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460 Quarterly 4th amendment 2005 'TYpe 01' prtnt In Ink. Date of election If (Month. Day, Statement covers period 10/101/04 Recipient Committee Campaign Statement Cover Page (Government Code Sections 84200-84216.5) Official Use Only Fo, TINO CITY CLER from D Quarter1y Statement o Special Odd-Year Report o Suppiemental Prealection Statement - Attad1 Form 495 108 corrections on lines Type of Statement: o Preelection Staiament o Semi-annual Statement o Termination Statement (Also file a Form 410 Termination) í21 Amendment (Explain below) Committee name change, summary page and 118 November 8 2. 12/31/04 Committees - Comp.... Pans 1, 2, 3, and 4. IiZI Primarily Formed BaJlot Measure Committee o Controlled o Sponsored (AisoCoolplrdliPørt6) through SeE INSTRUCTIONS ON REVERSE Type of Recipient Committee: A' D Officeholder, Candidate Controlled Committee o State Candidate Election Committee o Recall (Also CompIet8 PsrlS' 1. o Primarily Fonmed Candidatal Officeholder Committee (AIsoCompleIllPflrl7} o Gen8fëll Purpose Committee o Sponsored o Small Contributor Committee o Political Party/Central Committee Treasurer(s) NAME OF TREA.SURER Elizabeth L. Whittaker Committee Infonnation .D. NUMBER 1264630 COMMIITEE NAME (OR CANDIDATE'S NAME IF NO COMMITTEE) 3. the Save Our City, a Primarily Formed Committee to Support Amendments to the General Plan AREA CODE/PHONE 4081255-8527 ZIP CODE 95014 STATE CA MAILING ADDRESS 20622 Cheryl Drive CITY Cupertino NAME OF ASSISTANT TREASUREIt,IF ANY STREET ADDRESS (NO P.O. BOX) 20622 Cheryl Drive Kathey Holland MAILING ADDRESS 10318 Cold Harbor Ave. AREA CODE/PHONE 4081255-8527 STATE ZIP CODE CA 95014 (IF DIFFERENT) NO. AND S"TRËËT OR P.O. BOX CITY Cupertino MAILING ADDRESS AREA CODE/PHONE 4081996-0842 ZIP CODE 95014 STATE CA CITY Cupertino OPTIONAL: FAX AREA CODE/PHONE ZIP CODE STATE CITY Verification I have used all reasonable diligence in preparing and reviewing this statement and to the best of my knowledge the information oontained herein and in the attad1ed schedules is true and oomplete. under penalty of perjury under the laws of the State of California that the foregoing is true and oorrect. -05 B 6ãiO y - certify E.MAlL ADDRESS E-MAIL ADDRESS OPTIONAL: FAX 4. Executed on CBrdldølø. StBteMessln Proponent FPPC Form 4ØO (JRn...ryJ05) FppC ToI .f,.. H.tpllne: 88IIASK-FPPC (166I27S.3772) 9I8te of CallfomiB SignRt1ndCõimrillng~,CøndId_,SbIt8M~Pn;Jpon8nt SlgnIIttndCordrollngQltlcehotd.. By By By 0øI0 ¡;;¡; Executed 00 Executed on Executed on SUMMARY PAGE cover. period 10/101/04 Statement from Type or print In Ink. Amounts may be rounded to whole dollars. Campaign Disciosure Statement Summary Page 2 of 2 Page _ - - 1.0. NUMBER 1264630 12/31/04 through SEE INSTRUCTIONS ON REVERSE NAME OF FILER Save Our City, Calendar Year Summary for Candidates Running In Both the Stata Primary and General Elections Column B CALENDAR Y&.R TOTAL TO OA.TE Amendments to the General Plan ColumnA TOTALTHlSPERlOO (FROMÆ'TACI-ED SCHEDULES) 9033.35 o $ 10 Dote 71 $ Ittrough6l3O 1 $ Conbibutions Received Expenditures Made 20. 21 9033.35 4475.00 13508.35 $ 4187.35 o 4187.35 o 4187.35 Primarily Formed Committee to Support the Contributions Rec:eived a $ $ Schødul6 A, Une 3 Schedu/9 8, Line 3 . AddUfJ6S1+2 Seh6du1e C, Line 3 AddUMS 3 + 4 Monetary ContributionB Loans Received SUBTOTAL CASH CONTRIBUTIONS Nonmonetary ContributionB .............. TOTAL CONTRIBUTIONS RECEIVED 1. 2. 3. 4. 5. $ Expenditure Limit Summary for Stete Candidates $ $ $ Expenditures Made 6. Payments Made 7. Cumulative Expenditure. Made· (If Subj-=tto Voluntary ExpItnditul'tl Limit) to Date Total 22. Date of Election (mm/dd/yy) .90> o .90> o <4475.00> <11676.90> <7201 <7201 $ $ <4372.10> o <4372.10> o o <4372.10> $ $ Schedule E, Line 4 Schedule H, Line 3 AddUnes 6 + 7 Schedule F. Line 3 Schedule C, Line 3 ...AddUnes8+9+1O Loans Made SUBTOTAL CASH PAYMENTS Accrued Expensas (Unpaid Bills) NonmDnetary AdjuBtment ........ TOTAL EXPENDITURES MADE 8. 9. 10. 11 $ $ -----.1---1_ -----.1---1_ *Amounts in this section may be different from amounts reported in Column B. To calculate Column 8, 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. ff this is the first report being flied for this eaktndar year, only eany over the amounts from ünes 2, 7, and 9 (if any). $ 2016.20 4186.35 $ $ Previous Summary Page, lJne 16 Column A, Line 3 abow o <4372.10> 1831.45 $ ScheduJs I, Lif18 ., Column A. Une B abo~ then subtract Une 15 Cash Payments ENDING CASH BALANCE Add Lines 12 + 13 + 14, If this is a termination statement, Une 16 must be zero. Current Cash Statement 12. Beginning Cash Balance ........ 3. Cash Receipts ....................... 4. Miscellaneous Increases to Cash 5. 6. o $ Schedule B, Parl 2 17. lOAN GUARANTEES RECEIVED FPPC Form 460 (JanuaryIOS) 888/ASK-FPPC (866/275-3772) FPPC TolI·Free Helpline: o o $ $ Cash Equivalents and Outstanding Debts 18. Cash Equivalents., .......... SesínstructionsonIWII9fð9 19. Outstanding Debts Add Unø 2 + Une 9 in Column B above