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450 Recipient Commitee Short Form 01-01-13 thru 06-30-13Recipient Committee Campaign Statement i Shoat Form SEE INSTRUCTIONS ON REVERSE For use by recipient committees that have not received cont6bution or other receipt that must be itemized, have not received or made loans, and have no outstanding accrued expenses. Type or print in ink. Statement corners period from January 1, 2013 through ,dune 3, 2013 1. Type of Red plent Comrnitt e: ❑ Ballot Measure Committee General Purpose Committee Primarily Formed 0 Sponsored Controlled Small Contributor Commidee Sponsored r-1 Primarily Formed Candidate/ Officeholder Committee 3. Committee of rmati n I.D. NUMBER COMMITTEE NAME CONCERNED CITIZENS OF CUPERTINO STREET ADDRESS (NO P.O. BCC ) 4 AIUN ADDRESS (IF DIFFERENT) NO. AND STREET OR P.O. BOX 01 Date of election if appli I : (Montt, Day, Year JUL 3 12013 ERTINO CITY CL 2. Type of Statement: ❑ re- election Statement Semi-annual Statement E] Termination Statement SHORT F RM C-4LIFORNIA .0 • fi p � of r Official Use Only L Fo y 7� 71 El Quarterly Statement El Special Odd- year Deport E] Supplemental Pre - election Statement - Attach Foy 495 D Amendment (Explain) .., - Also check type of statement you are amending) Treasurer(s) NAME OF TREASURER URER ar lyn 0. Chow MAILING ADDRESS NAME OF ASSISTANT TREASURER, ER, IF ANY MAILING ADDRESS CITY STATE ZIP CODE AREA CODE]PHONE CITY STATE ZIP CODE AREA D DEPH NE OPTIONAL.: FAX I E-MAIL ADDRESS OPTIMAL FAX I E-MAIL AMRESS 4. Verification ISTANTTREASUREF Executed on B DATE SI NATURE OF CONTROLLI M FFI EH0LDER, CANDIDATE, STATE MEASURE PROPONENT, OR R ESPONS ISLE OFFICER OF SPONSOR Executed on By DATE SIGNATURE OF CONTROLLING OFRCEHOLDER, CAN DI DATE, STATE MEASURE PROPONENT Executed on By DATE SIGNATURE OF cOt TROLLI NG OFFICEHOLDER, CAN DIDATE, STATE MEASURE PROPONENT FPPC Foci 460 (January/ FPPC Toll -Free Helpfi ne: S 1A K-FPP (8661275--2772) Recipient Committee Campaign Statement Summary Page Type or print In ink. Amounts may be rounded to whole dollars. Expenditures Made I. Expenditures of $100 or more made this period ......... ........ .... a...........+...,.......,._+.++. a....... ............. ................................................... ,....,.. 2. Expenditures under $100 made this period (Not itemized.) ......................... ,. a..,._.........._......,. ... ,...... .,.,.., a+........,..... ....................a.......... SHORT FORM 220,00 •i t1 3. SUBTOTAL EXPENDITURES MADE THIS PERIOD ............ ..a._._............................................... .. ........................ I ............. ,............... Add Lines I + 4. Nonmonetary Adjustment + ............... a....._._.... a......_.,..+. a.. a............. a....__..,. a.........,.....,. a._._.....+. a: ,......,..,..a.....,......,..,. From Line 8 Below 6. Total expenditures made from previous statement Previous Summary mary Page, Lire (If this is the first statement for the calendar year, enter zero.) 6. TOTAL EXPENDITURES LADE To DATE .............. AddLines3+4+5 $ 20, Contributions Receive 7. Monetary contributions received this period .,,+,...... a..,. .............. _ ................ a......._...+........_..+. a.... a. a_....... a..,....,..,,,,.. .,..,,..,,,a......,,,..,,a..._, 8. Non-monetary contribution received this period ,....+.. a.......,.. t.aa.._..,.,. a:.aa._.., rt. r....ka ........ ...... a4..., .......... __ ......... .+.,. .a..a.._._ „a,.....,._......aa.. 9. Total contributions received from previous statement ..,...+.. a....... r,.aa. a.... a..... a..,.+..,. .....,..a...,....a_,.......Previous Summary Page, Line (if this is the first statement for the calendar year, enter zero.) 10. TOTAL CO T IBUTI S RECEIVED TO DATE ........ .................................................. ................................... ... ..................... _.. Add Lines 7 + 8 + Current Cash Statement 1. Beginning cash balance ..... Previous Summary Page, Line 9 550,51 12, Cash receipts this period ........ .. a. r ................. a.......,...,. a+. t..+...,.,..... a....,_..,.....,...._..,..,. a......,,.................. ......._.._.........--- ,.,.. +.. Line 7 above 13. Misoellaneo s increases to Cash a.._-_... a ............... a... a....._..., a.. a,...._...... a... k+.,.. a..... a...,.,,.,,. a. a..._....,.,.+..+_.... a_..,. a...-___.. ,....a..._,..a +. +..........,. +. 14. Cash expenditures this period .,.... a.,_,....__ ....... _ ...................... ..,_..,.... a....._..,.. ............ ........... ..,.... a...._ ............_............._.... Line 3 above 15- ENDING CASH BALANCE THIS PERIOD ............................................................ .. +.... Add Lines 11 + 9 + 13., then subtract Line 1 425.51 FPPC Form 450 Wanuary/ } FPPC Toil -Free Helpflne 61A K +PPC (8661275-3772)