HomeMy WebLinkAboutDEMOND SEMIANN97(2) OH fficeholder, Candidate,
rind Controlled Committee
Campaign Statement- Long Form
(Government Code Sections 84200-84216.5)
SEE iNSTRUCTIONS ON REVERSE
~eck one of the following boxes to indicate the type of ..'-;~,,ent being filed:
[--1 pre-elec~nStatM'ne~ ' statement '
[] Suppiemen~ pm.~ection Statement (Attach a comp~tad Form 495 to this j
Type or print in ink.
Statement covers period
from_ 07/01 /1 c~c~7
through]- '2 / 31 / 199 ?
(Mo~th, Day. Year)
Page
Fo~ Olllctll t~e On/y
SCANNED
[] Te,,, '- --;~,, $~,,~.~t (~..~L, a completed Fo~'n 415 to ~;s statement.)
i Offl~holder, Candidate, and Controlled Commi~ II ~- ..... ~.~-~~_--~
Includ~ in ~is S~tement ~'--~m~- ~ --~----~~~~
~~~~.--.---~---- .
~E OF OFF~ ~ ~A~ ~ ~ ~ _~,.~ ..:: ~ ~ ~ ~ ~-
pa~=tcla Jean De.nd (Pat DeHond on Ballo~) c~
~F=E ~ ~ ~ ~ L~ ~ mS~ ~ · ~) 8707~0
Bakerfield City Council 2nd Ward
1104 Radcliffe Ave
Bakersfield, CA 93305 (805)
Pat DeMond For City ~uncfl Officeholder Acco 74
1104 Radcliffe Ave
Bakerefield, CA 93305
$. Louise Worby, C.P.A.
4201 Ard~re, Suite 6
Bakersfield; CA 93309
STATE ZIP
(805) 872-1104
(805) 831-3063
Pat DeMond For City Council
S. Louise Worby~ C.P.A.
1104 Radcliffe Ave
Bakersfield, CA 93305
(805) 872-1104
Campaign Disclosure Statement
Summary Page
SEE II~"TRUCTIONS ON REVERSE
NAME OF OFFICEHOLDER OR CANDIDATE AND CONTROLLED COMMITTEE
Pat p~Mond/Pat DeMond For City Council
Contributions Received
1. MonetaryCorrtributions ............................... .~hed~eAUneJ S
2. Loans Recelved ......................................... sc~edole ~, U~e ?
3. SUBTOTALCASHCONTRIBUTIONS ...................... AddUnes! ,2 $
4. Non-moneta ry Contributions .........................
S. SUBTOTALCONTRIBUTIONS~(EadudeEr,~e~ea~epmmbe~) ~/./oe~.t ,4 S
$. Enforceable Promises
7. TOTAL CONTRIBUTIONS RECEIVED ..................... Add/.~es5.6 $
Expenditures Made
8. CashPaymenls(OtherthanLoansMede) ............ Sd,ed~ E, IJ. eS$
9. Loan~ Made ............................................. ~ H, u,,e
10. SUBTOTAL CASH PAYMENTS ............................ ~U,,esa
! 1. Accrued Expenses (Unpaid Bills) ........................ i F, u.e S
12. TOTAL EXPENDITURES MADE ............... : ......... ~ddUnes l0. Il $
'Current ~'-~h Statement
13. Beginning Cash Balance .................. Prev/om~mmaryFage. rdnel;. S
14. Cash Receipts ............................... , ...... ce~amn~ U~e J ~x~
15. Miscellaneous Increases to Cash ........................ Sdm~e t L~e 4
16. Cash Payments .................................... C~A, UnelOeb~we
17. ENDING CASH BALANCE ..... 4ddLIne~IJ.~14,*IS,~f. en~j~-actUne~6 S
18. LOAN GUARANTEES RECEIVED .............. Sched~/e a, ff~tt Columnfb~ S
Cash Equivalents and Outstanding Debts
19. Cash Equivalent$ ................................ See/mtr~'~m~eflee~eae $
20. Outstanding Debts ................. 4oV~ 2 , Une ll lflColumnCebove S
Amounts may be rounded
to who~ dolbrs.
Statement covers period
from(~./..~_~l 9 9 7
through 12/31/1997
Column A
.00
Column B*
SUMMARY PAGE
3
Page 2 ee
I.D. NUMBER
870470
Column C
S
.00 $
,0O s
.00
$ S
.00
S S
.00
.41,886.24
.00
961.76
42,848.00
S S
.*..F .r~. p?ious Statement Summery Page, Column C However if
~IIIS IS ~ first rleDort filed loc t~ caiendar )Feet, Column IL should ~
blank ~-.~pt for Lo~ns Receh~d (Line 2). Enforceable Prom~ (Line
iS), Loam Mazda (Line 9), arid A4;~'ued Expenses (Line 11).
Summery for C.a.ndidates in Both June and
November Elections
1/1 through 6~JO 7/1 to Date
~'21. ~:ontribqtions
Kecelveo .... S
22.
nditures
Schedule I
Miscellaneous Increases to Cash
SEE INSTRUCTIONS ON REVERSE
NAME OF OFFICEHOLDER OR CANDIDATE AND CONTROLLED COMMITTEE
DATE
RECEIVED
7/01/97
9/09/97
10/01/97
FULL NAME AND ADDRESS OF SOURCE
Patelco Credit Union
Patelco Credit Union
Patelco Credit Union
T)'pe M pdnt in Ink.
Amounts may be rounded
to whole dolle~
Interest
Interest
nterest
Stltement covers period
from ~
DESCRIPTION OF RECEIPT
SCHEDULEI
3 3
Page of __
I.D. NUMBER
AMOUNT OF
INCREASE TO CASH
432.08
337.01
115.66
Attach additional informer/on on appropriately labeled continuation shee~ SUBTOTAL
Miscellaneous Increases to Cash Summary
1. Increases to cash of $100 or more this period ............................................................. $
2. Increasestocesh under $100this period. (Do not itemize.) ................................................. $
3. Total of all interest received this period on loam made to others. (Schedule H, Part II (b).) ....................
4. Total mlKellaneous increases to cash this period. (Add Lines 1, 2, and 3. Enter here and on the
Summery Page, Line 15.) ........................................................................ TOTAL $ 961.76