 loan payments (non-exempt) accounting period total from PC 3 <br /> <br />8 total cash expenditures lines 6+7 <br /> <br /> <br />9 in-kind accounting period total from PC 2 <br /> <br />0.00 <br />0.00 <br />0.00 <br />0.00 <br /> <br />0.00 <br /> <br />+ <br /> <br />= <br /> <br />+ <br /> <br />10 total expenditures lines 8+9 <br /> <br />= <br /> <br />+ <br /> <br />8,044.41 <br /> <br />13,769.87 <br /> <br />21,814.28 <br /> <br />803.57 <br /> <br />803.57 <br /> <br />= <br /> <br />+ <br /> <br />= <br /> <br />cash balance for office use only <br />beginning cash balance line 20 of previous report 975.00 <br />total contributions line 5 + 0.00 <br />other receipts accounting period total from PC 4A + 0.00 <br />loans received (exempt) accounting period total from PC 4A + 0.00 <br />- <br />contribution subtotal lines 11+12+13+14 = 0.00 RECE/llt"n <br />total expenditures line 10 0.00 <br />other disbursements accounting period total from PC 48 + 0.00 SEp 1] 2006 <br />loan payments (exempt) accounting period total from PC 48 + 0.00 j~ITY REC .. <br />expenditure subtotal lines 16+17+18 = 0.00 ORDER <br />ending cash balance line 15 minus line 19 = 975.00 <br /> <br />11 <br />12 <br />13 <br />14 <br />15 <br />16 <br />17 <br />18 <br />19 <br />20 <br /> <br />PC 1 <br />