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HomeMy WebLinkAboutDEMOND SEMIANN99(2) OH COVER PAGE RecipientCommittee T~.oor print in ink. Date Stamp Campaign Statement (Government Code Sec~o~s 84200-84216.5) Statement cove~ pedod from 07/01/1999 12/31/1999 Date of election if ap plicabJe: (Mon~, Day, Year) ,]~1~ PH 3:F6 1. Type of Recipient Committee: A, Commlttees- Complete Parta 1, 2, 3, and 7. 1~[ Officeholder, Candidate Controlled Committee (Al~o Comptete Part 4.) [] Ballot Measure Committee O Primarily Formed O Controlled O Sponsored (Also C~olete Part 5J [] Primarily Formed Candidate/ Off~:eholder Committee (Also Complete Part SJ [] General Puq~ose Committee O Sponsored O Broad Based 2. Type of Statement: [] Pre-election Statement [] Semi-annual Statement [] Termination Statement [] Amendment (Explain below) Pag~ 1 of 5' For Official Use O~y r"] Quarterly Statement [] Special Odd-Year Report [] Supplemental Pre-election Statement - Attach Form 495 3. Committee Information COMMI1-T~.E NAME Pat DeMond For City Council Officeholder Account tI'D'NUMe¢~,077/4. SmEET AD--SS 0~O RD. ~OX) 1104 Radcliffe Avenue CtT't' STATE ZIP CODE AREA CODE/PHONE Bakersfield CA 93305 (661) 872-3806 MAILING ADDRESS (IF DIFFERENT) NO. AND STREET OR P.O. BOX N/A CiTY STATE ZIP CODE AREA COOETPHONE Treasurer(s) NAME OF TREASURER Dianna L. Knapp 6212 Westlake Drive CRY STATE ZIP CC(DE AREA CODE~HONE Bakersfield CA 93308 (661) 393-2251 OPTIONAL; FAX / E-MAIL ADDRESS (661) 281-0169 FPPC Form 460 (8/99) For Technical Assiatance: 916Z3~2-56EO State of California Recipient Committee Campaign Statement Cover Page -- Part 2 Type or print in ink. COVER PAGE-PART2 Peg, 2 of 5' 4. Officeholder or Candidate Controlled Committee NAME OF OFFICEHOLDER OR CANDIDATE Patricia Jean DeMond OFFICE SOUGHT OR HELD (INCLUDE LOCATION AND DISTRICT NUMBER IF APPLICABLE) Bakersfield City Council - Ward Two RESIDENTIAL/~USINES$ ADDRESS (NO. AND STREET) CiTY STATE ZIP 5. Ballot Measure Committee NAME OF BALLOT MEASURE BALLOT NO. OR LETTER ~ JURISDICTION D SUPPORT I [] OPPOSE Identth/the con~'olling officeholder, candidate, or state measure proponent, if any. NAME OF OFFICEHOLDER, CANDIDATE, OR PROPONENT OFFICE SOUGHT OR HELD DISTRICT NO. IF ANY Related Committees Not Included in this Statement: Llstenycommlttee~ not Included in this consolidated ~tatemen t the r are controlled by you or which are pdmar#y COMMITTEE NAME I.D. NUMBER Pat DeMond For City Council 870740 Dianna L. Knapp ~ YES [] NO COMMrI~I~E ADDRESS STREET ADDRESS (NO P.O. 7. Verification 6. Primarily Formed Committee Llstnemesofofflceholder(s)orcendldate(s) for which thl~ committee I# primarily formed. NAME OF OFFICEHOLDER OR CANDIDATE Patricia Jean DeMond NAME OF OFFICEHOLDER OR CANDIDATE NAME OF OFFICEHOLDER OR CANDIDATE OFFICE SOUGHT OR HELD C i t-M~ Council W~r~ ~ OFFICE SOUGHT OR HELD OFFICE SOUGHT OR HELD []SUPPORT ~i~ SUPPORT OPPOSE []SUPPORT [] oPPOSE Attac~h con~nuation sheets if necessary I have used all reasonable diligence in preparing and reviewing this statement and to the best of my knowledge the information contained herein and in the attached schedules is tree and complete. I certify under penalty of perjury under the laws of the S DATE SIGNAI~JRE OF CONTROLLING OFFICEHOLDER, CANDIDATE, STATE MEASURE PROPONENT Executed on By OATE SIGNATURE OF CONTROLMN~ OFFICEHOLDER, CANDIDATE, STATE MEASURE PROPONENT FPPC Form 460 (8/99) For Technical Assistance: 916/322.5660 State of California Campaign Disclosure Statement Summary Page Type or print In Ink. Amounts may be rounded to whole dollars. SEE INSTRUC'I3ON$ ON REVERSE NAME OF FILER PAT DeMDND FOR CITY COUNCIL O~'~'J. Ci~OT_,D]E~. ACCOUNT SUMMARY PAGI S~,,~,-,t covere period from 07/01/1999 through Page of Column A Column B* TOTAI.'n4is I~,~10 e TOTAL ~S'~O~S (~.o~ ^'r'r~c. ee sc.s~J~s) <sss .oT~ -0- -0- $ $ 78.68 $ 78.68 $ 78.68 $ 78.38 I.D. NUMBER 970774 Column C $ -0- Contributions Received 1. Monetary Contributions ...................................................... Schedule A, Line 3 2. Loans Received ................................................................... Schedule B, Line 7 3. SUBTOTAL CASH CONTRIBUTIONS ................................... Add Lines I + 2 4. Nonmonetary Contributions ............................................... Schedule C, Line 3 5. TOTAL CONTRIBUTIONS RECEIVED .................................... Add Lines 3 + 4 -0- -0- -0- $ -0- -0- -0- -0- $ -0- 1,038~05 $ 1,116.73 -0- -0- 1,038.05 $ 1,116.73 -0- -0- -0- -0- 1,038.05 $ 1,116.73 Expenditures Made 6. Payments Made .................................................................... Schedule E, Line 4 7. Loans Made .......................................................................... Schedule H. Line 7 8. SUBTOTAL CASH PAYMENTS ................................................ Add Lines 6 + 7 9. Accrued Expenses (Unpaid Bills) ............................................ Schedule F, Line 3 10. Nonmonetam/ Adjustment .......................................................Schedule C. Line 3 11. TOTAL EXPENDITURES MADE ......................................... A~d Lines S + 9 + tO Current Cash Statement 12. Beginning Cash Balance ................................ Previous Summary Page, Line 16 13. Cash Receipts .............................................................. Column A. Line 3 above 14. Miscellaneous Increases to Cash ....................................... Schedule I, Line 4 15. Cash Payments ............................................................ column A, Line 8 above 16. ENDING CASH BALANCE .............. Add Lines 12 + t3 + 14, then subtract Line 15 If this is a termination statement, Line 16 must be zero. 1 7. LOAN GUARANTEES RECEIVED ................... Schedule B, Part 1, Column (b) Cash Equivalents and Outstanding Debts 18. Cash Equivalents ..................................................... See instructions on reverse 19. Outstanding Debts ................................... Add Line 2 + Line 9 in Column C above -0- .30 78.68 -0- -0- · From previous statement Summary Page, Column C. However, if this is the first report flied for the calendar year, Column B should be blank except for Loans Received (Line 2). Loans Made (Line 7), and Accrued Expenses (Uno 9). Summary for Candidates in Both June and November Elections 1/1 through 6/30 7/1 ~o Da~e 20. Contributions Received ............ $ 21. Expenditures Made .................. $ FPPC Form 460 (8/99) For Technical Assistance: 916/322-5660 Schedule E Payments Made SEE INSTRUC'r~ONS ON REVERSE NAME GF FILER Type or print in Ink. Amounts may be rounded to whole dollars. ~om 07/01/1999 12/31/1999 SCHEOULEF 4 ,5 Pege of. PAT DeMOND FOR CITY COIIqCIL OFFICEHOLDER ACCOUNT I.D. NUMBER 970774 CODES: If one of the following codes accurately describes the payment, you may enter the code. Otherwise, describe the payment. CMP campaign paraphernalia/misc. CNS campeign consultants CVC civic donab:~s FND lundraising events INO independent expenditure supporting/opposingo~aers (explain}' LIT campaign literature and mailings MTG meeUngsandappearances OFC olflce expenses PET petilion circulating PHO phone banks PUL polr,-,g ar4] survey research POS POStage, daiiveryandmessengerser~ces PRO professional ser~ces (legal, accounting) PRT print ads RAD radio airtime and production costs RFD returned contributions SAL campaign workers salaries TEL t.v. or cable aidime and production costs TRC candidate travel, lodging and meals (explain) TRS staff/sp'ausebavel, lodgingandmeais(explain) TSF transfer between committees of tt~ same candidate/sponsor VOT voter reg~stra§en WEB infon'nation technology costs (intemet. e.mail) NAME AND ADDRESS OF PAYEE OR CREDITOR {iF cokw~1'r; ;. ALSO ENTER ~.O. NU~aeERI COOE OR DESCRIPTION OF PAYMENT AMOUNT PAID * Pay.-,,..i= that are conb'ibutions ur Independent expenditures must also be summarized on Schedule D. SUBTOTAL $ -0- Schedule E Summary 1. Payments made this period of $100 or more. (Include all Schedule E subtota s ) -0- 2. Unitemized payments made this period of under $100 ....... ............................................................................ $ 78,38 3. Total interest paid this period on outstanding loans. (Enter amount from Schedule E~, Part 2, Column (d).) ....................................................... $ -0- 4. Total payments made this period. (Add Lines 1, 2, and 3. Enter here and on the Summary Page, Column A, Line 6.) ......................... TOTAL $ l~. 5~ FPPC Form 460 (8/99) For Technical Assistance: 916/322-5660 Schedule I T~e or print in init SCHEDULE Vliscellaneous Increases to CashAmounts may be rounded St~=~.T,~nt covers period j j JJ,j,. to whole dollars. 12/31/1999 5 5 ,~EE INSTRUCTIONS ON REVERSE through Page of 4AME OF FILER I.D. NUMBER PAT De_NDND FOR CITY COUNCIL OFFICEHOLDER ACCOUN~ 970774 AMOUNT OF DATE FULL NAME AND ADDRESS OF SOURCE DESCRIPTION OF RECEIPT RECEIVED pF COMMITTEE. ~.SO ENTER I.D. NUt~'~ER) INCREASE TO CASH Attach additional in fun'nation on approprfately labeled continuation sheets. SUBTOTAL $ -0- Schedule I Summary 1. Increases to cash of $100 or more this period ........................................................................................................... $ 2. Unitemized increases to cash under $100 this period ............................................................................................... $ 3. Total of all interest received this period on loans made to others. (Schedule H, Part 2 (b).) ................................. $ 4. Total miscellaneous increases to cash this period. (Add Lines 1, 2, and 3. Enter here and on the Summary Page, Line 14.) ........................................................................................................................... TOTAL $ -0- 00.30 00.30 FPPC Form 460 (8/99) For Technical Assistance: 916/322-5660