HomeMy WebLinkAboutDEMOND AMEND97(1) mendment to
Campaign Disclosure Statement .' I! y
ILL
This form must be used to amend statements fded pursuant to Government Code Sections 84200*84216.5. and must be filed with all
f,bngoff~cerswhorecewedthestatementbemgamended NOTE: DonotusethisformtoamendaStatementofOrgenization, Form
410. CaRdedate Intention, Form S01. Or a Campa.gn Bank Account, Form 502 Use the actual Form 410, S01 or 502, r~pect~vely, to make
amendments
The information required in part I must correspond to the Information paDvialed on the ca ropeion statement being amended.
Name of Filer ('See important information on reverse.)
NAME OF FILER I.D. NUMBER
Pat De2,bnd For City Council Officeholder Account ,~j~
MAILING ADDRESS OF FILER
1104 tladcliffe Avenue
O?¥
Bakersfield
AREA CODE/DAYTIME PHONE NUMBER
(805) 872-1104
NAME Of TREASURER IF RECIPIENT COMMITTEE
S. Louise Worb¥. C.P.A.
PERMANENT ADDRESS OF TREASURER: (IF APPLICABLE)
4201 Ardmore, Suite 6
CrT:~ ,
Bakersfield, CA
AREACODE/DAYTIME PHONE NUMBER
( 05) 831-3053
(NO AND STREET)
CASTATE 9330~mCODE
(NO. AND STRE E T)
STATE ZIP CODE
93309
AMENDMENT
For Official Use Only
II Amendment Information
A. The following informeti~D(~mends campaign disclosure
statement, Form NO. q~ ,
~/~/9~ 07/01/97 12/31/1997
executed on for the period through
B. The amended information affects items on the:
[] Cover Page [] AhtJofi Page [] Summary Page
[] SchadoW(s) "E" [~ pa~(s) Page 5 of 7
C. Describe the changes below. Include in detail all information you wish to
become a part of your official campaign statement. Please attach a cover
page, summary page and/or appropriate schedule(s) to this Form 405 if
necessary for clarification. Include additional information on appF~9pri-
ately labeled continuation sheets. (Number of sheets attached ~37 .)
Cover page from other conroittee placed on state~_mnt.
Added $16.00 in disbursements to Schedule "£" (page
5 of 7), which reflects in a $16.00 reduction in ending
cash balance on line 17, page 2 of 7, of the Summary
sheet.
III Verification (s~e/moortan! information on reverse)
I have used all reasonable d4hgence in preparing this statement. I have rowewed the statement and to the best of my k now/edge the information cunt&mad h em~'~he attached schedules is
E,,utedon ~7-o.r,- 2F At ~ersfield, Califo~a
Executed on 7/28/98 At ~sfield,
Executed on At By
State of California Fair Political Practices Commission
Officeholder, Candidate,
and Controlled Committee
Campaign Statement- Long Form
(Government Code Sections 84200-84216.5)
SEE iNST~RUCTIONS ON RE'VEFk~E
Check one of ~e following b~xee to indicate t~e type of statemere being filed:
r-J su~lem~ntaj ~ statement (Attach a c.~t ed Fo~m 495 to this statement.)
[] ~'ermlma6o~ Statement (A~"~ a cc~pieted Fom~ 415 to ~ statemecL)
I Officeholder, Candidate, and Controlled Committee
Included in this Statement
NAME OF OFFICEHOLOE~I OR CANI~DAT~
Pa=ricia Jean DeMond (Pat DeMond on Ballot)
Bakerfield City Council 2nd Ward
Pat DeMond For City Council Officeholder Acct 970774
h'om 07/01/1997
12/31/1997
threugh
Year)
COVER PAGE - LONG FORM
Page 1 of 7
For Off'x:bl Use ~
II
Other Committees Not Included in this Statement: u~.v.~,..
Pat DeMond For City Council 870740
S. Louise Worby, C.P.A.
D~s
III Verification
h~v. ueecl aA ree~:.-.mb4e c~ligence i~ pmpadr~ bhis statement I have reviewed ~e statement ar~ ~ ~ ~ ~ ~ ~ ~ ~~
Campaign Disclosure Statement
Summary Page
SEE INSTRUCTIONS ON REVERSE
NAME OF OFFICEHOLDER OR CANDJDATE~A..ND COJ~ITROLL,E~O C~)MMITTrr, E ~,
Pat DeMond for ~ity Councl: or:lceno~er Account
Contributions Received
1. Monetary Contributions ...............................
2.
3.
4.
5.
6.
Sched~/e A Une ~
Loans Received ......................................... Schedole e, Une 7
SUBTOTAL CASH CONTRIBUTIONS ...................... AddUnes 1,2
Non-monetary Contributions ......................... S~e~e C ~r~ ~
SUBTOTAL CONTRIB UTIONSi(Exo~de Enfa~ceab/e erom/ses)
Enforceable Promises
(Exclude Lo.n Guarenteez. Line I m below) ...................
7. TOTAL CONTRIBUTIONS RECEIVED .....................
Expenditures Made
A~Unes$ ~. 4
Schedole O, Une 7
A~dUnesS ,, 6
8. Cash Payments (Other than Loans Made) ............Sd~dule £, Une S
9. Loans Made .............................................sd~ H, ZJ~e 7
10. SUBTOTAL CASH PAYMENTS ............................~o'L/nejm, g
11. Accrued Expenses (Unpaid Bills) ........................ScMdu/e F, L/ne$
12. TOTAL'EXPENDITURES MADE .........................AddL/ms Ig · 11
Current Cash Statement
13. Beginning Cash Balance .................. ~,vlous Summery page, r~e I7
14. Cash Receipts ......................................CohawnAUneSebove
15. Miscellaneous Increases to Cash ........................Schedule I, L/he 4
16. Cash Payments ....................................ColumnALine lOebore
17. ENDING CASH BALANCE ..... ~el Unes13 , 14 * 15, thenJut~'~t Une16
ff ~l~ t~ a termlnatlo~ ~tatement, ~ 17 m~'t ~ zero.
18. LOAN GUARANTEES RECEIVED .............. ScheduleB, Partl, Column(b) $
Cash Equivalents and Outstanding Debts
19. Cash Equivalents ................................ 5eelnstruct~onsonreverM
20. Outstanding Debts ................. ~ddUne 2 + Line ll inColumnCabove $
S
S
S
S
S
S
S
S
Type M print in ink.
Amoun~ may IN rounded
to whom doga~
Column A
500. O0
500.00
147.50
647.50
647.50
958.71
958.71
1,464.08
500.00
958.71
1,013.17
SUMMARY PAGE
Statement covers period
fi'Om 07-01-1997
throog~ 12/31/1997 ~, 2 of 7
I i.D. NUMBER
970774
Column B* Column C
s 1,700.00 s.. 2~200.00
S 1,700.00
s. 2,200.00
150.00 297.50
s 1,850.00 __ s 2,497.50
$ 1,850.00 $ 2,497.50
S 237.86 s 1,196.57
s 237.86 s 1,196.57
s 237.86 __ s 1.196.~7
· From p~viou$ Statement Summa~/ Page, CMumn C. However, if
this is the fi~t reDoft filed for the calendar year, Column B shou d be
b;&nk except for LMm Received (Line 2) Enfocceable Promises (Line
6). Loans Mede (L ne g). end Aco'ued Expenses (Line 11 ).
Summary for Candidates in Both June and
November Elections
1/1 through 6~JO 7/1 to Date
21. ;ont/'ibqtions
Kecewea .... s
nditures
22. ....... s
Schedule E
Payments and Contributions
(Other Than Loans) Made
SEE INSTRUCTIONS ON REVER~E
NAME OF OFFICEHOLDER OR CANDIDATE AND CONTROLLED COMMI~'EE
Pat DeMond for City council Officeholder Account
Type or ;xint in ink.
Amo,Jnts may be rounded
to whole dollar~
CODES FOR CLASSIFYING EXPENDITURES
Stateme~ cove~ ~ricd
07/01/1997
mr~12/31/1997
SCHEDULE E
, P,;* .~ of 7
I.D. HUMBER
970774
If one of the following codes accurately describes the expenditure,you may enter the code and leave the 'Description of Payment' co}umn blank. Refer to the
back of Schedule E-Continuation Sheet for detailed explanations of each category.
'C'- MONETARY AND IN-KIN D (NON-MONETARY)
CONTRIBUTIONS TO OTHER CANDIDATES
AND COMMITTEES
'1' - INDEPENDENT EXPENDITURES
'L'- LITERATURE
'B"- BROADCAST ADVERTISING
'N'- NEWSPA,DE R ~U~ID PERIODICAL ADVERT]SING
'O'- OUTSIDE ADVERTISING
"S'- SURVEYS, SIGNATURE GATHE KING, DOOR-TO-DOOR SOUCITATIONS
'F' - FUNDRAISING EVENTS
'G'- GENERAL OPERATIONS AND OVERHEAD
'T'- TRAVEL. ACCOMMODATIONS AND MEALS
(MUST BE DESC~BED)
'P'- PROFESSIONAL MANAGE ME NT AND CONSULTING
SERVICES
NAME AND ADDRESS OF PAYEE, CREDITOR. OR RECIPIENT OF CONTI~BUTION
IMPORTANT: DO NOT ITEMIZE THE PAYMENT OF ACCRUED EXPENSES ON SCHEDULE E.
REPORT ONLY THE LUMP SUM OF EUCH PAYMENTS ON LINE 4 OF THE SUMMARY SECTION BELOW.
CODE OR DESCRIPTION OF PAtMENT AMOUNT PAID
Payments and Contributions Made Summary
1. Payments made this period of $100 or more. (Include all Schedule E subtotals.) ............................ : ......................... $ 728. :38
2. Payments m~Je this period of under $100. (Do not itemize.) ....................................................................... $ 2:30.3:~
3. Total interest paid this period on outstanding loans. (Enter amount from Schedule B, Part II, Column (d).) .............................. $
4. Total accrued expanses paid this period. (Do not itemize. Enter amount from Schedule F, Line 4.) ..................................... $
5. Total payments made this period. (Add Lines l, 2,3, and4. Enter here and on the Summary Page, ColumnA, LineB) ........... TOTAL $ 958.71
Im.(~o~.an.t,: Con tri ,i~J. .tions and exl~enditu .ms .m. ade out of campaign funds to or on behalf of other
~r~Icen~er~canai~ates`c~mm~ttees~r~a~tmeasuresmusta~s~beentered~ntheA~cati~nPage~Part~. SUBTOTAL $