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HomeMy WebLinkAboutDEMOND SEMIANN98(1) OH Officeholder, Candidate, and COntr, olled Committee Campaign Statement- Long Form (G~ernment Code Sections 84200-84216.5) SEE ]NSTR~ ON REVER~E Check one of I~ts following boxes to indicate the type of ltetam~lt being filed: [] Sul~,ementM pm-el~'tk~ Statamem (Attach a c~mplatad Fom~ 495 to ~ statement.) [] 'i'en'nina§on Statement (Aaach a competed Fo~m 415 to ~ statement) I Officeholder, Candidate, and Controlled Committee Included In this Statement Patricia Jean DeHond (Pat: De[fond on Ballot) o~;~cs sou~m' o~ .Eu~ (mc~u~ ~OC*Tm. ~.e mSTm~r ~U~R ~; ~PUC~.~) Bakerfield City Council 2nd Ward 1104 Radcliffe Ave ST^T~ mP c~ ~ coor=.oA¥'n~ Bakersfield, CA 93305 (805) 872-1104 ?at De[fond ¥or City Council Officeholder Acct. 970774 1104 Radcliffe Ave Bakersfield, CA 93305 S. Louise Worby, C.P.A- 4201 Ardmore, Suite 6 Bakersfield, CA 93309 Type or print in ink. (805) 872-1104 (805) 831-3063 from 01-0] -] qqR 06-30-1998 through Date o~ elect]on If pv~m. 0ay. Yead For OlficMI Us~ O~ly II Other Committees Not Included in this Statement: u.a.ya~w Pat DeMond For City Council 870740 S. Louise Worby, C.P.A. 1104 Radcliffe Ave Bakersfield, CA 93305 ~rATE (805) 872-1104 STATE III Verification , . · " . c_.rfifv under Derl~ c:d perjury tamer b'qe laws o1' ~ State o L;m ego~g ~s tnJe /~_/~_~-, ~ ..... ~ '/'~/~ ~ ~- ~ At Bakersfield, CA ~. ~ ~_ ~ ~ - At ~ ~ ~ ~OA~ FOR f NF~MA~ RE~I~D TO BE pR~I~D TO Y~ ~R~T TO ~E INF~N P~CTtCES ~T OF 1977. SEE ~FO~M A~ON ~NUAL ~ C~PR}GN ~q~[O~t IRE ~S OF ~E ~ mCAL R;F~M A~ S~te of Ca/IfomJa Fair PollU~l ~acfices C~sl~ Campaign Disclosure Statement Summary Page SEE INSTRUCTIONS ON REVENSE NAME OF OFFICEHOLDER OR CANDIDATE AND CONTROLLED COMMITTEE Pat DeMond For City Council Officeholder Account Contributions Received I. Monetary Contri butions ............................... Schedu~ ~, Ur~ ~ 2. Loam Received ......................................... scM~u~ a, Une z 3. SUBTOTAL CASH CONTRIBUTIONS ...................... ~o'uoaa I · 2 ~,. Non-monetary ¢o,tributions ......................... Sc~ ¢ ~ ~ $. SUBTOTAL CONTRIBUTIONS:(Exdude Enfo~eab/~ PromMs) ,~kf/JMs.~ ,, 4 6. Enforceable Promises ~L~Guer, rffe~&Llne1~below) ................... Schedu~ D, L/n~ 7 7. TOTAL CONTRIBUTIONS RECEIVED ..................... AddL/nejS * 6 Expenditures Made 8. Cash Payments (Oth~' than Loans Made) ............ 9. Loans Made .............................................sche~u~ H, UM 7 10. SUBTOTAL CASH PAYMENT5 ............................~o~LJnes8,9 1 1. ACcrued Exp~ns~s (Unpaid Bills) ........................ 12. TOTAL EXPENDITURES MADE ......................... Current Cash Statement 13. Beginning Cash Balance .................. rr~vlo,sSum~r~ge, 14. Cash Receipts ...................................... 1S. Miscellaneous Increases to Cash ........................S~Mdule I, ~ 4 16. Cash Payments ....................................Co~umn~,Ur~10abo~ 17. ENDING CASH BALANCE ..... AddLlM$ /f lh/J/~ · te~'mlnat/o~ statement, Une ! 7 must be 18. LOAN GUARANTEES RECEIVED .............. ~<hedule B, Pa~l, Column (b)$ Cash Equivalents and Outstanding Debts 19. Cash Equivalents ................................Melmtn~fomonreveae $ 20. Outstanding Debts ................. AddUne2 + LIn~ 11inCotumnCabove $ Type oc i~nt in in~. Amoun~ may be rmJnd~l to whdedoh~ Column A s 1.150.00 s 1,150.00 694.93 s 1,844.93 S 1.844.93 s 471.36 s 471.36 S 471.36 S 1~013.17 1.150.00 8.91 s 1,700.72 SM~m~mt ~ve~ ~rk~d f,om 01/01/1998 06/30/1998 Column B* S SUMMARY PAGE Column C s 1.150.00 s s 1,150.00 694.93 s __ s 1~844.93 1,844.93 S S S S 471.36 s S 471.36 s s 471.36 · From I:~'~vio~s Statement Summery Page, Column C HOwever, if this is the fi~t reoo~ filed for the Gldenclar year, Column B should be blink except for Lo~m Received (Line 2), Enforceable Prom~sc~ (Line 6), Loans Made (Lin~ g), and A~.crued Expenses (Line 11 ). Summary for Candidates in Both June and November Elections 1/1 through 6/30 7~1 to Date 21. ~ontribqtions ~ecewea .... $ 22. x nditures Schedule A Monetary Contributions Received TyI~ o~' print in ink. Amounts may be rounded to whole dollars, SEE INSTRUCTIONS ON REVERSE NAME OF OFFICEHOLDER OR CANDIDATE AND CONTROLLED COMMI1TEE Pat DeMond For City Council Officeholder Account 1/9/98 S. C. Anderson Inc. General Contractor f,~. 01/01/1998 __ thr~h 06/30/1998 AMOUNT RECEIVED THIS PERIOD 200.00 SCHEDULE A 2/3/98 K.C. Firefighters #1301 PAC #744675 4/2/98 Castle and Cooke Land Developer 5/30/98 Greg Ferrari Law Offices Attorney 200.00 250.00 100.00 -- I P.ge 3 e~ 7 I I.D. NUMBER I 970774 CUMULATIVE TO DATE CALENDAR YEAR (JAN. 1 - DEC. 31) 200.00 " Superior Sanitation Service Sanitation Co. 10Q.00 SUBTOTAL $ 850.00 Moneta'~y Contributions Summary 1. Amount received this period -- contributions of $100 or more. (Include all Schedule A subtotals.) ....................................................................................................$ 2. Amount received this period -- contributions of less than $100. (Do not itemize.) ......................................................................................................................$ 3. Total monetary contributions received this period. (Add Lines 1 and 2. Enter here and on the 5urnmary Page, Column A, Line 1.) : ......... · ...............................TOTAL $ 200.00 1,150.00 1,150.00 250.00 100.00 100.00 CUMULATIVE TO DATE OTHER (IF APPLICABLE) Schedule A (Continuation Sheet) Monetary Contributions Received Type o~ IN'int in Ink. Amounts may be rounded to whole dollars. NAME OF OFFICEHOLDER OR CANDIDATE AND CONTROLLED COMMITTEE Pat DeRvk~d For City Council Officeholder Account 5/30/98 South Side Sanitation Service OCCUPATION AND EMPLOYER Sanitation Co. Howards Garbage Service, Inc. Statlme~ covers period ~/01/1998 from 0G/30/1995 torough AMOUNT CUMULATIVE TO DATE RECEIVED THIS CALENDAR YEAR PERIOD (JAN. 1 - DEC. 31 ) 150.00 150.00 Sanitation Co. 150.00 150.00 SCHEDULE A (cont.) -- PigIT, 4 ~ 7 I.D. NUMBER 970774 CUMULATIVE TO DATE OTHER (IF APPLICABLE) SUBTOTAL $ 300.00 : Schedule C Non-Monetary Contributions Received Type o~ i~'fm in ink. Amounts maybe rounded to whole dahr~ SEE iNSTRUCTIONS ON REVERSE NAME OF OFFICEHOLDER OR C~IDIDATE AND CONTROLLED COMMI~'E E Pat DeMond For City Council Officeholder Account S~teml~ covers ~rlod 01/01/1998 m,ough06/30/1998 FULL NAME AND ADDRESS OF CONTI~BUTOR O~CUPATION AND EMPLOYER DATE ~ CO~MI~rlEE, I~ A~'TO C~ ~M[ ~ ~SS. ~ ~LF~M~OYED, t~ ~ ~ DESCRIPT~N OF FAiR MARKET RECEIVE D E~ LD. ~IER ~ · ~ LD. ~R ~S ~EN AS~O. m~SS) G~DS OR SE RVIC~S VALUE 01/06/98 Owner Sharp FAX 594.93 Hall Ambulance Machine Harvey Hall 6/30/98 S. Louise Worby, CPA C.P.A. Reporting 100.00 Attach additional information on appropriately labeled continuation sheets. SUBTOTAL S 694.93 Non-Monetary Contributions Summary 1. Amount received this period-- non-monetary contributions of $100 or more. (Include all Schedule C subtotals.) .................................................................................... $ 694.93 2. Amount received this period -- non-monetary contributions of less than $100. (Do not itemize.) ........................................................................................................ 3. Total non-monetary contributions received this period. 694.93 (Add Lines 1 and 2. Enter here and on the Summary Page, ColumnA, Line 4.) ....................... TOTAL $ SCHEDULE C 970774 CUMULATIVE TO DATE CALENDAR YEAR (JAN. 1 - DEC. 31) CUMULATIVE TO DATE OTHER (IF APPLICABLE} Schedule E Payments and Contributions (Other Than Loans) Made Typ~ M pd~t In Ink. Am4x~ts may be rounded to whole 4o~rt. SEE INSTRUO'IONS ON REVERSE NAME OF OFFICEHOLDER OR CANDIDATE AND CONTROLLED COMMITTEE Pat DeMond For City Council Officeholder Account CODES FOR CLASSIFYING EXPENDITURES SCHEDULE E back of Schedule E-Continuation Sheet for detailed explanations of each category. 'C'- MONETARY AND iN*KiND (NON-MONETARY) CONTRIBUTIONS TO OTHER CANDIDATES AND COMMITTEES '1' - INDEPENDENT EXPENDITURES 'L'- LITERATURE 'B'- BROADC&ST ADVERTISING 'N'- NEWSpAPER AND PERIODICAL ADVERTISING 'O'- OUTSIDE ADVERTISING 'S'- SURVEYS, SIGNATURE GATH E RING, DCX)R-TO-DOOR SOLICITATIONS 'F' - FUNDRAISING EVENTS 'G'- GENERAL OPERATIONS AND OVERHEAD 'T'- TRAVE L, ACCOMMODATIONS AND MEALS (MUST BE DESC]~IIED) 'P'- PROFESSIONAL MANAGE MENT AND CONS ULT~NG SERVICES NAME AND ADDRESS OF PAYEE, CREDITOR, OR RECIPIENT OF CONTRIBUTION Important: Contributions and expenditures made out of campaign funds to or on behalf of other ~iceh~de~ candidates~ c~mm~tteeS~ ~r ba~t measureS mu~t a~s~ be entered ~n the AJ~cati~n Page~ Part ~. SUBTOTAL Payments and Contributions Made 5urnmary 1. Payments made this period of $100 or more. (Include all Schedule E subtotals.) ............................ : ......................... 2. Payments made this period of under $100. (Do not itemize.) ....................................................................... 3. Total interest paid this period on outstanding loans. (Enter amount from Schedule B, Part U, Column (d).) .............................. 4. Total accrued expenses paid this period. (Do not itemize. Enter amount from Schedule F, Line 4.) ..................................... S. Totai payments mede this period. (Add Lines 1,2,3, and4. Enter here and on the Summary Page, ColumnA, Line8.) ........... TOTAL IMPORTANT: DO NOT ITEMIZE THE PAYMENT OF ACCRUED EXPENSES ON SCHEDULE E. REPORT ONLY THE LUMP SUM OF SUCH PAYMENTS ON UNE 4 OF THE SUMMARy SECTION BELOW. CODE OR DESCRIPTION OF PA~'MENT AMOUNT PA.~O 471.36 471.36 Schedule I Miscellaneous Increases to Cash SEE INSTRUCTIONS ON REVERSE NAME OF OFFICEHOLDER OR CANDIDATE AND CONTROLLED COMMITTEE Pat D~nd For City Council Officeholder Account DATE FULL NAME AND ADDRESS OF SOURCE TYlN oc ~Mt in Ink. AmOunts may be rounded to wh(de dollars. Statemere cove~ period t~o~h 0~/~0/1998 DESCRIPTION OF RECEIPT Attach additional information on appropriately labeled continuation sheets. Miscellaneous Increases to Cash Summary 1. Increases to cash of $100 or more this period ............................................................. 2. Increases to cash under $100 this period. (Do not itemize.) ................................................. 3. Total of all interest received this period on Ioa~s made to others. (Schedule H, Part II (b).) .................... 4. Total miscellaneous increases to cash this period. (Add Lines 1,2, and 3. Enter here and on the 5urnmary Page, Line 15.) ....................................................................... TOTAL $CHEDULEI M I.D. NUMBER 970774 AMOUNT OF INCREASE TO CASH SUBTOTAL $ 8.91 8.91