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POL Government Elected Officials Auditor Griffin-Valade Divisions Elections Election Archives Finance 2004 Reports Primary 04 1st Pre-Election Report Candidate Position No. 4
Position No. 4

Dixon, Frank (Frank Dixon for City Council)
Amendment filed 4/28/04
 
CONTRIBUTIONS:
Cash Contributions: $5,600.00
Loans Received: $5,000.00
In-Kind: $400.00
Total Contributions: $11,000
 
EXPENDITURES:
Cash Expenditures: $1,250.31
Loan Payments: $0
In-Kind $400.00
Total Expenditures $1,650.31
 
CASH BALANCE:
Beginning Cash Balance: $0
Total Contributions: $11,000
Other Receipts: $0
Loans Received: $0
Contribution Subtotal: $11,000
Total Expenditures: $1,650.31
Other Disbursements: $0
Loan Payments: $0
Expenditure Subtotal: $1,650.31
Ending Cash Balance: $9,349.69
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $9,349.69
Accounts Receivable: $0
Total Outstanding Loans: $5,000.00
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $4,349.69

Gard, Leonard (Gard for Commissioner)
Certificate of Limited Contributions & Expenditures Filed 4/12/04 - Candidate does not expect to spend or receive more than $2,000 for entire election

Hall, Aaron (Aaron Hall for City Hall)
Certificate of Limited Contributions & Expenditures Filed 3/9/04 - Candidate does not expect to spend or receive more than $2,000 for entire election

Lakeman, Mark Lloyd (Friends of Mark Lakeman)
Amendment filed 5/3/04
 
CONTRIBUTIONS:
Cash Contributions: $50.00
Loans Received: $0
In-Kind: $0
Total Contributions: $50.00
 
EXPENDITURES:
Cash Expenditures: $0
Loan Payments: $0
In-Kind $0
Total Expenditures $0
 
CASH BALANCE:
Beginning Cash Balance: $0
Total Contributions: $50.00
Other Receipts: $0
Loans Received: $0
Contribution Subtotal: $50
Total Expenditures: $0
Other Disbursements: $0
Loan Payments: $0
Expenditure Subtotal: $0
Ending Cash Balance: $50
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $50
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $437
Accounts Payable: $0
Balance/Deficit: -$387.00

Leistner, Paul (Friends of Paul Leistner)
Amendment Filed 4/29/04
 
CONTRIBUTIONS:
Cash Contributions: $2,350.00
Loans Received: $2,700.00
In-Kind: $0
Total Contributions: $5,050.00
 
EXPENDITURES:
Cash Expenditures: $552.00
Loan Payments: $0
In-Kind $0
Total Expenditures $552.00
 
CASH BALANCE:
Beginning Cash Balance: $0
Total Contributions: $5,050.00
Other Receipts: $0
Loans Received: $0
Contribution Subtotal: $5,505.00
Total Expenditures: $552.00
Other Disbursements: $0
Loan Payments: $0
Expenditure Subtotal: $552.00
Ending Cash Balance: $4,498.00
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $4,498.00
Accounts Receivable: $0
Total Outstanding Loans: $2,700.00
Outstanding Personal Expenditures: $724.24
Accounts Payable: $0
Balance/Deficit: $1,073.76

Leonard, Randy (Friends of Randy Leonard)
Date Filed 4/09/04
Amendment filed 5/3/04
 
CONTRIBUTIONS:
Cash Contributions: $146,650.00
Loans Received: $0
In-Kind: $2,397.00
Total Contributions: $149,047.00
 
EXPENDITURES:
Cash Expenditures: $31,226.11
Loan Payments: $0
In-Kind $2,397.00
Total Expenditures $33,623.11
 
CASH BALANCE:
Beginning Cash Balance: $9,138.18
Total Contributions: $149,047.00
Other Receipts: $0
Loans Received: $0
Contribution Subtotal: $158,185.18
Total Expenditures: $33,623.11
Other Disbursements: $0
Loan Payments: $0
Expenditure Subtotal: $33,623.11
Ending Cash Balance: $124,562.07
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $124,562.07
Accounts Receivable: $0
Total Oustanding Loans: $124,562.07
Oustanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $124,562.07

McKnight, Bonny (Friends of Bonny McKnight)
Amendment filed 5/3/04
 
CONTRIBUTIONS:
Cash Contributions: $1,050.00
Loans Received: $0
In-Kind: $64.00
Total Contributions: $1,114.00
 
EXPENDITURES:
Cash Expenditures: $658.00
Loan Payments: $0
In-Kind $64.00
Total Expenditures $722.00
 
CASH BALANCE:
Beginning Cash Balance: $0
Total Contributions: $1,114
Other Receipts: $ 0
Loans Received: $0
Contribution Subtotal: $1,114.00
Total Expenditures: $722.00
Other Disbursements: $0
Loan Payments: $0
Expenditure Subtotal: $722.00
Ending Cash Balance: $392.00
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $392.00
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $392.00

Salaz, Alicia
Candidate has not formed a Principal Campaign Committee and plans to spend less than $300 for entire election.  No reports due.

Schwab, Mary Ann (Friends of Mary Ann Schwab)
Certificate of Limited Contributions & Expenditures Filed 3/9/04 - Candidate does not expect to spend or receive more than $2,000 for entire election

Stephens, Scott (Scott Stephens for Portland)
Amendment Filed 4/23/04
 
CONTRIBUTIONS:
Cash Contributions: $25.00
Loans Received: $0
In-Kind: $850.00
Total Contributions: $875.00
 
EXPENDITURES:
Cash Expenditures: $0
Loan Payments: $0
In-Kind $850.00
Total Expenditures $850.00
 
CASH BALANCE:
Beginning Cash Balance: $0
Total Contributions: $875.00
Other Receipts: $0
Loans Received: $0
Contribution Subtotal: $875.00
Total Expenditures: $850.00
Other Disbursements: $0
Loan Payments: $0
Expenditure Subtotal: $850.00
Ending Cash Balance: $25.00
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $25.00
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $476.85
Accounts Payable: $0
Balance/Deficit: -$451.85

Whittenburg, Jim (Committee to Elect Jim Whittenburg for Portland City Council)
 
CONTRIBUTIONS:
Cash Contributions: $883.00
Loans Received: $3054.00
In-Kind: $1,520.00
Total Contributions: $5,457.00
 
EXPENDITURES:
Cash Expenditures: $2,313.00
Loan Payments: $335.00
In-Kind $1,520.00
Total Expenditures $4,168.00
 
CASH BALANCE:
Beginning Cash Balance: $0
Total Contributions: $5,457.00
Other Receipts: $0
Loans Received: $0
Contribution Subtotal: $5,457.00
Total Expenditures: $4,168.00
Other Disbursements: $0
Loan Payments: $0
Expenditure Subtotal: $4,168.00
Ending Cash Balance: $1,289.00
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $1,289.00
Accounts Receivable: $0
Total Outstanding Loans: $1,289.00
Outstanding Personal Expenditures: $0
Accounts Payable: $1,660.00
Balance/Deficit: -$2,719.00

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