Roberta Hughan - 1990/01/01 - 1990/06/30
~
CANDIDA TE~ .OFFlcEHOLDER AND CONTROLLED COMMITTEE
~MPAJGN STATEMENT - LONG FORM
(Government Code Sections 84200-84216.5) PAGE _
(Type or Print in Ink) ~ ",
r,""", ;,
Statement covers period 1-1-9Othrough 6-30-90 I:
0l'(X 011' OF TH' fGWlWlHG 80XES TO lNDlCATETH' TYH Of STATEM"'T IE"" fUO, l 0 ..
o PRE-ELECTION STATEMENT 0 SUPPLEMENTAl PRE-ELECTION V'q
~ SEMI-ANNUAL STATEMENT Sf A TEMENT (If filing ~ Supplemental f
D TERMINATION STATEMENT Pre-Election Sutement. attach a \':-
Attach a completed Form 415 to this completed Form 495 to this statement.) \.,
statement.
FORM 490
1990
DA TE Of EUCTION (MO.. DAY, 1'11.) (If APPUCAIU)
A
I CANDIDATElOFRCEHOLDER INa.UDED IN THIS CONSOUDATED REPORT
NAME OF CANDIDATEJOFFICEHOLOER:
Roberta H. Hughan
RESIDENTIAL OR BUSINESS ADDRESS:
OFFICE SOUGHT OR HELD: (Ind_locacIon __ __ if ~_l
Mayor of Gilroy
NO, ANI) STREET
0'"
STATE
zw CODE
AMA COIlEJDA l' TIME PHONE HUM'ER
338 Fifth Street Gilroy CA 95020
II CONTROWD COMMITTEE INClUDED IN THIS REPORT (See definition on reverse.)
NAME OF COMMITTEE:
Hughan for Mayor Committee
ADDRESS OF COMMITTEE: NO, ANO STREET
408-842-5375
.. D. HUMIlER
811428
on
STATE
l1# CODE
AIIEA CQOU)A Y TIME PtiOHE NUMIlER
338 Fifth Street
NAME OF TREASURER:
Maryann Mattos
PERMANENT ADDRESS OF TREASURER: NO. AHO STflHT
8300 Rancho Real
Gilroy
CA
95020
408-842-5375
on
STATE
l1I1 CODE
AllEACClOf4lAY TIME PHONE NUMIlER
Gilroy
CA
95020
408-842-8417
III OTHER COMMllTEES: UST ANY OTHER COMMITTEES NOT INClUDED IN THIS STATEMENT WHICH ARE CONTROLLED
BY YOU AND ANY COMMlnEES PRIMARILY FORMED TO RECEIVE CONTRlBUnONS OR MAKE EXPENDITURES ON
BEHALF OF YOUR CANDIDACY.
CONTROLLED
COMMITTEE NAME AND 1.0. NUMBER COMMITTEE ADDRESS TREASURER COMMITTEE?
YES NO
.. --- -.- . - -
Attach addition.l information on appropriately labeled continuation sheets.
VERI FICA nON
CANDIDATE OR OFFICEHOLDER:
I HAYE USED ALL REASONABlE DlUGENCE AND TD THE lEST Of MY KNDWUDGE THE TREASURER HAS USED ALL REASON AILE DIUGENCE IN
PREPAIUNG THIS STAn. .MENT. I HAYE REY.IEWED. THE STATEMENT AND TO THE lEST Of MY KN EDGE THE INF~RMA~N C .T. A;cNED EREIN
AND IN THE ATTACHED SCHEDULES IS TRUE AND COMPlETE. I aRTlfY UNDER 'ENALTY. 'ERJUR~U DER H LA F THE ATE OF
CALIfORNIA THAT THE ~.E~lNG IS ~ ~ CDRRECT. ~
EXECUTED ON 7.-?J 0 --- lAft ,I 11) ~ IY 'V . ~
(OATIl (Q'IV AND STAl'II lSlGNA11l11i Of CAJlDlDATI 01 OffIC.EH~
TREASURER (if applicable):
I HAVE USED ALL REASONABLE DIUGENCE IN ,tUPARlNG THIS STATEMENT AND TO THE BEST Of MY KNOWLEDGE THE INFORMATION
CONTAINED HEREIN AND IN THE An ACHED SCHEDULES IS TRUE AND COMPlETE.
I CERTIFY UNDER PENALTY Of PERJURY UNDER THE LAWS Of THE STATE OF CAlifORNIA
EXECUTED ON 'll3c; / q tI AT)J~ c\../ty---t Cn BY
r uwtEl r STAfll
SUMMARY PAGE
FORM 490
(Amounts May Be Rounded To Whole Dollars)
PAGE
OF~
STATEMENT COVERS PERIO:
FROM I THROUGH
1-1-90 6-30-90
NAME OF CANDIDATE OR OFFICEHOLDER AND CONTROLLED COMMITTEE:
earn ai n to Re-Elect Roberta Hughan Mayor of Gilroy
1.0. NUMBER
811428
CONTRIBUTIONS RECEIVED COLUMN A COLUMN B
Cumulative total Total th~riod from
from pre'!ious period* attach schedules
1. Monetary contributions. . . . . . . . . . . . . . . . . . . . . $ 0 $ 0
SCHEDULE A. UNE 3
2. Loans received. . . . . . . . . . . . . . . . . . . . . . . . . . . . . 0 0
SCHEDULE 8, UNE 7
3. SU BTOT AL CASH RECEIPTS. . . . . . . . . . . . . . . . . . $ 0 $ 0
LINES 1 . 2 LINES 1 . 2
4. Non-monetary contributions. . . . . . . . . . . . . . . . 0 0
SCHEDUlf C. UNE 3
5. TOTAL CONTRIBUTIONS WITHOUT
ENFORCEABLE PROMISES. . . . . . . . . . . . . . . . . . . 0 0
Enforceable Promises (Except loan LINES] . 4 LINES] .4
6. 0 0
guarantees, see Line 18 below).... .......... SCHEDUlE D. LINE 7
TOTAL CONTRIBUTIONS. ................... $ 0 S 0
7.
LINES S + 6 UNES5+6
EXPENDITURES MADE 1,453.55 S 23.00
S
8. Payments. . . . . . . . . . , . . : . . . . . . . . . . . . . . . . . . . SCHEDULE E. LINE S
0 0
9. Loans Made. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
SCHEDULE EE. LINE 7
10. SUBTOTAL _..............................- 1.4')1.')') 23.00
LINES' . 9 LINES' + 9
11. Accrued expenses (unpa~d biJls) . . . . . . . . . . . . . 0 0
SCHEDULE f. LINE 5
12. TOTAL EXPENDITURES..................... S 1,453.55 S 23.00
LINES 10 . 11 LINES 10 . 11
COLUMN C
Cumulative to date
(Columns A + B)
$ 0
o
$
o
LINES 1 . 2
o
o
LINES] . 4
o
$ 0
UNESS.6
(SHOULD EOUALlINE 7.
COlUMNS A + 8)
$ 1,476.55
o
1,476.55
lINESB .',
o
$ 1,476.55
LINES 10 . 11
(SHOULD EOUAL LINE 12.
COLUMNS A + B)
*tF THIS IS THE ARST REPORT ALED FOR THE CALENDAR YEAR, COLUMN A SHOULD BE BLANK
EXCEPT fOR UNES 2, 6, 9 AND 11 (if applicable).
STATEMENT OF CHANGES IN FINANCIAL CONDITION
13. Cash on hand at the beginning of this period. (Enter amount from
Summary Page, Line 17, from previous statement filed.) .. . . . . . . . . . .
14. Cash receipts this period (Line 3, Column B above) . . . . . . . . . . . . . . . . . . .
15. Miscellaneous increases to cash (Schedule G, Line 4) .................
16. Cash payments this period (Line 10, Column B above) . . . . . , . . . . . . . . . .
17. Cash on hand at end of reporting period (Lines 13 + 14 + 15 - 16 above)
(If this is a Termination Statement, Line 17 must be Zero.). . ... . . .. .. . . .. .. . . . . . .. . . . . . . - . .
18. Amount of loan guarantees received (Schedule B, Part I, Column (b)). . . . . . . . . . . . . . . . . . . . . . .
19. Cash equivalents (other assets held including outstanding loans made to others).
Important: See instructions on reverse. . . . . . . . , . . . . . . . . . .. . . . . . . . . . . . . . . . .. . . . . . . . . . . . . .
Outstanding debts (Line 2 + Line 11 of Column C above). . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
$
1.442.66
o
23.00
20.
o
$ 1.419.66
ENDING CASH ON HAND SHOULD
NOT BE A NEGATIVE AMOUNT
S
$
$
o
o
o
1/1 THRI16nN 90
7/1 TO DATE
SUMMARY FOR CANDIDATES IN BOTH AJUNE AND NOVEMBER ELECTION (See Instructions on Reverse)
21. CONTRIBUTIONS RECEIVED:
22. EXPENDITURES MADE:
23.00
SCHEDULE E
PAYMENTS AND CONTRIBUTIONS (OTHER THAN LOANS) MADE
FORM 490
PAGE OF
STATEMENT COVERS PERIOD
(Amounts May Be Rounded To Whole Dollars)
FROM
THROUGH
NAME OF CANDIDATE OR OFFICEHOLDER AND CONTROLLED COMMITTEE:
earn ai n to Re-Elect Roberta Hu han
CODES FOR CLASSIFYING EXPENDITURES
If one of the following codes is used to describe the expenditure, no written description is needed. (Note exceptions
on the back of this schedule for code "T".) Refer to the back of this schedule and the back of the Schedule E
Continuation Sheet for detailed explanations of each category.
1.0. NUMBER
811 2
"C" - MONETARY AND IN-KIND (NON-MONETARY)
CONTRIBUTIONS TO OTHER COMMITTEES
"I" - INDEPENDENT EXPENDITURES
"L- - LITERATURE
"B" - BROADCAST ADVERTISING
-N" - NEWSPAPER AND PERIODICAL ADVERTISING
"0" - OUTSIDE ADVERTISING
-S" - SURVEYStSIGNATURE GATHERING. DOOR-TO-DOOR
SOLICIT A IONS
-F" - FUNDRAISING EVENTS
"G" - GENERAL OPERATIONS AND OVERHEAD
-T" - TRAVEL, ACCOMMODATIONS AND MEALS (MUST BE
DESCRIBED. SEE BACK OF SCHEDULE E CONTINUA TION
SHEET.)
-P" - PROFESSIONAL MANAGEMENT AND
CONSULTING SERVICES
If one of the above codes does not accurately or fully describe the expenditure, leave the "Code" column blank and
provide a written description in the "Description of Payment" column.
IMPORTANT: Do not itemize the payment of accrued expenses on Schedule E. Report only the lump sum of these
payments on Line 4 of the Summary section, below.
NAME AND ADDRESS OF PAYEE. CREDITOR OR
RECIPIENT OF CONTRIBUTION AMOUNT
(If COMMITTEE, IN AOOKION TO COMMITTEE'S PAID
NAME ANO AOOIIESS. ENTER 1.0. NUMBER
OR. If NO 1.0. HOMIER HAS IIfEN ASSIGNED. ENTER THE CODE OR
TREASURER"S NAME AND ADDRESS) DESCRIPTION OF PAYMENT
Membership in Air & Waste
Management Association I 23.00
SUBTOTAL $ 23.00
SUMMARY
1. PAYMENTS OF S 1 00 OR MORE MADE THIS PERIOD
(Include all Schedule E subtotals) . ............ .......... ...................... ...... ................ ............ ................. $
2. PAYMENTS UNDER $100 THIS PERIOD (Not itemized) ................................................. ..... .........
23.00
3. TOTAL INTEREST PAID THIS PERIOD ON OUTSTANDING LOANS
(Schedule S, Part 2, Column (d)) ..................................................................................................
o
4. TOTAL ACCRUED EXPENSES PAID THIS PERIOD (Not itemized) (Schedule F, Line 4) ....................
o
5. TOTAL PAYMENTS THIS PERIOD (Line 1 + 2 + 3 + 4) Enter here and on Line 8, Column B of
Summary Page ............ ..... ..... .............. ................. ..... ................. ..... ....... ..... ...............,... ..... ....... $
23.00