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HomeMy WebLinkAboutDEMOND SEMIANN97(1) fflcehoIder, Candidate, and Controlled Committee Campaign Statement - Long Form (Government Code Sections 84200-84216.5) SEE iNSTRUCTIONS ON REVERSE Type or print in ink. Check one of the following bexea to indicate the type of statement being filed: [] pre-elecUon Statement [] Supptamemtat Pm-elec~on Statement (Attach a completed Form 495 to this statement.) [] Special Odd-Year Campaign Report [] Semi-annual Statm~ent [] TerminaUo~ Statement (Altech a completed Form 415 to this statement.) Statement covem period from 01/01/97 through 06/30/97 Date of elecUo~ if applicable: (Mo~th, Day, Year) COVER PAGE - LoNG FORM 1 7 Page of_ For Official Use Only I Officeholder, Candidate, and Controlled Committee Included in this Statement NAME OF OFF~EHOLDER OR CAN~DATE Patricia Jean DeMond (Pat DeMond on Ballot) ~FiCESO~GHTORHE~(INCLUD~LOCATION~DmSmlCTNUM~RIFAPPLICAB~) Bakerfield City Council 2nd Ward RESiDENTIALORBUSlNE~.ADO~ESS 1104 Radcliffe Ave (Ne. AND STREET} ' STATE ZIP CODE CITY Bakersfield, CA 93305 (805) 872-1104 COMMITTEE NAME ~t.O. N~MB ER Pat DeMond For City Council Officeholder AccoUnt 970774 co~urrmE Aoo~ss(~o. ANO STREET) 1104 Radcliffe Ave CITY STATE ZIP COOE AREA COOF.~OAYTIME PHONE Bakersfield, CA 93305 (805) 872-1104 NAME OF TREASURER S. Louise Worby, C.P.A. 4201 Ardmore, Suite 6 CITY STATE ZIP COOE AREA COOr~AY"r]ME PHONE Bakersfield, CA 93309 (805) 831-3063 II Other Committees Not Included in this Statement: commllfe~ of whlgh you hmm lmov, q~ge that are prlnmrily formed ~o recelve contrlbutlone or to make e,~ltl~ o~ be~aff of your ~en~Ma~y. Pat DeMond For City Council 870740 ~s S. Louise Worby, C.P.A. 1104 Radcliffe Ave Bakersfield, CA 93305 (805) 872-1104 coMm'rr~E ~ I ,.D. NU,,m~R I D~s III Verification I have used all reasonable dl#gence iff prepmtng this statement I ..hav~ reviewed the sta. tem~ and 1o Ihe best of mY knowlm:lge "m~ con~ned heroin ~'a~act~d schedules Is tee and c°nl~. I certify uflder penalty of perjury under Ihe laws of Ihe State of California that the foregoing ~s I~e and co~ect ~ - / ~* ~* · E-~-.,,,~,-- 7-.f/~ ~ ~ At Bakersfield, CA An officeholder or candidate who controla · committee must etao verify the clmpaig~ i;&~ment- I have used all reasonable diligence and W b~e best ~edge the b'e~surer has used a# reas°nabta Executedo~ ~'~/-~ At Bakersfield? CA By At BY At Sy Executed on DATE Clef AND STATE S~NATURE OF CANCI OAIFJOFFIC EHO[OER FOR INFORMATION REQUIRED TO SE PROVIOED TO YOU PURSUANT TO THE INFORMAnON PRACTICES ~CT OF 1977, SEE INFORMATIO~ MANUAL ON CAMPAIGN el ~.C LO ~;IJR~: PR~VI~;~ONS OF THE POLITICAL FIE FO~M ~T State of Callfemle Fair Political Practlcea Commlaelon Campaign Disclosure Statement Summary Page SEE INSTRUCTIONS ON REVERSE Type or print in ink. Amounts may be rounded to whole dollars. Statement covers period from__ 01/01/97 through 06/30/97 SUMMARY PAGE Page 2 of 7 NAME OF OFFICEHOLDER OR CANDIDATE AND CONTROLLED COMMITTEE Pat DeMond For City Council Officeholder Account Contributions Received 1. Monetary Contributions ..................................................... ScheduleA, Line 3 2. Loans Received ................................................................. Schedule B, Line 7 3. SUBTOTAL CASH CONTRIItIUTIONS ................................. Ado'L/nee I +2 4. Non-monetary Contributiond ........................................... Schedule C, Line 3 5. SUBTOTAL CONTRIBUTIONS (Exclude Enforceable Promises)..-. Add Lines 3 + 4 6. Enforceable Promises (Exclude Lean Guarantees, Line 18 below) ...................................................... Schedule D, Line 7 7. TOTAL CONTRIBUTIONS RECEIVED ................................ AddLtness+s Expenditdres Made .; 8. Cash Payments (Other than Loans Made) ................... Schedule E, L/ne S 9. Loans Made ........................................................................ Schedule H, Line 7 10. SUBTOTAL CASH PAYMEN¥S ............................................. AddLinees+9 11. Accrued Expenses (Unpaid Bills) .................................... Schedule F, L/ne S 12. TOTAL EXPENDITURES MADE .......................................... XddL/nes ro+ rr Current Cash Statement 13. Beginning Cash Balance .............................. Previous Summary Page. Line t Z 14. Cash Receipts .............................................................. ColumnA. Line3ebove 15. Miscellaneous Increases to Cash ..................................... Schedule I, Line 4 16. Cash Payments .......................................................... ColumnA, Line 10above 17. ENDING CASH BALANCE ............ Add Lines 13 + ~4 + tS, then subtract Line ~6 I! this is · term/nation atatement,~ Line 17 must be zero. 18. LOAN GUARANTEES RECEIVED .................. ScheduleS, Patti, Column(b) Cash Equivalents and Outstanding Debts 19. Cash Equivalents ................................................... See Instructions on reverse 20. Outstanding Debts ................................ AddLIne2+L/ne 11inCo/umnCebove S S S S $ $ S $. Column A TOTN. THIS PF. FIOO 1,700.00 1,700.00 150.00 1,850.00 1,850.00 237.86 237.86 237~86 .00 1,700.00 1.94 237.86 1,464.08 $ $ $ Column B* I.D. NUMBER 970774 Column C $ 1 ~ 700.00 $ 1 ~ 700.00 150.00 S 1,850.00 S 17850.00 237.86 237.86 237.86 (Une 6), Loa~s Made (Line 9), andAccfued F~ (Lk'~ 11). Summary for Candidates in Both June and November Elections 11111'l~o~gh ~rJO 711 Io DIll 21. Contributions Received ........... $ 22. Expenditures Made ................. Schedule A Monetary Contributions Received SEE INSTRUCTIONS ON REVERSE Type or print in ink. Amounts may be rounded to whole dollars. from 01/01/97 through 06/30/97 SCHEDULE A page 3 of 7 NAME OF OFFICEHOI-DER OR CANDIDATE AND CONTROl. ED COMMITTEE LD. NUMBER Pat DeMond For City Council Officeholder Account 970774 '~ ........ " OCCUPATIONANDEMPLOYER AMC~JNT CUMUI-ATIVETO;ATE I CtJMUI-A~VETODAI~ SUBTOTAL $ Monetary Contributions Summary 1. Amount received this period - contributions of $100 or more. . ............... $ 1450.00 (Include all Schedule A subtotals.) ............... : 2. Amount received this period - contributions of less than $100. . .............. $ 250.00 (Do not itemize.) ............................................................................... 3. Total monetary contributions received this period. (Add Lines I and 2. Enter here and on the Summary Page, Column A, Line 1.) ..................................................... TOTAL $ 1700.00 Schedule A (Continuation Sheet) Monetary Contributions Received 01/01/97 Ih~ough 06/30/97 P~ge 4 ~ 7 NAME OF OFFICEHOLDER OR CANDIDATE AND CONTR~A ~ COMM~ ~; == Pat DeMond For City Council Officeholder Account 970774 S~ Calif Dist Council of Carpenters FAC #870169 200.00 George F. Martin %ttorney-Partner ~ Conron 250.00 Daniel E. Panero Vice-President Varngr Bros.. Inc. ~Ko o~ Frank Pecarich Mgmt Consultant Self-Rn~3ov~d ~;n on Pamela Pecarich C.P.A. ~"oooers & Lybrand 2~_oo Bakersfield Firefighters Leg Action Gp FAC #821955 250.00 1450.00 Schedule C ~.~.tm ~,. SCHEDULE C Non-Monetary Contributions Received ff~01/01/97 SEEI~S~R~E~E ~ 06/30/97 ~__5 of 7 ~E ~ OFF~ OR C~DIDATE ~D Pat DeHond For City Council Officeholder ~count 97077~ s. ~uise ~orby C.P.A. ~eli-~loyed Reporting 150.00 Attach additional Information on appi'op~tely labeled conUn~ation ~heet~. ~ S 150.00 Non-Monetary Contributions Summary 1. Amount rece~d thb pen~d- non-morm~ ~ o~ $100 m more. (Include all Schedule C subtotals.) .................................................................................................................. $ 150.00 2. Amount received thb period- non-monetmyconMbulfone d le.~ Ihan $100. (Do not Itemize.) ............................................................................................................................................... $ 3. Total non-monetary contributions received ~ period. (Add Unes I and 2. Enter hem and on the 8urr.'nap/Page, Column A, Une 4.} ....... ~ ......................... TOTALS ]_50.00 Schedule E Payments and Contributions (Other Than Loans) Made SEE INSTRUCTIONS ON REVERSE Type or print in ink. Amounts may be rounded to whole dollars. SCHEDULE E S[o;.e,,,~,,~ covers period from 01/01/97 ~ through 06/30/97 Page 6 o! 7 I.D. Nt~MeER NAME OF OFFICEHOLDER OR CANDIDATEAND CONTROLLED COMMITTEE Pat DeMond For City Council Officeholder Account 970774 CODES FOR CLASSIFYING EXPENDITURES If one of the following codes accurately describes the expenditure, you may enter the code and leave the "Description of Payment" column blank. Refer to the back of Schedule E-Continuation Sheet for detailed explanations of each category. 'C' "MONETARYAND IN-KIND (NON-MONETARY} 'B' -- BROADCASTADVERTISING 'G' -- GENERAL OPERATIONSAND OVERHEAD CONTRIBUTIONS TO OTHER CANDIDATES 'N' -- NEWSPAPER AND PERIODICAL ADVERTISING '3' -- TRAVEL, ACCOMMODATIONS AND MEALS AND COMMITTEES (MUST BE DESCRIBED) '1' -- INDEPENDENT EXPENDITURES 'O' -- OUTSIDEADVERTISING 'p' -o PROFESSIONAL MANAGEMENTAND CONSULTING 'S' -- SURVEYS, SIGNATURE GATHERING. DOOR-TO-DOOR SOLICITATIONS SERVICES 'L' -- LITERATURE #F' -- FUNDRAISING EVENTS iMPORTANt: DO NOT ITEMIZE THE PAYMENT OF ACCRUED E~'~ ~,C~ ON SCHEDULE E- NAME AND ADORESS OF pAYEE, CREDITOR, OR RECIPIENT OF CONTPJeUTtON REPORT ONLY 111E LUMP SUM OF SUCH PAYMENTS ON UNE 4 OF 114E SUMMARY SECTION BELOW. Important:. Coni#bu#ons and e.,;~mcJtures mede out of ca~ funds to or on behalf of oiher SUBTOTAL $ o,~',ce,~ders, ~.~-'~-'--:~. co,~-.~-'~. or ballot measures must also be entered on Ihe .AIA, c__a_'.~_ Page, Part L Payments and Contributions Made Summary 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.) .............................................................................................................................. $ 237.86 3. Total interest paid this period on outstanding loans. (Enter amount from Schedule B, Part I1, Column (d).) ........................................................ $ 4. Total accrued expenses paid this period. (Do not itemize. Enter amount from Schedule F, Line 4.) .................................................................... $ 5. Total payments made this period. (Add Lines 1, 2, 3, and 4. Enter here and on the Summary Page, Column A, Line 8.) ...................... TOTAL $ 237.86 Schedule I Miscellaneous Increases to Cash Type or print in ink. Amounts may be rounded to whole dollars. SEE INSTRUCTIONS ON REVERSE NAME OF OFFICEHOLDER OR CANDIDATE AND CONTROLLED COMMITTEE Pat DeMond For City Council Officeholder Account FULL NAME AND ADDRESS OF SOURCE from through Statement covers period 01/01/97 DESCRIPTION OF RECEIPT 06/30/97 SCHEDULE Page 7 o~ 7 I.D. NUMBER 970774 N~(XJNT OF Attach addiSonal informa#on on appropriately labeled continuation sheet~ SUBTOTAL $ Miscellaneous Increases to Cash Summary 1. Increases to cash of $100 or more this pedod ........................................................................................................... $ 2. Increases to cash under $100 this period. (Do not itemize.) ...................................................................... $ 1.94 3. Total of all interest received this period on loans 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 TOTAL $ 1.94 Summary Page, Line 15.) ........................................................................................................................... Officeholder, Candidate, and Controlled Committee Campaign Statement- Long Form (Government Code Sections 84200-84216.5) SEE INSmUCTIONS ON REVERSE Type or print in ink. Check one of the following boxel to Indicate the type of statement being filed: [] Pre.-elec~on Statement [] Supplemental Pre-election Statement (Attach a completed Form 495 to this statement.) [] spec~ odd-Year ~gn Report [] Semi-annual Statement [] Termination Statament (Altech a completed Form 415 to this statement.) Statement covers period from 01/01/97 06/30/97 through Data of election if applicable: (Mo~th, Day, Year) COVER PAGE - LONG FORM 1 3 Page__ of __ I Officeholder, Candidate, and Controlled Committee Included in this Statement NAME OF OFF~EHOLDER OR CAN~DATE Patricia Jean DeMond (Pat DeMond on Ballot) ~F~ESO~GmORHE~ONCLUO~[OCAT~NANDmSTR~T~M~RIF~PUC~) Bakerfield City Council 2nd Ward RESIDEmI~ORBUSINE~ADORE$S COMMITTEE NAME ~.D. NUM6ER Pat DeMond For City Council 870740 COMMITTEE ABORESS(NO. ANO STREET) NAME OF TREASURER S. Louise Worby, C.P.A. PERMANENT AD~RE~S O~ '~t~:A~UR~n (NO. AND STREET) Other Committees Not Included in this Statement: eommld~ not induded ln thle weL(dated statament that are ~onb~lled by you and eny commlffe~ of whlcb yo~ hat~ lmo#~Ydge b~at are prfm~lly formed to r~iv~ c(mttfb ES DNO e reviewed the statement a~d to Ihs best of m ~-i~ end in if~ schedules Is tnJe and comp~. ! certify ,.ruder pena#y of perjury under the Sews of the Stat.e of Califomle that the foregokxJ is trim end carrect ;v,~,.a~r, 7~[~ ~2At Bakersfzeld, CA who ~ · cemmlttae m.s, .1~o verifl/the camflalgn w:-;~martt- ! have used" .nm~,?P?bta.. elllgence and to the ' of ~lhec ea~. i ch~ifvus~du~ldemtlr oere~a~v-of'~f4e Exeouted on' 7-'~/ At By At By FOR INFORMATION RE(~JIRED TO BE PROVID~D TO YOU PURSUANT TO THE INFORMA~ON PRACTICES ACT OF 1977. SEE ~NFORMAI~ MA~A£ ON CAM.AKiN ~C£ORDR~ ~R OF 114~ ~ITICAL R~F~M ~X State of California Fair Political Practices Commission Campaign Disclosure Statement Summary Page SEE INSTRUCTIONS ON REVERSE Type or ~i~t in ink. Amounts m~¥ b~ rounded to whore do#ors. Statement covers period from 01/01/97 throu~ 06/30/97 SUMMARY PAGE NAME OF OFFICEHOLDER OR CAN DIDATE AND CONTROLLED COMMITTEE Pat Pat DeMond For Cit Council Contributions Received I. Monetary Contributions ............................... Sc/~du/e A, Uno JS 2. Loans Re(eivad ......................................... ScMdu~ B, Uno 7 3. 5UBTOTALCASHCONTRIBUTIONS ...................... ~d/.~s! ,2 S 4. Non-monetary ContribuUons ......................... Schedu/e C, L/M 3 S. SUBTOTAL CONTRIBUTIONS:(Exck~eEr, fo.maMe Promis~s) AddLInes.~ *4 S 6. Enforceable Promises (Exo~udeLMmGuar,~,e~,Une Iml~low) ................... Schedu/e D, L/ne 7 7. TOTAL CONTRIBUTIONS RECEIVED ..................... addUmss · 6 $ Expenditures Made 8. Cash Payments (Other than Loans Made) ............ Sdmdu~E, L~e S S 9. Loans Made ............................................. Schedule H, U,e 7 10. SUBTOTAL CASH PAYMENTS ............................ AddUneJa, ~ S 11. Accrued Expenses (Unpaid Bills) ........................ SchedMe F, ~ S 12. TOTAL EXPENDITURES MADE ......................... AddUnes la * 11 $ Current Cash Statement 13. Beginning Cash Balance .................. ~'rev/ousSumm,ry*'~e, Unel7 S 14. Cash Receipts ...................................... Cdumna, une J ,bore 15. MiKellaneous Increases to Cash ........................ ScMdu~ ~, Une 4 76. Cash Payments .................................... Co~umnA, l. lr~1Oabove 17. ENDING ~%SH ~&LANCE ..... AddU~s 13 + 14 , ls. tl~n~btr~'tUn~ la S tf ff~ b · ten~lnafk~t ~ta~ement, Une 17 mu~t be zero. 18. LOANGUARANTEESRECEIVED .............. .~hedulea, Pa~l, ColumnCb) S Cash Equivalents and Outstanding Debts 19. Cash Equivalents ................................ $eelmtructioroonreverse S 20. Outstanding Debts ................. AddLIne 2 .~ Llfle I1inColumnCabove $ Column A .00 .00 .00 Column .00 S S .00 s s .00 s s .00 S s 40~964.03 .00 922.21 .00 I.D. NUMBER 41~886.24 870740 ColumnC .00 .00 .00 .00 .00 .00 I ' From peevi~ Stoteme~t Summo~/P~ge, CMumn C However, if { this is the fire relx~t fl~ ~ t~ ~m fiat, C~umn B ~ ~ I 6), L~M M~ (Li~ 9), o~ ~ Ex.nm (Li~ 11 ). I Summary for Candidates in Both June and November Elections 111 through E~30 7/I to Date 21. ~ontrlbqtions aece~vea .... s 22. ~f~e~d!~.r.e! S Schedule I Miscellaneous Increases to Cash SEE INSTRUCTK)NS ON KEVERSE NAME Of OFFICEHOLDER O~R CANDIDATE AND CONTROLLED COMMITTEE Pat D~Mon, rPat DeMond For C~t~ Council Patelco Credit Union Patelco Credit Union 04/01/97 Typ. or ..ira in init. to whc~ doi~ Interest SCHEDULE I ~ 3 of 3 870740 AMOUNT of INCREASE TO CASH 424.88 421.51 Miscellaneous Increases to Cash Summary 1. Increases to c~sh of $100 ow more this period .............. . ............................................... S 2. increases to cash under S100 thls period. (Do not itemize.) ................................................. S 3. Totalof alllnterestrlc~iv~d this period on loans made to oth~rt (Schedule H, Part II (b).) .................... $ 4. Total miscellaneous increases to cash this period. (Add Unes 1, 2, and 3. Enter here and off the Summary Page, Line 15.) ........................................................................ TOTAL S SUBTOTAL $ 846.39 75.82 922.21 846.39