HomeMy WebLinkAboutBPPAC SEMIANN98(2) ecipient Committee
Campaign Statement -- Long Form
(Government Code Sections 84200-84216,5)
Type or prim in bk.
SEE INSTRUCTIONS ON REVERSE
Che~ one of the followlng boxes to imlkmta the typl of ~tetement being fikd:
[] Pre-election Statement IS]/Semi-annual Statement
D Special Odd-year ClmMign Report
E] Supplemental Pre-election Statement (Attach · completed Form 495 to this Statement.)
!'"] Termination Statement (Attlch a completed Fcxm 415 to this statement.)
I Committee Information
NAME OF COMMITTEE
ADOIRSS OF COMMITTEE
ME OF TREASURER
AND STREET)
,aLPiF CO0~ AREA COD~AYTIIb~ Pt4ON~
(Check Boxes) See definition and important information on reverse.
IS this a sponsored committee? .................. [] Yes I~No
is this a broad based political committee? ......... ~'ves [] No
II Verification
II Primarily Formed Committee (See de;inition on reverse.)
List names of officeholder(s or candidate(s) for which
this committee is primarily ~)ormed.
NAME {W CAIK/~)ATEG) O~ Of FICEHOLI~IK$) Offtl $4
MXIGHT OIt HELD
Attach additional information on appropriately labeled continuation sheets,
I have used all reasonable diligence in preparing this statement. I have reviewed the statement and to the best of my knowledge the information co .ntained
':yry ~ laws of th St of 'fornia that the foregorag is true
herein and in the attached schedules is true and complete. I certify under penalty of Perl
and cOrred.
ExecUted on /_j,/c~
SIGNATU~I Of TMASURER
DATE
E.ec.tedon ~' ~'~'~ A, ~,~X-~<~,~) c~;~ ,y
DATE CITY AND STATE
FOR INFORMATION REQUIRED TO BE PROVIDED TO YOU PURSUAIfl TO THE INFORMATION PRACTICES ACT Of 1977, SEE INFORMATION M, ANUAL I:)N CAMPAI(~N DISCLOSURE PROVISIONS Of TH£ POLITICAL REFORM
Recipient Committee
Summary Page
SEE INSTRUCTIONS ON REVERSE
NAME OF COMMITTEE
flP, qc
Contributions Received
1. Monetary Contributions ...............................
2. Loans Received .........................................
3- SUBTOTAL CASH CONTRIBUTIONS ......................
4, Non-monetary Contributions .........................
5. SUBTOTAL CONTRIBUTIONS (Exdude Enforceab/e Promises)
6, Enforceable Promises
(Exclude Loan Guarantees, L/ne 18 be/ow) ...................
7, TOTAL CONTRIBUTIONS RECEIVED .....................
Expenditures Made
8. Cash Payments (Other than Loans Made) ............Schedde E, Une S
9. Loans Made '. ............................................Schedule H, Une 7
10. SUBTOTAL CASH PAYMENTS ............................AddUnesl, 9
11. Accrued Expenses(Unpaid Bills) ........................Schedu/eF, Une5
12, TOTAL EXPENDITURES MADE .........................AddUnfi 10 ·,
Current Cash Statement
13, Beginning Cash Balance .................. PreviousSurnmaryl'age, Line 17
14. Cash Receipts ......................................Column A, Line 3 above
15. Miscellaneous lncreases to Cash ........................Scheckde#,Line4
16. Cash Payments ....................................Column A, Une I0 above
17, ENDING CASH BALANCE ..... AddUnes U , 14. IS, then subtract Ltne16
If this is a termination statement, Une f 7 must be zero.
khedu/eA, Une3
$cheddeB, Une7
AddL/nesl ,2
Schedu/e C, L/ne3
Add Unes 3 , 4
Schedule D, Une7
AddLinesS , 6
18. LOANGUARANTEESRECEIVED .............. Schedulee, Partl, Colurnnfb) S
Cash Equivalents and Outstanding Debts
19. Cash Equivalents ................................See instructions on reverse S
20. Outstanding Debts ................. AddLine 2 · Line II inColumnCabove S
Type m pdnt in ink.
Amounts may be rounded
towhobdolars.
Column A
TOTAL THIS II~RIOQ
(FROM ATTm~:HED SCHEDULES)
,oo
~6
5'oo --
,<'eo ---
SUMMARY PAGE
Statement covers period
f,om I O- I - ?8"
I.D. NUMBER
Column l® Column C
TOTAl. I~EVIOUS PTRIOO TOTAL TO DATE
s _ s
s .~ooe~ o,/. - s 2~,~~
-
s y-.oo o 5~ s :,,~o"
/0
ENtNNG CASH DALANCE SHOULD,
PlOT BE A NIGATII~ AMOUNT
* From previous Statement Summary Page, Column C. However, if
this is the first report filed for the calendar year, Column B should be
blank except fOr Loam Received (Line 2), Enforceable Promises (Line
6), Loans Made (Line 9). and Accrued Expenses (Line 11 ),
Summary for Non-Controlled Committees
Primarily Formed to Support or Oppose
Candidates in Both June and November
Elections
1/1 through 6/30 711 to Date
21 ontrib tions
22. i~fap~nditures
· ...... s
Recipient Committee
Allocation Page
Type or print in ink.
Amounts may be rounded
to whole dollmrs.
ALLOCATION PAGE
Statement covers period
from / ~ '/' ~' ~'
SEE INSTRUCTIONS ON REVERSE through ] 2, - 3 i ' <~ ~' __ i Page --~ of ~
NAME OF COMMITTEE I.D~ NUM~R
List contributions and independent expenditures that total $ tOO or more made to support or oppose officeholders, cand/dates, ha~ot measures, or committees.
DATE NAME OF OFFICEHOLDER OR CANDIDATE AND OFFICE, OR NAME OF CHECK ONE IND. AMOUNT THiS CUMULATIVE TO DATE
MEAsu.E AND ..~0~ .UM.. O. ~E~E., O...~E O, COMM,.EE.,..'..,OO~O.'~1~.~e,~
IF OTHER THAN OFF~E HOLDER, ~NDIDATE, OR MEASURE COMMI~E E ~ ~
CUMULATIVE TO DATE
OTHER
(IF APPLICAIILE)
Attach additional information on appropriately labeled continuation sheers.
Allocation Summary
1. Contributions and independent expenditures of $100 or more made this period. · 0
(Include all Allocation Page subtotals.) ....................................................................... $
2. Contributions and independent expenditures under $100 made this period.
(Do not itemize.) ................................................................... . ...................... $
3. Total contributions and independent expenditures made this period.
(DO not carry this to the Summary Page.) ............................................................ TOTAL $
Schedule A
Monetary Contributions Received
SEE INSTRUCTIONS ON REVERSE
NAME OF COMMITTEE
~ PP~c
FULL NAME AND ADDRESS OF CONTRIBUTOR
DATE (~ COMMil~EE, IN ADDI11ON TO COMMIITEE'S NAME ANO ADDRESS, ENTER I.D, NUMIER
RECEIVED O~ I~ NO I.D. I~IMIER HAS liEN A$~aN~D, ENTER TREASURER~ NAME AND ADDRESS)
Type or print in ink.
Amounts may be rounded
to whole dolbrs.
OCCUPATION AND EMPLOYER
(IF SELF-EMPlOYED, ~NTEe
NAME Of IUSI~SS)
Statement covers period
,,__ /~-/- ~r
,,,..,,.,,./2 - ~/
AMOUNT
RECEIVED THIS
PERIOD
I~-~-?~r / oe o~
Io-~-~ /oo
//-~;-?~'
0o
iPI~'ie' /oo --
oO
l~-q-?~' I0~
ASSOCIATION OF
BAKERSFIELD POLICE OFFICERS
ASSOCIATION OF
BAKERSFIELD POLICE OFFICERS
ASSOCIAT!ON
BAKERSFIELD POLICE OF rD; :~'
~ ~,~ "'
ASSOCiATiON OF
BAKERSFIELD POLICE OFFICERS
ASSOCIATfON OF
BAKERSFIELD POLICE O;F~::,:
SUBTOTAL S ,~00 eo
Monetary C~ntribuiions S'Ummary ..........
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 land2. Enter here and on the Summary Page. ColumnA, Line l.) .............................. TOTAL $ ~00 -"'
SCHEDULE A
CUMULATIVE TO DATE CUMULATIVE TO DATE
CALENDAR YEAR OTHER
(JAN, 1 - DEC. 31) (IF APPLICABLE)
Schedule A (Continuation Sheet)
Monetary Contributions Received
NAME OF COMMITTEE
FULL NAME AND ADDRESS OF CONTRIBUTOR
DATE m COMMITTEE, IN ADDffl0N 10 COMMITTEE'$ t/AM[ AND ADOREIS, ENTER LD, NUMBER
RECEIVED OR. w NO I,D, NUMBER HAl liEN ASSIGNED, ENTER TREAiURER'$ NAME AND ADORE$$)
ASSOCIATION OF
BAKERSFIELD POLICE OFFICERS
:;,
Type of l)rint in tnk.
Amounts may be roundel
to wh0k doNmrs.
OCCUPATION AND EMPLOYER
(W $ELF'EMIPt0YED, ENTER
NAME Of I,PJ, INE$S)
SUBTOTAL
Statement covers period
through / ~1, '3 ' '~ ~
AMOUNT
RECEIVED THIS
PERIOD
SCHEDULE A (cord..)
I.D, NUMBER
CUMULATIVE TO DATE
CALENDAR YEAR
(JAN, 1 - DEC, 31)
CUMULATIVE TO DATE
OTHER
(IF APPLICABLE)
Schedule I
Miscellaneous Increases to Cash
SEE INSTRUCTIONS ON REVERSE
NAME OF COMMITTEE
Tylxofprlnti~klk.
Amounts may be rotended
to whole doffmrs.
Stati~ent covers period
throu9h
DATE
RECEIVED
FULL NAME AND ADDRESS OF SOURCE
Of COMMITTEE, Me ADI)firlON TO CClMMITTE[~ MAM[ AND ADOe/S$, INTER l.O. NUMI~R
OR, IF NO LD. NUMIER HAS lIEN ASSl6N(D, EMI'ER TREArRJRIR'$ NAME ANO ADDRESS)
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 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
Summary Page, Line 15.) ......................................................................... TOTAL $
SCHEDULE
SUBTOTAL $
I.D. NUMBER
AMOUNT OF
INCREASE TO CASH