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HomeMy WebLinkAboutHuntington Beach Municipal Employees Association - 2011 FPPC (2)Recipient Committee Type or print in ink. Amounts may be rounded Campaign Statement to whole dollars. Summary page NAME OF COMMITTEE Huntington Beach Municipal Employees Political Action Committee Statement covers period from 07/01/2011 through 12/31/2011 I Page 2 of 2 I.D.NUMBER 961623 Expenditures Dade 1. Expenditures of $100 or more made this period............................................................ ................. $ 0.00 2. Expenditures under $100 made this period Not itemized. ................. 0.00 3. SUBTOTAL EXPENDITURES MADE THIS PERIOD....................................................................................................................................... Add Lines 1 + 2 $ 0.00 4. Nonmonetary Adjustment .......................................................................... From Line 8 Below 0.00 5. Total expenditures made from previous statement......................................................................... Previous Summary Page, Line 6 $ 0.00 (If this is the first statement for the calendar year, enter zero.) 6. TOTAL EXPENDITURES MADE TO DATE.................................................................................................................................................Add Lines 3 + 4 + 5 $ 0.00 Contributions Received `7. Monetary contributions received this period.................................................................................................................................. $ 0.00 8. Non -monetary contributions received this period ............................... .................................. 0.00 9. Total contributions received from previous statement................................................................... Previous Summary Page, Line 10 $ 0.00 (If this is the first statement for the calendar year, enter zero.) 10. TOTAL CONTRIBUTIONS RECEIVED TO DATE......................................................................................................................................Add Lines 7 + 8 + 9 0.00 Current Cash Statement 11. Beginning cash balance............................................................................................................. Previous Summary Page, Line 15 $ 158.75 12. Cash receipts this period .............................................. ................... Line 7 above 0.00 13. Miscellaneous increases to cash...................................................... ................................................... $ 0.00 14. Cash expenditures this period.................................................................................................................................. Line 3 above 0.00 15. ENDING CASH BALANCE THIS PERIOD.............................................................................................. Add Lines 11 + 12 + 13, then subtract Line 14 $ 158.75 FPPC Form 450 (Jan/05) FPPC Toll -Free Helpline: 866/ASK-FPPC Recipient Committee Campaign Statement Summary Page Type or print in ink. Amounts may be rounded Statement covers period to whole dollars. from 01/01/2011 through 06/30/2011 Page 2 of 2 NAME OF COMMITTEE I.D.NUMBER Huntington Beach Municipal Employees Political Action Committee 961623 Expenditures Made 1. Expenditures of $100 or more made this period .......................................................................................................... $ 0.00 2. Expenditures under $100 made this period Not itemized....................................................................................... 0.00 3. SUBTOTAL EXPENDITURES MADE THIS PERIOD....................................................................................................................................... Add Lines 1 + 2 $ 0.00 4. Nonmonetary Adjustment.............................................................................................................. From Line 8 Below 0.00 5. Total expenditures made from previous statement ................................................... ...................... Previous Summary Page, Line 6 $ 0.00 (If this is the first statement for the calendar year, enter zero.) 6. TOTAL EXPENDITURES MADE TO DATE................................................................................................................................................. Add Lines 3 + 4 + 5 $ 0,00 Contributions Received 7. Monetary contributions received this period.................................................................................................................................. $ 8. Non -monetary contributions received this period 0.00 ....................................... 0.00 9. Total contributions received from previous statement................................................................... Previous Summary Page, Line 10 $ 0.00 (If this is the first statement for the calendar year, enter zero.) 10. TOTAL CONTRIBUTIONS RECEIVED TO DATE......................................................................................................................................Add Lines 7 + 8 + 9 $ 0.00 Current Cash Statement 11. Beginning cash balance............................................................................................................. Previous Summary Page, Line 15 $ 12. Cash receipts this period.......................................................................................................................................... Line 7 above 13. Miscellaneous increases to cash................................................................................................................................................. $ 14. Cash expenditures this period.................................................................................................................................. Line 3 above 15. ENDING CASH BALANCE THIS PERIOD.............................................................................................. Add Lines 11 + 12 + 13, then subtract Line 14 $ 158.75 0.00 0.00 FPPC Form 450 (Jan/05) FPPC Toll -Free Helpline: 866/ASK-FPPC Lugar, Robin C % From: Flynn, Joan Sent: Monday, June 20, 2011 12:23 PM To: Lugar, Robin Subject: FW: PAC Committee Please print and place in the file. Thanks. From: Demers, Judy Sent: Monday, June 20, 2011 10:45 AM To: Flynn, Joan Subject: PAC Committee Joan, I received your note re: the PAC committee. I was under the assumption it had been dissolved. Debbie is off today so I will get with her tomorrow and figure out how to dissolve the committee! Thanks! Judy Demers Office Assistant II Dept.of Planning and Building Zoning Administration 714-375-5155