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HomeMy WebLinkAboutHarper, Matthew - 2014 FPPC Campaign Disclosure Forms - Frie (2) Estanislau, Robin From: Estanislau, Robin Sent: Tuesday, January 12, 2016 4 34 PM To- 'David Bauer' Cc: Flynn, Joan Subject. RE Friends of Mayor Harper-Assembly 2014 Hello agaml Here is my inquiry to the FPPC A former Mayor who now resides as a member of the State Assembly representing our district terminated his local committee, but still has an active committee open for the Assembly seat Is he required to file a copy of his campaign reports with our office (his local filing official),similar to what we expect when County candidates file campaign report copies with us? The FPPC responded Non-Electronic State Candidate filers should file with SOS and the County of domicile I will terminate Matt's Assembly in my NetFile application Have a great day, Robin Estanislau, CIVIC Assistant City Clerk City of Huntington Beach 2000 Main Street Huntington Beach CA 92648 (714) 536-5405 Robin Estanislau@surfcity-hb org POST From: David Bauer [mailto•davicl(�theagency us] Sent: Tuesday,January 12, 2016 2.19 PM To: Estanislau, Robin Subject: RE Friends of Mayor Harper - Assembly 2014 A few years ago the paper filing requirement was changed so that state candidates who filed electronically with Secretary of State had to file paper only with Secretary of State unless they also had local committees, in which case they had to continue filing paper wherever their local committee filed From: Estanislau, Robin [mailto Robin Estanislau@surfcity-hb org] Sent:Tuesday,January 12, 2016 2 15 PM To: David Bauer<d avid @theagency up Cc: Flynn,Joan <ifiynn@surfcity-hb org> Subject: RE Friends of Mayor Harper-Assembly 2014 Mr Harper's local committee has terminated, but I questioned the FPPC about whether or not he is required to file copies within his district similar to what we receive from candidates at the County level and have not heard back yet If 1 you're confident he is not required to file with us, then please disregard this request and I will close the active NetFile account I have set up for his Assembly 2014 committee From: David Bauer [mailto•david(cbtheagency us] Sent: Tuesday, January 12, 2016 11.26 AM To: Estanislau, Robin Subject: RE- Friends of Mayor Harper- Assembly 2014 My impression was that Mr Harper's city council committees were all terminated, obviating the requirement that state forms be filed with the City Clerk Can you confirm that any of the city committees are active? From: Estanislau, Robin [mailto Robin Estanislau@surfcity-hb org] Sent:Tuesday,January 12, 2016 11 11 AM To: David Bauer<david@theagency us> Cc: Flynn,Joan <gflynn@surfcity-hb org> Subject: Friends of Mayor Harper-Assembly 2014 Robin Estanislau, CIVIC Assistant City Clerk City of Huntington Beach 2000 Main Street Huntington Beach CA 92648 (714) 536-5405 Robin Estanislau@surfcity-hb org f POST 2 City of Huntington Beach r 2000 Main Street ♦ Huntington Beach, CA 92648 (714) 536-5227 ♦ www.huntingtonbeachca.gov F Office of the City Clerk Fg 77 1999 P � / Joan L. Flynn,City Clerk January 12, 2016 David Bauer 2150 River Plaza Drive,#150 Sacramento, CA 95833 RE Committee ID# 1362432(Friends of Mayor Harper-Assembly Fund 2014) Dear Mr Bauer ; Our records indicate that we did not receive the first semi-annual filing from the above mentioned committee in 2015 I visited the Secretary of State's website to check on the status of the committee, and it shows as "Active" Can you send me a copy of the missing semi-annual filing so that our record is correct? Also, I will be looking to receive a copy of the next semi-annual campaign statement due on February 1, 2016, covering the period of July 1, 2015 through December 31, 2015 The City of Huntington Beach has mandated e-filing, and offers NetFile, a free web-based data entry e-filing system that allows users to electronically submit disclosure reports as mandated by the California Political Reform Act Users are able to access the system on any computer with internet access, 24 hour a day, 7 days a week Access the system by going to the NetFile User Log-In page located at https Hnetfile com/Filer The individual who will be entering transactions into your committee's account and e-filing statements needs to create a NetFile User by clicking the "Create a New NetFile User" link This opens the Create a New NetFile User page Follow the on-screen instructions There is a short video that explains this entire process located in the How-To Videos section on the log-in page Once the individual has created their NetFile User, they must then link their NetFile User Account to the committee account Log in and then click the "Link Local Campaign Filer Account" link Enter the Committee Name as found on your FPPC Form 410 Select the Committee Type and then enter the Filer ID CHB-151555 and Filer Password SAMM4C87 For full instructions on creating a NetFile User and linking to the committee, see the document on the NetFile User Log-In page "How to Create a NetFile User and Link a Campaign Filer Account" If you have any questions, consult the user's guide available in the Help & Support menu or view the page help by clicking the "Open Page Help" button available on every page in the system after your successful login If you have questions or would like information regarding training on our a-filing system, please contact Robin Estanislau,Assistant City Clerk at(714)536-5405 Sincerely, Joan L Flynn City Clerk Sister Cities Anjo, Japan ♦ Waltakere, New Zealand Campaign Disclosure Statement Type or print in ink. SUMMARY PAGE Amounts may be rounded Statement covers period CALIFORNIASummary Page to whole dollars. d ® / from 10/19/2014 FORM SEE INSTRUCTIONS ON REVERSE through 12/31/2014 Page 3 of 24 NAME OF FILER I.D. NUMBER FRIENDS OF MAYOR HARPER - ASSEMBLY FUND 2014 1362432 Column Column B Calendar Year Summary for Candidates Contributions Received TOTALTHIS PERIOD CALENDARYEAR (FROMATTACHED SCHEDULES) TOTALTODATE Running in Both the State Primary and General Elections 1. Monetary Contributions ........................................... Schedule A,Line 3 $ 32,765.00 $ 138,395.00 1/1 through 6/30 7/1 to Date 2. Loans Received ...................................................... Schedule a,Line 3 -4,100.00 0.00 3. SUBTOTAL CASH CONTRIBUTIONS ......................... Add Lines l+2 $ 28,665.00 138,395.00 20. Contributions$ Received $ 78,562.00 $ 60,866.00 4. Nonmonetary Contributions.................................... Schedule C,Line 3 0.00 1,033.00 21. Expenditures 139,428.00 Made $ 45,615.79 $ 137,288.7000.665, 5. TOTAL CONTRIBUTIONS RECEIVED ....•.•.•..•.•••••.••••.•••Add Lines 3+4 $ 28 $ Expenditures (Made Expenditure Limit Summary for State 6. Payments Made....................................................... Schedule E,Line 4 $ 33,832.48 $ 134,590.88 Candidates 7. Loans Made............................................................. Schedule H,Line 3 0.00 0.00 22. Cumulative Expenditures Made* 8. SUBTOTALCASH PAYMENTS .................................... Add Lines 6+7 $ 33,832.48 $ 134,590.88 . (If subject to Voluntary Expenditure Limit) 9, Accrued Expenses (Unpaid Bills) ...............................Schedule F Line 3 35,472.13 49,207.13 Date of Election Total to Date 10. Nonmonetary Adjustment ..........................................ScheduleC,Linea 0.00 1,033.00 (mm/dd/yy) 11. TOTAL EXP EN DITU RES MADE................................Add Lines 8+9+10 $ 69,304.61 $ 184,831.01 11 / 04 / 2014 $ 133,420.92 Current Cash Statement 6 03 / 2014 $ 36,399.57 12. Beginning Cash Balance....................... Previous Summary Page,Line 16 $ 16,019.10 To calculate Column B,add 13. Cash Receipts ................................................... Column A,Line 3 above 28,665.00 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 33,832.48 report. Some amounts in Column A may be negative 16. ENDING CASH BALANCE.......... Add Lines 12+13+14,then subtract Line 15 $ 10,851.62 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 Equivalents and Outstanding Debts from Lines 2,7, ands(if Cash E �I � any). 18. Cash Equivalents........................................ See instructions on reverse $ 0.00 19. Outstanding Debts......................... Add Line 2+Line 9 in Column B above $ 49,207.13 FPPC Form 460(January/05) FPPC Toll-Free Helpline:866/ASK-FPPC(866/275-3772) www.netfile.com FIRM $ ear 02 DMODE MY t '.�, /f rk at n + f vlAN, EDE ......................... . ......... ............. " ' t Campaign Disclosure Statement Type or print in ink. SUMMARYPAGE Amounts may be rounded Statement covers period FPage---!- - Summary Page to whole dollars. ® ® t from l0/O1/2o14 SEE INSTRUCTIONS ON REVERSE - through 10/18/2014 of 11 NAME OF FILER I.D. NUMBER FRIENDS OF MAYOR HARPER - ASSEMBLY FUND 2014 1362432 To olum oD cCol Column B Calendar Year Summary for Candidates Contributions Received Running In Both the State Prima and (FROM ATTACHED SCHEDULES) TOTALTO DATE g rtt/ General Elections 1. Monetary Contributions ........................................... Schedule A,Line 3 $ 6,124.00 $ 105,630.00 1/1 through 6/30 7/1 to Date 2. Loans Received ...................................................... Schedule e,Line 3 0.00 4,100.00 3. SUBTOTAL CASH CONTRIBUTIONS ......................... Add Lines I+2 $ 6,124.00 $ 109,730.00 20. Contributions Received $ 78,562.00 $ 32,201.00 4. Nonmonetary Contributions.................................... Schedule C,Line 3 0.00 1,033.00 21. Expenditures 5. TOTAL CONTRIBUTIONS RECEIVED •.....................•....AddLines3+4 $ 6,124.00 $ 110,763.00 Made $ 45,615.79 $ 67,984.09 Expenditures Made Expenditure Limit Summary for State 6. Payments Made....................................................... Schedule E,Line 4 $ 5,310.40 $ 100,758.40 Candidates 7. Loans Made............................................................. Schedule H,Line 3 0.00 0.00 22. Cumulative Expenditures Made* 8. SUBTOTAL CASH PAYMENTS .................................... Add Lines 6+7 $ 5,310.40 $ 100,758.40 (If Subject to Voluntary Expenditure Limit) 9. Accrued Expenses (Unpaid Bills)...............................Schedule F,,Line 3 0.00 13,735.00 Date of Election Total to Date 10. Nonmonetary Adjustment ..........................................ScheduleC,Line 0.00 1,033.00 (mm/dd/yy) 11. TOTAL EXPENDITURES MADE................................Add Lines 8+9+10 $ 5,310.40 $ 115,526.40 11 / 04 / 2014 $ 65,180.76 Current Cash Statement 06 / 03 / 2014 $ 36,399.57 12. Beginning Cash Balance....................... Previous summary Page,Line 16 $ 9,805.50 To calculate Column B,add 13. Cash Receipts ................................................... Column A,Line 3 above 6,124.00 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 5,400.00 from Column B of your last reported in Column B. 15.Cash Payments......................................... 5,310.40 report. Some amounts in Column A,Line 8 above Column A may be negative 16. ENDING CASH BALANCE.......... Add Lines 12+13+14,then subtract Line 15 $ 16,019.10 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 from Lines 2,7,and 9(if Cash Equivalents and Outstanding Debts any). 18. Cash Equivalents........................................ See instructions on reverse $ 0.00 19. Outstanding Debts......................... Add Line 2+Line 9 in Column B above $ 17,835.00 FPPC Form 460(January/05) FPPC Toll-Free Helpline:866/ASK-FPPC(866/275-3772) www.netfile.com O _ CIO Extremely Urgent Ship Date:230CT14 Origin ID:EMTA m ActWgt:D.5 LB 213 624-12DD Express GAD:7D7772811NET355D From: ( � Dennis Boyle Address Bar Code Reed&Davidson,L AVENUE Delivery II 52D SOUTH GRAN III�IIIII� SUITE 70 0 IIIIIIIIII 71 �IIIII�IIII S GA 900 uv �I�IIII��II S ANGELE , 14092303 II��I LO ��arz BILL SENDER Ref# GAR SHIP T0: (714)536-5227 Invoice# _ CITY CLERKS OFFICE Po# CITY OF VJUNTINOTON BEACH Dept# 2000 MAIN ST HIINTINCTON 03EACH' CA 92648 FRI - 24 OCT 10:30A PRIORITY OVERNIGHT TRK# 7716 0972 5260 DOW 92648 i ® CA-US VA SNA 9 , VYZ AP RT 5260 ------ -------- -- FZ — Campaign Disclosure Statement Type or print in ink. SUMMARYPAGE Amounts may be rounded Statement covers period CALIFORNIASummary Page to whole dollars. • / from 07/01/2014 O_ SEE INSTRUCTIONS ON REVERSE through 09/30/2014 Page 3 of 18 NAME OF FILER I.D. NUMBER FRIENDS OF MAYOR HARPER - ASSEMBLY FUND 2014 1362432 To Column oD Column B Calendar Year Summary for Candidates Contributions Received Running in Both the State Prima and (FROM ATTACHED SCHEDULES) TOTALTO DATE g r/�/ General Elections 1. Monetary Contributions ........................................... Schedule A,Line 3 $ 26,077.00 $ 99,506.00 1!1 through 6l30 7!1 to Date 2. Loans Received ...................................................... Schedule B,Line 3 0.00 4,100.00 26,077-00 103,606.00 20. Contributions 3. SUBTOTAL CASH CONTRIBUTIONS ......................... Add Lines 1+2 $ $ Received $ 78,562.00 $ 26,077.00 4. Nonmonetary Contributions.................................... Schedule C,Line 3 0.00 1,033.00 21. Expenditures 00.077, 5. TOTAL CONTRIBUTIONS RECEIVED ...........................Add Lines 3+4 $ 26 $ 104,639.00 Made $ 45,615.79 $ 62,673.69 Expenditures Made Expenditure Limit Summary for State 6. Payments Made....................................................... Schedule E,Line 4 $ 62,885.61 $ 95,448.00 Candidates 7. Loans Made............................................................. Schedule H,Line 3 0.00 0.00 22. Cumulative Expenditures Made* 8. SUBTOTAL CASH PAYMENTS .................................... Add Lines 6+7 $ 62,885.61 $ 95,448.00 (if Subject to Voluntary Expenditure Limit) 9. Accrued Expenses (Unpaid Bills) ...............................Schedule F Line 3 -211.92 13,735.00 Date of Election Total to Date 10. Nonmonetary Adjustment ..........................................ScheduleC,Linea 0.00 1,033.00 (mm/dd/yy) 11. TOTAL EXPENDITURES MADE................................Add Lines 8+9+10 $ 62,673.69 $ 110,216.00 11 / 04 / 2019 65,947.24 Current Cash Statement 06 / 03 / 2014 $ 36,399.57 12. Beginning Cash Balance....................... Previous Summary Page,Line 16 $ 46,614.11 To calculate Column B,add 13. Cash Receipts ................................................... Column A,Line 3 above 26,077.00 amounts in Column A to the corresponding amounts *Amounts in this section may be different from amounts 14. Miscellaneous Increases to Cash........................... Schedule I,Line 4 0.o o from Column B of your last reported in Column B. 15.Cash Payments.................................................. column A,Line 8 above 62,885.61 report. Some amounts inColumn A may be negative 16. ENDING CASH BALANCE.......... Add Lines 12+13+14,then subtract Line 15 $ 9,805.50 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 9(if 18. Cash Equivalents........................................ See instructions on reverse $ 0.00 19. Outstanding Debts......................... Add Line 2+Line 9 in Column B above $ 17,835.00 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. SUMMARYPAGE Amounts may be rounded Statement covers period Summary age to whole dollars. from 05/18/2014 ® " SEE INSTRUCTIONS ON REVERSE through 06/30/2014 Page 3 of 26 NAME OF FILER I.D. NUMBER FRIENDS OF MAYOR HARPER - ASSEMBLY FUND 2014 1362432 Column A Column B Calendar Year Summary for Candidates Contributions Received TOTALTHISPERIOD CALENDARYEAR (FROM ATTACHED SCHEDULES) TOTALTODATE, Running In Both the State Primary and General Elections 1. Monetary Contributions ........................................... Schedule A,Line 3 $ 55,530.00 $ 73,429.00 111 through 6130 7/1 to Date 2. Loans Received Schedule B,Line 3 0.00 4,100.00 3. SUBTOTAL CASH CONTRIBUTIONS ......................... Add lines 1+2 $ 55,530.00 77,529.00 20. Contributions$ Received $ 78,562.00 $ 0.00 4. Nonmonetary Contributions.................................... Schedule C,Line 3 1,033.00 1,033.00 21. Expenditures 5. TOTAL CONTRIBUTIONS RECEIVED ...........................Add Lines 3+4 $ 56,563.00 $ 78,562.00 Made $ 47,542.31 $ 0.00 Expenditures Made Expenditure Limit Summary for State 6. Payments Made....................................................... Schedule E,Line 4 $ 16,567.43 $ 32,562.39 Candidates 7. Loans Made............................................................. Schedule H,Line 3 0.00 0.00 22. Cumulative Expenditures Made" 8. SUBTOTAL CASH PAYMENTS .................................... Add Lines 6+7 $ 16,567.43 $ 32,562,39 (if Subjectto Voluntary Expenditure Limit) 9. Accrued Expenses (Unpaid Bills) ...............................Schedule F Line 3 -3,816.20 13,946.92 Date of Election Total to Date 10. Nonmonetary Adjustment ..........................................schedule C,Line 3 1,033.00 1,033.00 (mm/dd/yy) 11. TOTAL EXPENDITURES MADE................................Add Lines 8+s+10 $ 13,784.23 $ 47,542.31 11 / 04 / 2014 $ 7,406.15 Current Cash Statement 06 / 03 / 2014 $ 36,399.57 12. Beginning Cash Balance....................... Previous Summary Page,Line 16 $ 6,200.54 To calculate Column B,add 13. Cash Receipts ................................................... Column A,Line 3 above 55,530.00 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 1,451.00 from Column B of your last reported in Column B. 15. Cash Payments............................. 16,567.43 report. Some amounts in ..................... Column A,Line 8 above Column A may be negative 16. ENDING CASH BALANCE.......... Add Lines 12+13+14,then subtract Line 15 $ 46,614.11 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 $ 18,046.92 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 • - 41 Summary Page to Whole dollars. 05/18/2014 FORM a from SEE INSTRUCTIONS ON REVERSE through 06/30/2014 Page 3 of 26 NAME OF FILER I.D. NUMBER FRIENDS OF' MAYOR HARPER - ASSEMBLY FUND 2014 1362432 Column A Column B Calendar Year Summary for Candidates Contributions Received TOTALTHIS PERIOD CALENDARYEAR Running in Both the State Prima and (FROM ATTACHED SCHEDULES) TOTALTODATE g Primary General Elections 1. Monetary Contributions ................. 55,530.00 73,429.00 .......................... Schedule A,Line 3 $ $ 1/1 through 6/30 7/1 to Date 2. Loans Received ...................................................... Schedule a,Line 3 0.00 4,100.00 3. SUBTOTALCASH CONTRIBUTIONS .................. 55,530.00 77,529.00 20. Contributions ....... Add $ $ Received $ 78,029.00 $ 0.00 4. Nonmonetary Contributions.................................... Schedule C,Line 3 500.00 500.00 21. Expenditures 5. TOTAL CONTRIBUTIONS RECEIVED .......•.. .. . ...•. • 56,030.00 $ 78,029.00 Made $ 47,009.31 $ 0.00 Add $ Expenditures Made Expenditure Limit Summary for State 6. Payments Made....................................................... Schedule E,Line 4 $ 1.6,567.43 $ 32,562.39 Candidates 7. Loans Made........... ................................................. Schedule H,Line 3 0.00 0.00 22. Cumulative Expenditures Made` 8. SUBTOTALCASH PAYMENTS .................................... Add Lines 6+7 $ 16,567.43 $ 32,562.39 (If Subject to Voluntary Expenditure Limit) 9. Accrued Expenses (Unpaid Bills Schedule F,Line 3 -3,816.20 13,946.92 Date of Election Total to Date 10. Nonmonetary Adjustment ............................. 500.00 500.00 (mm/dd/yy) .............Schedule C,Line 3 11. TOTAL EXPENDITURES MADE................................Add Lines 8+9+10 $ 13,251.23 $ 47,009.31 11 / 04 / 2014 $ 6,873.15 Current Cash Statement 06 03 / 2014 $ 36,399.57 12. Beginning Cash Balance....................... Previous Summary Page,Line 16 $ 6,200.54 To calculate Column B,add 13. Cash Receipts .............. ........................ Column A,Line 3 above 55,530.00 amounts in Column A to the ............. corresponding amounts *Amounts in this section may be different from amounts 1,451.U0 14. Miscellaneous Increases to Cash........................... Schedule 1,Linea from Column B of your last reported in Column B. 15. Cash Payments.................................................. Column A,Line 8above 16,567.43 report. Some amounts in Column A may be negative 16. ENDING CASH BALANCE.......... Add Lines 12+13+14,then subtract Line 15 $ 46,614.11 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 9 in Column B above $ 18,046.92 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 e- Summary Page to whole dollars. ® 0 from 03/18/2014 FORM, ® SEE INSTRUCTIONS ON REVERSE through 05/17/2014 Page 3 of 10 NAME OF FILER I.D. NUMBER FRIENDS OF MAYOR HARPER - ASSEMBLY FUND 2014 1362432 Column A Column B Calendar Year Summary for Candidates Contributions Received TOTALTHISPERIOD CALENDARYEAR Running in Both the State Prima and (FROM ATTACHED SCHEDULES) TOTALTODATE g Primary General Elections 1. Monetary Contributions ........................................... Schedule A,Line 3 $ 4,599.00 $ 17,899.00 1/1 through 6/30 7/1 to Date 2. Loans Received ...................................................... Schedule e,Line 3 0.00 4,100.00 ,599.00 21,999.00 20. Contributions 3. SUBTOTAL CASH CONTRIBUTIONS ......................... Add Lines 1+2 $ 4 $ Received $ $ 4. Nonmonetary Contributions.................................... Schedule C,Line 3 0.00 0.00 21. Expenditures 5. TOTAL CONTRIBUTIONS RECEIVED .•.........••.............•AddLines3+4 $ 4,599.00 $ 21,999.00 Made $ $ Expenditures Made Expenditure Limit Summary for State 6. Payments Made....................................................... Schedule E,Line 4 $ 321.19 $ 15,994.96 Candidates 7. Loans Made............................................................. Schedule H,Line 3 0.00 0.00 22. Cumulative Expenditures Made* 8. SUBTOTAL CASH PAYMENTS .................................... Add Lines 6+7 $ 321.19 $ 15,994.96 (If subject to Voluntary Expenditure Limit) 9. Accrued Expenses (Unpaid Bills .........Schedule F Line 3 0.00 17,763.12 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 $ 321.19 $ 33,758.08 06 / 03 / 2014 $ 33,127.95 Current Cash Statement $ 12. Beginning Cash Balance....................... Previous Summary Page,Line 16 $ 1,922.73 To calculate Column B,add 13. Cash Receipts ................................................... . ........................... Column A,Line 3above 4,599.00 amounts in Column A to the corresponding amounts *Amounts in this section may be different from amounts 14. Miscellaneous Increases to Cash........................... Schedule/,Line 4 0.oo from Column B of your last reported in Column B. report. Some amounts in 15. Cash Payments................................. 321.19 Column A may be negative ................ Column A,Line 8 above 16. ENDING CASH BALANCE.......... Add Lines 12+13+14,then subtract Line 15 $ 6,2 00.54 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,Part2 $ 0.00 for this calendar year, only carry over the amounts Cash Equivalents and Outstanding Debts arny)Lines 2,�, ands(if 18. Cash Equivalents........................................ See instructions on reverse $ 0.00 19. Outstanding Debts......................... Add Line 2+Line 9 in Column B above $ 21,863.12 FPPC Form 460(January/05) FPPC Toll-Free Helpline:866/ASK-FPPC(8661275-3772) www.netfile.com Schedule D SCHEDULE D Summaryen of Expenditures Type or print in ink. p Amounts may be rounded Statement covers periodVEM Supporting/Opposing Other to whole dollars. from 03/18/2014 Candidates, Measures and Committees SEE INSTRUCTIONS ON REVERSE through 05/17/2014 Page 8 Of 10 NAME OF FILER I.D.NUMBER FRIENDS OF MAYOR HARPER - ASSEMBLY FUND 2014 1362432 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) 05/05/2014 PLACER COUNTY REPUBLICAN ASSEMBLY Q Monetary 100.00 100.00 P2014 $100.00 Contribution ❑ Nonmonetary Contribution ❑ Independent ❑x Support ❑ Oppose Expenditure ❑ Monetary Contribution ❑ Nonmonetary Contribution ❑ Independent ❑ Support ❑ Oppose Expenditure ❑ Monetary Contribution ❑ Nonmonetary Contribution ❑ Independent ❑ Support ❑ Oppose Expenditure 00. SUBTOTAL $ 100 Schedule D Summary 1. Contributions and independent expenditures made this period of$100 or more. Include all Schedule D subtotals. 100.00 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 $ 100.00 FPPC Form 460(Jan/05) mr".nefflle.com FPPC Toll-Free Helpline:866/ASK-FPPC Campaign Disclosure Statement Type or print in ink. SUMMARYPAGE Amounts may be rounded Statement covers period Summary Page t0 whole dollars. CALIFORNIA � ® t from 01/01/2019 FORM SEE INSTRUCTIONS ON REVERSE through 03/17/2014 Page 3 Of 20 NAME OF FILER I.D. NUMBER FRIENDS OF MAYOR HARPER - ASSEMBLY FUND 2014 1 1362432 o olumP PERIOD D Column B Calendar Year Summary for Candidates Contributions Received T ARYEAR (FROM ATTACHED SCHEDULES) TOTALTO DATE Running in Both the State Primary and General Elections 1. Monetary Contributions ........................................... Schedule A,Line 3 $ 13,300.00 $ 13,300.00 1/1 through 6/30 7/1 to Date 2. Loans Received ...................................................... Schedule B,Line 3 2,100.00 4,100.00 15,400.00 17,400.00 20. Contributions 3. SUBTOTAL CASH CONTRIBUTIONS ......................... Add Lines I+2 $ $ Received $ $ 4. Nonmonetary Contributions.................................... ScheduleC,Line 0.00 0.00 21. Expenditures 5. TOTAL CONTRIBUTIONS RECEIVED ...........................Add Lines 3+4 $ 15,400.00 $ 17,400.00 Made $ $ Expenditures Made Expenditure Limit Summary for State 6. Payments Made....................................................... Schedule E,Line 4 $ 15,673.77 $ 15,673.77 Candidates 7. Loans Made............................................................. Schedule H,Line 3 0.00 0.00 22. Cumulative Expenditures Made* 8. SUBTOTAL CASH PAYMENTS .................................... Add Lines 6+7 $ 15,673.77 $ 15,673.77 (If Subject to Voluntary Expenditure Limit) 9. Accrued Expenses (Unpaid Bills) ...............................Schedule F Line 3 15,836.60 17,763.12 Date of Election Total to Date 10. Nonmonetary Adjustment ..........................................Schedule C,Line 3 0.00 0.00 (mm/dd/yy) 11. TOTAL EXPENDITURES MADE................................AddLinesa+s+10 $ 31,510.37 $ 33,436.89 06 / 03 / 2014 $ 32,906.76 Current Cash Statement -� $ 12. Beginning Cash Balance....................... Previous Summary Page,Line 16 $ 2,184.50 To calculate Column B,add 13. Cash Receipts ................................................... Column A,Line 3above 15,400.00 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 12.oo from Column B of your last reported in Column B. 15. Cash Payments.................................................. Column A,Line sabove 15,673.77 report. Some amounts ti Column A may be negative 16. ENDING CASH BALANCE.......... Add Lines 12+13+14,then subtract Line 15 $ 1,922.73 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,and 9(if. 18. Cash Equivalents........................................ See instructions on reverse $ 0.00 19. Outstanding Debts......................... Add Line 2+Line 9 in Column B above $ 21,863.12 FPPC Form 460(January/05) FPPC Toll-Free Helpline:866/ASK-FPPC(866/2753772) 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 01/01/2014 O_ M ' 460 SEE INSTRUCTIONS ON REVERSE through 03/17/2014 Page 3 of 19 NAME OF FILER I.D. NUMBER FRIENDS OF MAYOR HARPER - ASSEMBLY FUND 2014 1362432 To olu�mP oD Column B Calendar Year Summary for Candidates Contributions Received Running in Both the State Primary and (FROM ATTACHED SCHEDULES) TOTALTODATE 9 rY General Elections 1. Monetary Contributions ........................................... Schedule A,Line 3 $ 13,300.00 $ 13,300.00 1/1 through 6/30 7/1 to Date 2. Loans Received ...................................................... Schedule 8,Line 3 2,100.00 4,100.00 15,4 0 0.o 0 17,4 0 0.o 0 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 $ 15,400.00 $ 17,400.00 Made $ $ Expenditures Made Expenditure Limit Summary for State 6. Payments Made....................................................... Schedule E,Line 4 $ 15,673.77 $ 15,673.77 Candidates 7. Loans Made............................................................. Schedule H,Line 3 0.0 0 0.0 0 22. Cumulative Expenditures Made* 8. SUBTOTALCASH PAYMENTS .................................... Add Lines 6+7 $ 15,673.77 $ 15,673.77 (If Subject to Voluntary Expenditure Limit) 9. Accrued Expenses (Unpaid Bills Schedule F,Line 3 11,7 7 3.48 13,7 0 0.o o Date of Election Total to Date 10. Nonmonetary Adjustment ..........................................Schedule C,Line 3 0.00 0.00 (mm/dd/yy) 11. TOTAL EXPENDITURES MADE................................AddLines8+9+10 $ 27,447.25 $ 29,373.77 06 / 03 / 2014 $ 32,871.76 Current Cash Statement $ 12. Beginning Cash Balance....................... Previous Summary Page,Line 16 $ 2,184.50 To calculate Column B,add 13. Cash Receipts ................................................... Column A,Line 3 above 15,400.00 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 12.00 from Column B of your last reported in Column B. 15. Cash Payments.................................................. Column A,Line 8above 15,673.77 report. Some amounts in Column A may be negative 16. ENDING CASH BALANCE.......... Add Lines 12+13+14,then subtract Line 15 $ 1,922.73 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 8,Part 2 $ 0.00 for this calendar year, only carry over the amounts Equivalents and Outstanding Debts from Lines 2,7, and 9(if Cash E q 9 any). 18. Cash Equivalents........................................ See instructions on reverse $ 0.00 19. Outstanding Debts......................... Add Line 2+Line 9 in Column 8 above $ 17,800.00 FPPC Form 460(January/05) FPPC Toll-Free Helpline:866/ASK-FPPC(866/275-3772) www.netfile.com Schedule I Type or print in ink. SCHEDULE 1 Miscellaneous Increases to Cash Amounts may be rounded Statement covers period CALIFORNIA to whole dollars. _ O from 01/01/2014 SEE INSTRUCTIONS ON REVERSE through 03/17/2014 Page 19 of 19 NAME OF FILER I.D.NUMBER FRIENDS OF MAYOR HARPER - ASSEMBLY FUND 2014 1362432 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$100 this period.............................................................................................$ 12.00 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 $ 12.00 FPPC Form 460(January/05) FPPC Toll-Free Helpline:866/ASK-FPPC(866/275-3772) www.netfile.com