Loading...
HomeMy WebLinkAboutHarper, Matthew - 2014 Campaign Disclosure Forms - Matthew H ` . Statement of Organization Recipient Committee INS;RUC7CONS ON RIEVEIRSA Matthew Harper for City Council 2014 Not formed to Support or,oppose specific candidates or measures in a single election. Check only one box: CITY Committee COUNTY Committee[I STATE Committee ,^vvm�omcroezw,no�u,m,�/n List additional sponsors nnanattachment. rT P.,E T^u:nun w0^n:S1n,F c'° sxr opcom ° This committee has ceased m 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 nr ability todischarge aX debts, loans received,and other obligations; * This committee has no surplus fundzand ^ ° 'This cnmmimcehas filed all campaign statements required by the Political Reforrn 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. Referto Government Code Section 89Sl9. =�Leftnvecfundsof-baUotmcaoun,ccmmitteesmoybeusedfocpn|itica|'{eQidativeorgovernmenta| purposesunderGovernment[odc5ections8951l-89518,andane subject u,Elections Code Section 1868O and FPPC Regulation 185Z1.S. FPpc Form 410(oec/20n2) pPPcodvice:admce@fppc.oa.ovv(us6/27s'sr/a) www*,rrc.ca.guu Campaign Disclosure Statement Type or print in ink. SUMMARYPAGE Amounts may be rounded Statement covers period ® - Summary page to whole dollars. d from 101191 SEE INSTRUCTIONS ON REVERSE through 11/12/2014 Page 3 of 6 NAME OF FILER I.D. NUMBER Matthew Harper for City Council 2014 1325962 Column Column B Calendar Year Summary for Candidates Contributions Received TOTAL THIS PERIOD CALENDARYEAR Running in Both the State Prima and (FROM ATTACHED SCHEDULES) TOTALTODATE g Primary General Elections 1. Monetary Contributions ........................................... Schedule A,Line 3 $ 0.00 $ 500.00 1/1 through 6/30 7/1 to Date 2. Loans Received ...................................................... Schedule B,Line 3 -250.00 0.00 2so.00 500.00 20. Contributions 3. SUBTOTAL CASH CONTRIBUTIONS ......................... Add Lines 1+2 $ $ Received $ $ 4. Nonmonetary Contributions.................................... Schedule C,Line 3 0.00 0.00 21. Expenditures 5. TOTAL CONTRIBUTIONS RECEIVED ...... •.•••••.........••AddLines3+4 $ -250.00 $ 500.00 Made $ $ Expenditures Made Expenditure Limit Summary for State 6. Payments Made....................................................... Schedule E,Line 4 $ 278.17 $ 12,412,11 Candidates 7. Loans Made............................................................. Schedule H,Line 3 0.00 0.00 22. Cumulative Expenditures Made* 8. SUBTOTAL CASH PAYMENTS .................................... Add Lines 6+7 $ 278.17 $ 12,412.11 (if Subjectto Voluntary Expenditure Limit) 9. Accrued Expenses (Unpaid Bills) ...............................Schedule F Line 3 0.00 0.00 Date of Election Total to Date 10. Nonmonetary Adjustment ..........................................Schedule C,Line 3 0.00 0.00 (mm/dd/yy) 11. TOTAL EXPENDITURES MADE................................Add Lines a+s+10 $ 278.17 $ 12,412.11 �� $ Current Cash Statement �� $ 12.Beginning Cash Balance....................... Previous Summary Page,Line 16 $ 528.17 TO calculate Column B,add 13.Cash Receipts ....................... Column A,Line 3 above -250.00 amounts in Column A to the corresponding amounts *Amounts in this section may be different from amounts 14. Miscellaneous Increases to Cash........................... Schedule 1,Line 4 0.oo from Column B of your last reported in Column B. 15.Cash Payments.................................. 278.17 report. Some amounts ti ................ Column A,Line a above Column A may be negative 16.ENDING CASH BALANCE.......... Add Lines 12+13+14,then subtract Line 15 $ 0.00 figures that should be subtracted from previous If this is a termination statement, Line 16 must be zero. period amounts. If this is the first report being filed 17. LOAN GUARANTEES RECEIVED ........................... Schedule B,Part 2 $ 0.00 for this calendar year, only carry over the amounts Cash Equivalents and Outstanding Debts arny)Lines 2, 7, and s(if 18. Cash Equivalents........................................ See instructions on reverse $ 0.00 19. Outstanding Debts......................... Add Line 2+Line s in Column B above $ 0.00 FPPC Form 460(January/05) FPPC Toll-Free Helpline:866/ASK-FPPC(866/275-3772) www.netfile.com Schedule SCHEDULE D Summary Of Expenditures Type or print in ink. Amounts may be rounded Statement covers period Supporting/Opposing Other to whole dollars. 10/19/2014 ° Candidates, Measures and Committees from SEE INSTRUCTIONS ON REVERSE through 11/12/2014 Page 5 of 6 NAME OF FILER I.D.NUMBER Matthew Harper for City Council 2014 1325962 CUMULATIVE TO DATE PER ELECTION DATE NAME OF CANDIDATE,OFFICE,AND DISTRICT,OR TYPE OF PAYMENT DESCRIPTION AMOUNT THIS CALENDAR YEAR TO DATE MEASURE NUMBER OR LETTER AND JURISDICTION, (IF REQUIRED) OR COMMITTEE PERIOD (JAN.1-DEC.31) (IF REQUIRED) 11/12/2014 Matthew Harper x 190.00 11,190.00 P2014 $11,000.00 Monetary State Assembly Person ❑ G2014 $190,00 District: 74 Contribution ❑ Nonmonetary Contribution ❑ Independent ❑x Support ❑ Oppose Expenditure ❑ Monetary Contribution ❑ Nonmonetary Contribution ❑ Independent ❑ Support ❑ Oppose Expenditure ❑ Monetary Contribution ❑ Nonmonetary Contribution ❑ Independent ❑ Support ❑ Oppose Expenditure SUBTOTAL $ 190.00 - Schedule D Summary 1. Contributions and independent expenditures made this period of$100 or more. Include all Schedule D subtotals. 190.00 2. Unitemized contributions and independent expenditures made this period of under$100...................................................................... 0.00 3. Total contributions and independent expenditures made this period. Add Lines 1 and 2. Do not enter on the Summary Page.) TOTAL $ 190.00 FPPC Form 460(Jan105) www.netfile.com FPPC Toll-Free Helpline:8661ASK-FPPC Campaign Disclosure Statement Amounts or print in ink. SUMMARYPAGE Amounts may be rounded Statement covers period ®- Summary Page to whole dollars. d from 10/01/2014 ® - SEE INSTRUCTIONS ON REVERSE through 10/18/2014 Page 3 of 5 NAME OF FILER I.D. NUMBER Matthew Harper for City Council 2014 1325962 Column A Column B Calendar Year Summary for Candidates Contributions Received TOTALTHISPERIOD CALENDARYEAR Running in Both the State Prima and (FROM ATTACHED SCHEDULES) TOTALTODATE J General Elections 1. Monetary Contributions ........................................... schedule A,Line 3 $ 0.00 $ 500.00 1/1 through 6/30 7/1 to Date 2. Loans Received ...................................................... Schedule B,Line 3 0.00 250.00 3. SUBTOTAL CASH CONTRIBUTIONS ......................... Add Lines 1+2 $ 0.00 $ 750.00 20. Contributions Received $ $ 4. Nonmonetary Contributions.................................... schedule C,Line 3 0.00 0.00 21. Expenditures 5. TOTAL CONTRIBUTIONS RECEIVED ••••••.......•••..• ......AddLines3+4 $ 0.00 $ 750.00 Made $ $ Expenditures Made Expenditure Limit Summary for State 6. Payments Made....................................................... Schedule E,Line 4 $ 25.00 $ 12,133.94 Candidates 7. Loans Made............................................................. schedule H,Line 3 0.00 0.00 22. Cumulative Expenditures Made* 8. SUBTOTAL CASH PAYMENTS .................................... Add Lines 6+7 $ 25.00 $ 12,13 3.94 (if Subjectto Voluntary Expenditure Limit) 9. Accrued Expenses (Unpaid Bills) ...............................Schedule F Line 3 0.00 0.00 Date of Election Total to Date 10. Nonmonetary Adjustment ..........................................schedule C,Line 3 0.00 0.00 (mm/dd/yy) 11. TOTAL EXPENDITURES MADE................................Add Lines 8+9+10 $ 25.00 $ 12,133.94 $ Current Cash Statement $ 12. Beginning Cash Balance....................... Previous summary Page,Line 16 $ 553.17 To calculate Column B,add 13.Cash Receipts ................................................... Column A,Line 3 above 0.00 amounts in Column A to the corresponding amounts *Amounts in this section may be different from amounts 14.Miscellaneous Increases to Cash........................... Schedule 1,Line 4 0.00 from Column B of your last reported in Column B. 15.Cash Payments.................................................. Column A,Line 8 above 25.00 report. Some amounts in Column A may be negative 16. ENDING CASH BALANCE.......... Add Lines 12+13+14,then subtract Line 15 $ 528.17 figures that should be subtracted from previous if this is a termination statement, Line 16 must be zero. period amounts. If this is the first report being filed 17.LOAN GUARANTEES RECEIVED ........................... schedule B,Part 2 $ 0.00 for this calendar year, only carry over the amounts Cash Equivalents and Outstanding Debts any)Lines 2, 7,ands(if. 18. Cash Equivalents........................................ See instructions on reverse $ 0.00 19. Outstanding Debts......................... Add Line 2+Line 9 in Column B above $ 250.00 FPPC Form 460(January/05) FPPC Toll-Free Helpline:866/ASK-FPPC(8661275-3772) www.netfile.com Campaign Disclosure Statement Type or print in ink. SUMMARY PAGE Amounts may be rounded Statement covers period CALIFORNIASummary Page to whole dollars. from _ 07/01/2014 FORM SEE INSTRUCTIONS ON REVERSE through 09/30/2014 Page 3 of 6 NAME OF FILER I.D. NUMBER Matthew Harper for City Council 2014 1325962 Column A Column B Calendar Year Summary for Candidates Contributions Received TOTAL THIS PERIOD CALENDAR YEAR Running in Both the State Prima and (FROMATTACHED SCHEDULES) TOTALTO DATE 9 Primary General Elections 1. Monetary Contributions........................................... Schedule A,Line $ 0.00 $ 500.00 1/1 through 6/30 7/1 to Date 2. Loans Received ...................................................... Schedule B,Line 3 0.00 250.00 3. SUBTOTALCASH CONTRIBUTIONS ......................... Add Lines 1+2 $ 0.00 $ 750.00 20. Contributions Received $ $ 4. Nonmonetary Contributions.................................... Schedule C,Line 3 0.00 0.00 21. Expenditures 5. TOTAL CONTRIBUTIONS RECEIVED ....................... ...Add Lines 3+4 $ 0.00 $ 750.00 Made $ $ Expenditures Made Expenditure Limit Summary for State 6. Payments Made....................................................... Schedule E,Line 4 $ 694.00 $ 12,108,94 Candidates 7. Loans Made............................................................. Schedule H,Line 3 0.00 0.00 22. Cumulative Expenditures Made* 8. SUBTOTAL CASH PAYMENTS .................................... Add Lines 6+7 $ 694.00 $ 12,108.94 (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 10. Nonmonetary Adjustment ..........................................Schedule C,Line 3 0.00 0.00 (mm/dd/yy) 11. TOTAL EXPENDITURES MADE................................Add Lines 8+9+10 $ 694.00 $ 12,108.94 $ Current Cash Statement $ 12. Beginning Cash Balance....................... Previous Summary Page,Line 16 $ 1,233.17 To calculate Column B,add 13.Cash Receipts ................................................... Column A,Line 3 above 0.00 amounts in Column A to the corresponding amounts *Amounts in this section may be different from amounts 14,Miscellaneous Increases to Cash........................... Schedule 1,Line 4 14.00 from Column B of your las( reported in Column B. 15.Cash Payments.................................... Column A,Line 8 above 694.00 report. Some amounts in Column A may be negative 16.ENDING CASH BALANCE.......... Add Lines 12+13+14,then subtract Line 15 $ 5 5 3.17 figures that should be subtracted from previous If this is a termination statement, Line 16 must be zero. period amounts. If this is the first report being filed 17. LOAN GUARANTEES RECEIVED........................... Schedule B,Part 2 $ 0.00 for this calendar year, only carry over the amounts Cash Equivalents and Outstanding Debts from Lines 2,7,and 9(if � g any). 18. Cash Equivalents........................................ See instructions on reverse $ 0.00 19. Outstanding Debts......................... Add Line 2+Line 9 in Column B above $ 250.00 FPPC Form 460(Januaryl05) FPPC Toll-Free Helpline: 866/ASK-FPPC(866/275-3772) www.netfile.com Schedule I Type or print in ink. SCHEDULE I Miscellaneous Increases to Cash Amounts may be rounded Statement covers period CALIFORNIA to whole dollars. • _ • from_ 07/01/2014 SEE INSTRUCTIONS ON REVERSE through 09/30/2014 Page 6 of 6 NAME OF FILER I.D.NUMBER Matthew Harper for City Council 2014 1325962 DATE FULL NAME AND ADDRESS OF SOURCE AMOUNT OF RECEIVED (IF COMMITTEE,ALSO ENTER I D NUMBER) DESCRIPTION OF RECEIPT INCREASE TO CASH Attach additional information on appropriately labeled continuation sheets. SUBTOTAL$ Schedule I Summary 1. Itemized increases to cash this period. .......................................................................................................................$ 0.00 2. Unitemized increases to cash of under$100 this period.............................................................................................$ 14.00 3. Total of all interest received this period on loans made to others. Schedule H, Column e . 0.00 4. Total miscellaneous increases to cash this period. (Add Lines 1, 2, and 3. Enter here and on the SummaryPage, Line 14.) ..... ..................................................................................................................... TOTAL $ 14.00 FPPC Form 460(Januaryi05) FPPC Toll-Free Helpline:866iASK-FPPC(8661275-3772) www.netfile.com Campaign Disclosure Statement Type or print in ink. SUMMARY PAGE Amounts may be rounded Statement covers period CALIFORNIA Summary page to whole dollars. � from 05/18/2014 SEE INSTRUCTIONS ON REVERSE through 06/30/2014 Page 3 of 5 NAME OF FILER I.D. NUMBER Matthew Harper for City Council 2014 1325962 Column A Column B Calendar Year Summary for Candidates Contributions Received TOTALTHIS PERIOD CALENDARYEAR Running in Both the State Primary and (FROMATTACHED SCHEDULES) TOTALTO DATE General Elections 1. Monetary Contributions ........................................... Schedule A,Line 3 $ 0.00 $ 500.00 1/1 through 6/30 7/1 to Date 2. Loans Received ...................................................... Schedule B,Line 3 250.00 250.00 3. SUBTOTAL CASH CONTRIBUTIONS ......................... Add Lines 1+2 $ 250.00 $ 750.00 20. Contributions Received $ $ 4. Nonmonetary Contributions.................................... Schedule C,Line 3 0.00 0.00 21. Expenditures 5. TOTAL CONTRIBUTIONS RECEIVED ...........................Add Lines 3+4 $ 250.00 $ 750.00 Made $ $ Expenditures Made Expenditure Limit Summary for State 6. Payments Made....................................................... Schedule E,Line 4 $ 54.97 $ 11,414.94 Candidates 7. Loans Made............................................................. Schedule H,Line 3 0.00 0.00 22. Cumulative Expenditures Made` 8. SUBTOTAL CASH PAYMENTS .................................... Add Lines 6+7 $ 54.97 $ 11,414.94 (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 10. Nonmonetary Adjustment ........................... 0.00 0.00 (mm/dd/yy) ...............Schedule C,Line 3 11. TOTAL EXPENDITURES MADE................................Add Lines 8+9+10 $ 54.97 $ 11,414.94 $ Current Cash Statement $ 12. Beginning Cash Balance....................... Previous Summary Page,Line 16 $ 1,038.14 To calculate Column B,add 13. Cash Receipts ................................................... Column A,Line 3 above 250.00 amounts in Column A to the corresponding amounts 'Amounts in this section may be different from amounts 14. Miscellaneous Increases to Cash........................... Schedule 1,Line 4 0.00 from Column B of your last reported in Column B. 15. Cash Payments.................................................. column A,Line s above 54.97 report. Some amounts in Column A may be negative 16.ENDING CASH BALANCE.......... Add Lines 12+13+14,then subtract Line 15 $ 1,233.17 figures that should be subtracted from previous If this is a termination statement, Line 16 must be zero. period amounts. If this is the first report being filed 17. LOAN GUARANTEES RECEIVED ........................... Schedule B,Part 2 $ 0.00 for this calendar year, only carry over the amounts Cash Equivalents and Outstanding Debts from Lines 2,7,and 9(if any). 18. Cash Equivalents........................................ See instructions on reverse $ 0.00 19. Outstanding Debts......................... Add Line 2+Line 9 in Column B above $ 250.00 FPPC Form 460(January/05) FPPC Toll-Free Helpline: 866/ASK-FPPC(866/275-3772) www.netfile.com Campaign Disclosure Statement Type or print in ink. SUMMARY PAGE Amounts may be rounded Statement covers period a- Summary Page to whole dollars. ® 1 from 05/18/2014 •- SEE INSTRUCTIONS ON REVERSE through o6/30/2014 Page 3 of 5 NAME OF FILER I.D. NUMBER Matthew Harper for City Council 2014 1325962 Column A Column B Calendar Year Summary for Candidates Contributions Received TOTALTHISPERIOD CALENDARYEAR Runningin Both the State Primary and (FROMATTACHED SCHEDULES) TOTALTODATE r General Elections 1. Monetary Contributions ........................................... ScheduieA,Line $ 0.00 $ 500.00 1/1 through 6/30 7/1 to Date 2. Loans Received ...................................................... Schedule B,Line 3 250.00 250.00 .00 750.00 20. Contributions 3. SUBTOTAL CASH CONTRIBUTIONS ......................... Add Lines 1+z $ 250 $ Received $ $ 4. Nonmonetary Contributions.................................... Schedule C,Line 3 0.00 0.00 21. Expenditures 5. TOTAL CONTRIBUTIONS RECEIVED ......•••••.••••••...••••••Add Lines 3+4 $ 250.00 $ 750.00 Made $ $ Expenditures Made Expenditure Limit Summary for State 6. Payments Made....................................................... Schedule E,Line 4 $ 54.97 $ 11,414.94 Candidates 7. Loans Made............................................................. Schedule H,Line 3 0.00 0.00 22. Cumulative Expenditures Made* 8. SUBTOTAL CASH PAYMENTS .................................... Add Lines 6+7 $ 54.97 $ 11,414.94 (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 10. Nonmonetary Adjustment ..........................................Schedule C,Line 3 0.00 0.00 (mm/dd/yy) 11. TOTAL EXPENDITURES MADE................................Add Lines a+9+10 $ 54.97 $ 11,414.94 J J $ Current Cash Statement $ 12. Beginning Cash Balance....................... Previous Summary Page,Line 16 $ 1,038.14 To calculate Column B,add 13.Cash Receipts ................................................... Column A,Line 3 above 250.00 amounts in Column A to the corresponding amounts *Amounts in this section may be different from amounts 14. Miscellaneous Increases to Cash........................... Schedule 1,Line 4 0.00 from Column B of your last reported in Column B. 15.Cash Payments.................................................. Column A,Line 8 above 54.97 report. Some amounts inColumn A may be negative 16.ENDING CASH BALANCE.......... Add Lines 12+13+14,then subtract Line 15 $ 1,233.17 figures that should be subtracted from previous If this is a termination statement, Line 16 must be zero. period amounts. If this is the first report being filed 17.LOAN GUARANTEES RECEIVED........................... Schedule e,Part 2 $ 0.00 for this calendar year, only carry over the amounts Cash Equivalents and Outstanding Debts any).Lines 2,7,and 9(if 18. Cash Equivalents........................................ See instructions on reverse $ 0.00 19. Outstanding Debts......................... Add Line 2+Line s in Column 8 above $ 250.00 FPPC Form 460(January/05) FPPC Toll-Free Helpline:866/ASK-FPPC(866/275-3772) www.netfile.com Campaign Disclosure Statement Type or print in ink. SUMMARY PAGE Amounts may be rounded Statement covers period ® - Summary Page to whole dollars. d from 03/18/2014 ®- SEE INSTRUCTIONS ON REVERSE through 05/17/2014 Page 3 of 5 NAME OF FILER I.D. NUMBER Matthew Harper for City Council 2014 1325962 Column A Column B Calendar Year Summary for Candidates Contributions Received TOTALTHIS PERIOD CALENDARYEAR Running in Both the State Primary and (FROMATTACHED SCHEDULES) TOTALTODATE g r General Elections 1. Monetary Contributions ........................................... Schedule A,Line 3 $ 0.00 $ 500.00 2. Loans Received ...................................................... Schedule e,Line 3 0.00 0.00 1/1 through 6/30 7/1 to Date 3. SUBTOTALCASH CONTRIBUTIONS ......................... Add Lines 1+2 $ o.00 $ 500.00 20. Contributions Received $ $ 4. Nonmonetary Contributions.................................... Schedule C,Line 3 0.00 0.00 21. Expenditures 5. TOTAL CONTRIBUTIONS RECEIVED ...........................Add Lines 3+4 $ 0.00 $ 500.00 Made $ $ Expenditures Made Expenditure Limit Summary for State 6. Payments Made....................................................... Schedule E,Line 4 $ 39.85 $ 11,359.97 Candidates 7. Loans Made............................................................. Schedule H,Line 3 0.00 0.00 22. Cumulative Expenditures Made* 8. SUBTOTALCASH PAYMENTS .................................... Add Lines 6+7 $ 39.85 $ 11,359,97 (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 10. Nonmonetary Adjustment ..........................................Schedule C,Line 3 0.00 0,00 (mm/dd/yy) 11. TOTAL EXPENDITU RES MADE................................Add Lines 8+9+10 $ 39.85 $ 11,359.97 $ Current Cash Statement $ 12. Beginning Cash Balance....................... Previous Summary Page,Line 16 $ 1,048.04 To calculate Column B,add 13.Cash Receipts .................... .............................. Column A,Line 3 above 0.00 amounts in Column A to the . 14. Miscellaneous Increases to Cash........................... Schedule 1,Linea 29.95 corresponding amounts *Amounts in this section may be different from amounts from Column B of your last reported in Column B. 15. Cash Payments.................................................. Column A,Line a above 39.85 report. Some amounts inColumn A may be negative 16. ENDING CASH BALANCE.......... Add Lines 12+13+14,then subtract Line 15 $ 1,038.14 figures that should be subtracted from previous If this is a termination statement, Line 16 must be zero. period amounts. If this is the first report being filed 17. LOAN GUARANTEES RECEIVED........................... Schedule e,Part 2 $ 0.00 for this calendar year, only carry over the amounts Cash Equivalents and Outstanding Debts from Lines 2,7, and 9 (if y). 18. Cash Equivalents........................................ See instructions on reverse $ 0.00 19. Outstanding Debts......................... Add Line 2+Line 9 in Column B above $ 0.00 FPPC Form 460(January105) FPPC Toll-Free Helpline:8661ASK-FPPC(866/275-3772) www.netfile.com Schedule I Type or print in ink. SCHEDULE 1 Miscellaneous Increases t0 Cash Amounts may be rounded Statement covers periodZ4ALIFORINIIA i to whole dollars. a from 03/18/2014 SEE INSTRUCTIONS ON REVERSE through 05/17/2014 Page 5 of 5 NAME OF FILER I.D.NUMBER Matthew Harper for City Council 2014 1325962 DATE FULL NAME AND ADDRESS OF SOURCE AMOUNT OF RECEIVED (IF COMMITTEE,ALSO ENTER I.D.NUMBER) DESCRIPTION OF RECEIPT INCREASE TO CASH Attach additional information on appropriately labeled continuation sheets. SUBTOTAL$ Schedule I Summary 1. Itemized increases to cash this period. .......................................................................................................................$ 0.00 2. Unitemized increases to cash of under$100 this period.............................................................................................$ 29.95 3. Total of all interest received this period on loans made to others. Schedule H, Column e . 0.00 4. Total miscellaneous increases to cash this period. (Add Lines 1, 2, and 3. Enter here and on the Summary Page, Line 14.) ........................................................................................................................... TOTAL $ 29.95 FPPC Form 460(January/05) FPPC Toll-Free Helpline: 866/ASK-FPPC(866/275-3772) www.netfile.com Campaign Disclosure Statement Type or print in ink. _ SUMMARY PAGE Amounts may be rounded Summary Page to whole dollars. Statement covers period - from 01/01/2014 FPage SEE INSTRUCTIONS ON REVERSE through 03/17/2014 3 of 6 NAME OF FILER I.D. NUMBER Matthew Harper for City Council 2014 1325962 Column A Column B Calendar Year Summary for Candidates Contributions Received TOTALTHISPERIOD CALENDARYEAR Running in Both the State Prima and (FROM ATTACHED SCHEDULES) TOTALTODATE 9 Primary General Elections 1. Monetary Contributions ........................................... schedule A,Line $ 500.00 $ 500.00 1/1 through 6/30 7/1 to Date 2. Loans Received ...................................................... schedule B,Line 3 0.00 0.00 500.00 500.00 20. Contributions 3. SUBTOTAL CASH CONTRIBUTIONS ......................... Add lines 1+2 $ $ Received $ $ 4. Nonmonetary Contributions.................................... schedule C,Line 3 0.00 0.00 21. Expenditures 5. TOTAL CONTRIBUTIONS RECEIVED •.•..••.••.••...•.•........Add Lines 3+4 $ 500.00 $ soo.00 Made $ $ Expenditures Made Expenditure Limit Summary for State 6. Payments Made.............................. ........................ schedule E,Line 4 $ 11,320.12 $ 11,320.12 Candidates 7. Loans Made............................................................. Schedule hi,Line 3 0.00 0.00 22.Cumulative Expenditures Made* 8. SUBTOTAL CASH PAYMENTS .................................... Add Lines 6+7 $ 11,320.12 $ 11,320.12 (if Subjectto Voluntary Expenditure Urnit) 9. Accrued Expenses (Unpaid Bills) ...............................Schedule F Line 3 0.00 0.00 Date of Election Total to Date 10. Nonmonetary Adjustment ..........................................schedule C,Line 3 0.00 0.00 (mm/ddlyy) 11. TOTAL EXPENDITURES MADE................................Add Lines 8+9+10 $ 11,320.12 $ 11,320.12 $ Current Cash Statement $ 12. Beginning Cash Balance....... ............... Previous Summary Page,Line 16 $ 11,868.16 To calculate Column B,add 13.Cash Receipts ................................................... Column A,Line 3 above 500.00 amounts in Column A to the corresponding amounts 'Amounts in this section may be different from amounts 14.Miscellaneous Increases to Cash........................... Schedule 1,Line 4 0.00 from Column B of your last reported in Column B. 15.Cash Payments.................. .................. Column A,Line 8above 11,320.12 report. Some amounts in "' "" Column A may be negative 16. ENDING CASH BALANCE.......... Add Lines 12+13+14,then subtract Line 15 $ 1,048.04 figures that should be subtracted from previous If this is a termination statement, Line 16 must be zero. period amounts. If this is the first report being filed 17. LOAN GUARANTEES RECEIVED ........................... Schedule B,Part 2 $ ___ 0.00 for this calendar year, only carry over the amounts Cash Equivalents and Outstanding Debts from Lines 2, 7, and 9(if any). 18. Cash Equivalents........................................ See instructions on reverse $ 0.00 19. Outstanding Debts......................... Add Line 2+Line 9 in Column B above $ 0.00 FPPC Form 460(Januaryl05) FPPC Toll-Free Helpline:866IASK-FPPC(866/275-3772) w,oli✓.netfile.com Schedule D SCHEDULE D Summary of Expenditures Type or print in ink. Statement covers period Is= Su ortin /O osin Other Amounts may be rounded�p p� g to whole dollars. 01/01/2014 Candidates, Measures and Committees from SEE INSTRUCTIONS ON REVERSE through 03/17/2014 Page 5 of 6 NAME OF FILER I.D.NUMBER Matthew Harper for City Council 2014 1325962 CUMULATIVE TO DATE PER ELECTION NAME OF CANDIDATE,OFFICE,AND DISTRICT OR DESCRIPTION DATE MEASURE NUMBER OR LETTER AND JURISDICTION, TYPE OF PAYMENT (IF REQUIRED) AMOUNT THIS CALENDAR YEAR TO DATE PERIOD (JAN.1-DEC.31) (IF REQUIRED) OR COMMITTEE 02/24/2014 Matthew Harper Monetary 11,000.00 11,000.00P2014 $11,000.00 State Assembly Person District: 74 Contribution ❑ Nonmonetary Contribution ❑ Independent ❑x Support ❑ Oppose Expenditure ❑ Monetary Contribution ❑ Nonmonetary Contribution ❑ Independent ❑ Support ❑ Oppose Expenditure ❑ Monetary Contribution ❑ Nonmonetary Contribution ❑ Independent ❑ Support ❑ Oppose Expenditure SUBTOTAL $ 11,000.00 Schedule D Summary 1. Contributions and independent expenditures made this period of$100 or more. Include all Schedule D subtotals. . $ 11,000.00 2. Unitemized contributions and independent expenditures made this period of under$100................................................................................. $ 0.00 3. Total contributions and independent expenditures made this period. Add Lines 1 and 2. Do not enter on the Summary Page.) TOTAL $ 11,000.00 P P P � ry g ) ............. FPPC Form 460(Jan/05) FPPC Toll-Free Helpline:866/ASK-FPPC www.netfile.com https://www.fedex.com/shippingPubtnl/etVPrintIFrame.html From: (714)540-2295 Origin ID:DTHA Ship Date:19MAR14 Lysa Ray Campaign Services E p�5 ActWgt:1.0 LB CAD:104287048/INET3490 603 E Alton Ave — Suite H Delivery Address Bar Code Santa Ana,CA92705 iWM40207032e (II II�IIIIIII�IIIIIIIIIIIIIIIIIIIIIIIIIIIIIIIIIII SHIP TO: (714)536.5227 BILL SENDER Ref# HARPER City Clerk Invoice# Cityof Huntington Beach Po# 9 Dept# 2000 Main St HUNTINGTON BEACH, CA 92648 THU - 20 MAR AA ` TRK# 7982 6974 7287 STANDARD OVERNIGHT P t ' 0 001 ti 92646 WZ CA-US AP vA SNA 522G V,CdF/F220 After printing this label: 1. Use the'Print button on this page to print your label to your laser or inkjet printer. 2. Fold the printed page along the horizontal line. 3. Place label in shipping pouch and affix it to your shipment so that the barcode portion of the label can be read and scanned. Warning: Use only the printed original iabel for shipping. Using a photocopy of this label for shipping purposes is fraudulent and could result in additional billing charges, along with the cancellation of your FedEx account number. Use of this system constitutes your agreement to the service conditions in the current FedEx Service Guide, available on fedexcom.FedEx will not be responsible for any claim in excess of$100 per package,whether the result of loss, damage, delay, non-delivery,misdelivery,or misinformation, unless you declare a higher value, pay an additional charge,document your actual loss and file a timely claim.Limitations found in the current FedEx Service Guide apply. Your right to recover from FedEx for any loss, including intrinsic value of the package, loss of sales, income interest, profit, attorney's fees, costs, and other forms of damage whether direct, incidental,consequential, or special is limited to the greater of$100 or the authorized declared value.'Recovery cannot exceed actual documented loss.Maxlmum for items of extraordinary value is$1,000, e.g.jewelry, precious metals, negotiable instruments and other items listed in our ServiceGuide.Written claims must be filed within strict time limits, see current FedEx Service Guide. I of 1 3/19/2014 12:09 PM Statement of Organization Recipient Committee o - INSTRUCTIONS ON REVERSE Page 3 o f 3 COMMITTEE NAME I.O.NtI M1'I FIER Matthew Harper for City Council 2014 1321112 r 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 BRIEF DESCRIPTION OF ACTIVITY r List additional sponsors on an attachment. NAME OF SPONSOR INDUSTRY GROUP OR AFFILIATION OF SPONSOR J STREET ADDRESS NO,AND STREET CITY STATE ZIP CODE r r ❑ Date qualified E"r 1ln'atio t RegilllCemerg _ Lys€ in fihe verificaton,Chet east€r ri tant;treasurerr and/or cartel€date o 66trolde t or proponent ceYtify that the'foil owing rr€€itiotis have beers 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