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<br />PC 1 Summary Statement of Contributions and Expenditures page 1 of 2 <br /> <br />please type or print legibly in black ink rev 1/06 <br />J. name of committee use full name committee id number <br /> <br />RENEW LIBRARY LEVY NOW <br /> <br />mai Ii ng address as it appears on Statem ent of Orga nization po box or street city, state, zip code <br /> <br />1288 WINERY LANE, EUGENE, OR 97404 <br /> <br />name of treasurer <br /> <br />DAVID W. REKDAHL <br /> <br />day phone nu m ber <br /> <br />20-111 <br /> <br />541-343-9300 <br /> <br />com mitee type, measure number or office <br /> <br />This filing is an: <br />OPrimary 20_ <br />01st pre-election <br /> <br />o Original <br />o General 20~ <br />o 2nd pre-election <br /> <br />OAmendment <br />o other: <br />o Post-election <br /> <br />o 20_Sept. Suppl. <br /> <br />. cash expenditures accounting period total from PC 3 <br /> <br />. loan payments (non-exem pt) accounting period total from PC 3 <br /> <br />. total cash expenditures lines 6+7 <br /> <br />. in-kind accounting period total from PC 2 <br /> <br />. total expenditures lines 8+9 <br /> <br />+ <br /> <br />$13,348.93 <br />$1,220.00 <br /> <br />o Report of Initial Assets <br />B Cum ulative Totals <br /> for this Election <br /> $21,193.00 <br />+ <br /> $21,193.00 <br />+ $1,220.00 <br /> $22,413.00 <br /> $18,323.88 <br />+ <br /> $18,323.88 <br />+ $1,220.00 <br /> $19,543.88 <br /> for office use only <br /> <br />A Totals for this <br />Accounting Period <br /> <br />contrIbutions <br /> <br />. cash contributions accounting period total from PC 2 <br /> <br />. loans received (non-exem pt) accounting period total from PC 2 <br /> <br />. total cash contributions lines 1+2 <br /> <br />. in-kind accountingperiodtotalfromPC2 <br /> <br />. total contributions lines 3+4 <br />.~pj...(tit.....~ <br /> <br /> $4,450.00 <br />+ <br /> $4,450.00 <br />+ $1,220.00 <br /> $5,670.00 <br /> $13,348.93 <br />+ <br /> <br /> <br /> <br />$14,568.93 <br /> <br />. cash balance <br />. total contributions line 5 <br /> <br />. oth er recei pts accounting period total from PC 4A <br /> <br />. loans received (exempt) accounting period total from PC4A <br /> <br />. contribution subtotal lines 11+12+13+14 <br /> <br />. total expenditures line 10 <br /> <br />. other disbursem ents accounting period total from PC 48 <br /> <br />. loa n paym ents (exem pt) accounting period total from PC 48 <br /> <br />. expenditure subtotal lines 16+17+18 <br /> <br />. ending cash balance line 15 minus line 19 <br /> <br />+ <br /> <br />$11,768.05 <br />$5,670.00 <br /> <br />+ <br /> <br />+ <br /> <br /> $17,438.05 RECEIVED <br /> $14,568.93 <br />+ OCT 2 6 2006 <br />+ CITY RECORDER <br /> $14,568.93 <br /> $2,869.12 l~ <br /> <br />PC 1 <br />