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HomeMy WebLinkAboutDelgleize, Barbara. - 2013 FPPC Campaign Disclosure Forms Fo (2)Campaign Disclosure Statement Summary Page Type or print in ink. Amounts may be rounded to whole dollars. Statement covers period from 07/01/2013 SUMMARY PAGE SEE INSTRUCTIONS ON REVERSE through 12/31/2013 Page 3 of 27 NAME OF FILER I.D. NUMBER Barbara Delgleize for City Council 2014 1345651 Column A Column B Calendar Year Summary for Candidates Contributions Received TOTALTHISPERIOD CALENDARYEAR Running in Both the State Primary and (FROM ATTACHED SCHEDULES) TOTALTOOATE General Elections 1. Monetary Contributions ........................................... Schedule A, Line 3 $ 21, 689.00 $ 23, 339.00 1l1 through 6/30 7/1 to Date 2. Loans Received...................................................... Schedule B, Line 3 0. 00 3, 000. 00 3. SUBTOTAL CASH CONTRIBUTIONS ......................... Add Lines 1 +2 $ 21, 00 . 689 $ 26, 339.00 20. Contributions Received $ $ 4. Nonmonetary Contributions .................................... Schedule C, Line 3 0.00 0.00 21 Expenditures 5. TOTAL CONTRIBUTIONS RECEIVED ........................... Add Lines 3+4 $ 21,689.00 $ 26,339.00 Made $ $ Expenditures Made Expenditure Limit Summary for State 6. Payments Made ....................................................... Schedule e, Line 4 $ 7, 220. 15 $ 8 , 788.50 Candidates 7. Loans Made............................................................. Schedule H, Line 3 0.00 U.00 22. Cumulative Expenditures Made* 8 SUBTOTALCASH PAYMENTS .................................... Add Lines 6+7 $ 7,220.15 $ 8,788.50 (If subject to Voluntary Expenditure Limit) 9. Accrued Expenses (Unpaid Bills) ............................... Schedule F, Line 3 0.00 0.00 Date of Election Total to Date (mm/dd/yy) 10. Nonmonetary Adjustment .......................................... Schedule C, Line 3 0.00 0.00 11. TOTAL EXPENDITURES MADE ........................ ........ Add Lines 8+9+10 $ 7,220.15 $ 8,788.50 l l $ _ Current Cash Statement 12. Beginning Cash Balance ....................... Previous Summary Page, Line 16 $ 3, 309.32 13. Cash Receipts ................................................... Column A, Line 3above 21, 689.00 14. Miscellaneous Increases to Cash ........................... Schedule 1, Line 4 0.00 15. Cash Payments .................................................. Column A, Line 8 above 7,220.15 16. ENDING CASH BALANCE .......... Add Lines 12 + 13 + 14, then subtract Line 15 $ 17, 778.17 If this is a termination statement, Line 16 must be zero. 17. LOAN GUARANTEES RECEIVED ........................... Schedule B, Part 2 $ 0.00 Cash Equivalents and Outstanding Debts 18. Cash Equivalents ........................................ See instructions on reverse $ 0.00 19. Outstanding Debts ......................... Add Line 2 +Line 9 in Column B above $ 3, 000.00 To calculate Column B, add amounts in Column A to the corresponding amounts from Column B of your last report. Some amounts in Column A may be negative figures that should be subtracted from previous period amounts. If this is the first report being filed for this calendar year, only carry over the amounts from Lines 2, 7, and 9 (if any). Amounts in this section may be different from amounts reported in Column B. FPPC Form 460 (January/05) FPPC Toll -Free Helpline: 866/ASK-FPPC (866/275-3772) www.netfile.com Schedule D SCHEDULED Summary Of Expenditures Type or print in ink. Statement covers period7I.D,NUMBER SU ortln �® osln Other Amounts may be rounded 9 pP 9 to dollars. •pp whole 07/01/2013Candidates, Measures and CommitteesfromSEE through 12/31/2013 22of 27NAME INSTRUCTIONS ON REVERSE OF FILER Barbara Delgleize for City Council 2014 1 CUMULATIVE TO DATE PER ELECTION DATE NAME OF CANDIDATE, OFFICE, AND DISTRICT, OR TYPE OF PAYMENT DESCRIPTION AMOUNTTHIS CALENDAR YEAR TO DATE MEASURE NUMBER OR LETTER AND JURISDICTION, (IF REQUIRED) PERIOD (JAN. 1- DEC. 31) (IF REQUIRED) OR COMM ITTEE ❑ Monetary Contribution ❑ Nonmonetary Contribution ❑ Independent _ ❑ Support ❑ Oppose Expenditure ❑ Monetary I Contribution ❑ Nonmonetary Contribution _ ❑ Independent ❑ Support ❑ Oppose Expenditure �' I ❑ Monetary Contribution ❑ Nonmonetary Contribution ❑ Independent ❑ Support ❑ Oppose Expenditure SUBTOTAL $ Schedule D Summary 1. Itemized contributions and independent expenditures made this period. (Include all Schedule D subtotals.)......................................................... $ 2. Unitemized contributions and independent expenditures made this period of under $100..................................................................................... $ 3. Total contributions and independent expenditures made this period. (Add Lines 1 and 2. Do not enter on the Summary Page.) ............ TOTAL $ 0.00 40.00 40.00 FPPC Form 460 (January/05) FPPC Toll -Free Helpline: 866/ASK-FPPC (866/275-3772) www.neffile.com Campaign Disclosure Statement Summary Page Type or print in ink. Amounts may be rounded to whole dollars. Statement covers period from 01/01/2013 SUMMARY PAGE SEE INSTRUCTIONS ON REVERSE through 06/30/2013 Page 3 of 9 NAME OF FILER I.D. NUMSER Barbara Delgleize for City Council 2014 1345651 Contributions Received TOColumnA TALTHIS PERIOD (FROM ATTACHED SCHEDULES) 1. Monetary Contributions ........................................... Schedule A, Line 3 $ 1,650.00 2. Loans Received...................................................... Schedule a, Line 3 0.00 3. SUBTOTAL CASH CONTRIBUTIONS ......................... Add Lines 1 +2 $ 1,650.00 4. Nonmonetary Contributions .................................... Schedule C, Line 3 0.00 5. TOTAL CONTRIBUTIONS RECEIVED ........................... Add Lines 3 + 4 $ 1, 650.00 Expenditures Made 6. Payments Made ....................................................... Schedule E, Line 4 $ 1,568.35 7. Loans Made............................................................. Schedule H, Line 3 0.00 8. SUBTOTALCASH PAYMENTS .................................... Add Lines 6 + 7 $ 1,568.35 9. Accrued Expenses (Unpaid Bills) ............................... Schedule F Line 3 0.00 10. Nonmonetary Adjustment .......................................... Schedule C, Line 3 0.00 11. TOTAL EXPENDITURES MADE ................................ Add Lines 8 + 9 + 10 $ 1,568.35 Current Cash Statement 12. Beginning Cash Balance ....................... Previous Summary Page, Line 16 $ 3.227.67 13.Cash Receipts ................................................... Column A, Line 3above 1,650.00 14. Miscellaneous Increases to Cash ........................... Schedule 1, Line 4 0.00 15.Cash Payments. ................................................. Column A, Line 8above 1,568.35 16. ENDING CASH BALANCE .......... Add Lines 12 + 13 + 14, then subtract Line 15 $ 3,309.32 If this is a termination statement, Line 16 must be zero. 17. LOAN GUARANTEES RECEIVED ........................... Schedule a, Part 2 $ 0.00 Cash Equivalents and Outstanding Debts 18. Cash Equivalents ........................................ See instructions on reverse $ 0.00 19. Outstanding Debts ......................... Add Line 2 +Line 9 in Column B above $ 3,000.00 Column B CALENDAR YEAR TOTALTO DATE $ 1,650.00 3,000.00 $ 4,650.00 0.00 $ 4,650.00 $ 1,568.35 0.00 $ 1,568.35 0.00 $ 1,568.35 To calculate Column B, add amounts in Column A to the corresponding amounts from Column B of your last report. Some amounts in Column A may be negative figures that should be subtracted from previous period amounts. If this is the first report being filed for this calendar year, only carry over the amounts from Lines 2, 7, and 9 (if any). Calendar Year Summary for Candidates Running in Both the State Primary and General Elections 1/1 through 6/30 7/1 to Date 20. Contributions Received $ $ 21. Expenditures Made $ $ Expenditure Limit Summary for State Candidates 22. Cumulative Expenditures Made* (If Subject to Voluntary Expenditure Limit) Date of Election Total to Date (mm/dd/yy) I I $ Amounts in this section may be different from amounts reported in Column B. FPPC Form 460 (January105) FPPC Toll -Free Helpline: 866/ASK-FPPC (866/275-3772) www.netfile.com Statement of Organization Recipient Committee INSTRUCTIONS ON REVERSE Page 3 of 3 LD. NUMBER Barbara Delgleize #fyor City Council 2014 1345651 4..Type cif C g "ltee (co-tnu-d) ..xad y . . ' r. . Not formed to support or oppose specific candidates or measures in a single election. Check only one box: ❑ CITY Committee ❑ COUNTY Committee ❑ STATE Committee PROVIDE ERlEF DESCRIPTION OF ACTIVITY List additional sponsors on an attachment. NAME OF SPONSOR GROUP OR AFFILIATION OF SPONSOR STREET ADDRESS NO. AND STREET CITY STATE ZIP CODE � f / Date qualified a TertTtlit kiCi fi jUirement 8 ignln the verification, the assistant treasurer and/or n c }tdate, z i teehalder €fir prcpanent ceritfy that [ fthe following conditions have beee met • This committee has ceased to receive contributions and make expenditures; • This committee does not anticipate receiving contributions or making expenditures in the future; • This committee has eliminated or has no intention or ability to discharge all debts, loans received, and other obligations; • This committee has no surplus funds; and • This committee has filed all campaign statements required by the Political Reform Act disclosing all reportable transactions. - There are restrictions on the disposition of surplus campaign funds held by elected officers who are leaving office and by defeated candidates. Refer to Government Code Section 89519. Leftover funds of ballot measure committees may be used for political, legislative or governmental purposes under Government Code Sections 89511 - 89518, and are subject to Elections Code Section 18680 and FPPC Regulation 18521.5. FPPC Form 410(Dec/2012) FPPC Advice: advice@fppc.ca.gov (866/275-3772) www.fppc.ca.gov