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Other Jurisdiction PACS

Basic Rights Oregon Elect PAC
Report filed 6/17/04
 
CONTRIBUTIONS:
Cash Contributions: $ 4,803.33
Loans Received: $0
In-Kind: $0
Total Contributions This Accounting Period: $4,803.33
Cumulative Total Contributions This Election: $10,338.30
 
EXPENDITURES:
Cash Expenditures: $5,354.69
Loan Payments: $0
In-Kind $0
Total Expenditures This Accounting Period: $5,354.69
Cumulative Total Expenditures This Election: $11,022.57
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None this report
 
CASH BALANCE:
Beginning Cash Balance: $9,073.73
Total Contributions: $4,803.33
Other Receipts: $331.73
Loans Received: $0
Contribution Subtotal: $14,208.79
Total Expenditures: $5,354.69
Other Disbursements: $0
Loan Payments: $0
Expenditure Subtotal: $5,354.69
Ending Cash Balance: $8,854.10
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $8,854.10
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $8,854.10

Building Oregon with Leadership PAC
Report filed 6/17/04
 
CONTRIBUTIONS:
Cash Contributions: $10,100.00
Loans Received: $0
In-Kind: $0
Total Contributions This Accounting Period: $10,100.00
Cumulative Total Contributions This Election: $398.754.00
 
EXPENDITURES:
Cash Expenditures: $1,517.06
Loan Payments: $0
In-Kind $0
Total Expenditures This Accounting Period: $1,517.06
Cumulative Total Expenditures This Election: $400,410.21
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None this report
 
CASH BALANCE:
Beginning Cash Balance: $1,866.51
Total Contributions: $10,100.00
Other Receipts: $0
Loans Received: $0
Contribution Subtotal: $ 11,966.51
Total Expenditures: $ 1,571.06
Other Disbursements: $ 0
Loan Payments: $ 0
Expenditure Subtotal: $ 1,571.06
Ending Cash Balance: $ 10,395.45
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $ 10,395.45
Accounts Receivable: $ 36,500.00
Total Outstanding Loans: $ 0
Outstanding Personal Expenditures: $ 0
Accounts Payable: $4,153.10
Balance/Deficit: $42,742.35

Clackamas Leadership PAC
Report filed 6/08/04
 
CONTRIBUTIONS:
Cash Contributions: $ 0
Loans Received: $ 0
In-Kind: $ 0
Total Contributions This Accounting Period: $ 0Cumulative Total Contributions This Election: $ 9,500.00
 
EXPENDITURES:
Cash Expenditures: $ 2,000.00
Loan Payments: $ 0
In-Kind $ 0
Total Expenditures This Accounting Period: $ 2,000.00
Cumulative Total Expenditures This Election: $ 4,635.46
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None this report
 
CASH BALANCE:
Beginning Cash Balance: $ 6,864.54
Total Contributions: $ 0
Other Receipts: $ 0
Loans Received: $ 0
Contribution Subtotal: $ 6,864.54
Total Expenditures: $ 2,000.00
Other Disbursements: $ 0
Loan Payments: $ 0
Expenditure Subtotal: $ 0
Ending Cash Balance: $ 4,864.54
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $ 4,864.54
Accounts Receivable: $ 0
Total Outstanding Loans: $ 0 
Outstanding Personal Expenditures: $ 0
Accounts Payable: $ 0
Balance/Deficit: $ 4,864.54

Keep Portland Safe PAC
Report filed 6/15/04
 
CONTRIBUTIONS:
Cash Contributions: $0
Loans Received: $0
In-Kind: $0
Total Contributions This Accounting Period: $0
Cumulative Total Contributions This Election: $8,820.00
 
EXPENDITURES:
Cash Expenditures: $0
Loan Payments: $0
In-Kind $0
Total Expenditures This Accounting Period: $0
Cumulative Total Expenditures This Election: $10,500.00
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None this report
 
CASH BALANCE:
Beginning Cash Balance: $176.16
Total Contributions: $0
Other Receipts: $.06
Loans Received: $0
Contribution Subtotal: $176.22
Total Expenditures: $0
Other Disbursements: $0
Loan Payments: $0
Expenditure Subtotal: $0
Ending Cash Balance: $176.22
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $176.22
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $176.22

Natural Gas Political Action Committee
Report filed 6/16/04
 
CONTRIBUTIONS:
Cash Contributions: $25,000.00
Loans Received: $0
In-Kind: $0
Total Contributions This Accounting Period: $25,000.00
Cumulative Total Contributions This Election: $96,700.00
 
EXPENDITURES:
Cash Expenditures: $5,814.00
Loan Payments: $0
In-Kind $0
Total Expenditures This Accounting Period: $5,814.00
Cumulative Total Expenditures This Election: $32,939.34  
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None this report
 
CASH BALANCE:
Beginning Cash Balance: $89,499.20
Total Contributions: $25,000.00
Other Receipts: $48.60
Loans Received: $0
Contribution Subtotal: $114,547.80
Total Expenditures: $5,814.00
Other Disbursements: $0
Loan Payments: $0
Expenditure Subtotal: $5,814.00
Ending Cash Balance: $108,733.80
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $108,733.80
Accounts Receivable: $0
Total Outstanding Loans: $108,733.80
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $108,733.80

Northwest Oregon Labor Council
Report filed 6/9/04
 
CONTRIBUTIONS:
Cash Contributions: $ 518.84
Loans Received: $ 0
In-Kind: $ 518.84
Total Contributions This Accounting Period: $ 518.84
Cumulative Total Contributions This Election: $ 5,298.04
 
EXPENDITURES:
Cash Expenditures: $ 822.00
Loan Payments: $ 0
In-Kind $ 0
Total Expenditures This Accounting Period: $ 822.00
Cumulative Total Expenditures This Election: $ 1,822.00
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None this report
 
CASH BALANCE:
Beginning Cash Balance: $ 9,364.55
Total Contributions: $ 518.84
Other Receipts: $ 0
Loans Received: $ 0
Contribution Subtotal: $ 9,883.39
Total Expenditures: $ 822.00
Other Disbursements: $ 0
Loan Payments: $ 0
Expenditure Subtotal: $ 822.00
Ending Cash Balance: $ 9,061.39
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $ 9,061.39
Accounts Receivable: $ 0
Total Outstanding Loans: $ 0
Outstanding Personal Expenditures: $ 0
Accounts Payable: $ 0
Balance/Deficit: $ 9,061.39

Oregon AEA PAC
Report filed 6/14/04
 
CONTRIBUTIONS:
Cash Contributions: $0
Loans Received: $0
In-Kind: $ 0
Total Contributions This Accounting Period: $0
Cumulative Total Contributions This Election: $ 5,500.00
 
EXPENDITURES:
Cash Expenditures: $3,250.00
Loan Payments: $0
In-Kind $0
Total Expenditures This Accounting Period: $3,250.00
Cumulative Total Expenditures This Election: $23,108.00
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None this report
 
CASH BALANCE:
Beginning Cash Balance: $30,257.50
Total Contributions: $0
Other Receipts: $0
Loans Received: $0
Contribution Subtotal: $30,257.50
Total Expenditures: $3,250.00
Other Disbursements: $0
Loan Payments: $0
Expenditure Subtotal: $3,250.00
Ending Cash Balance: $27,077.50
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $27,077.50
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $27,077.50

Oregonians for Affordable Housing
Report filed 6/16/04
 
CONTRIBUTIONS:
Cash Contributions: $4,510.00
Loans Received: $0
In-Kind: $0
Total Contributions This Accounting Period: $4,510.00
Cumulative Total Contributions This Election: $137,312.40
 
EXPENDITURES:
Cash Expenditures: $17,650.00
Loan Payments: $0
In-Kind $0
Total Expenditures This Accounting Period: $17,650.00
Cumulative Total Expenditures This Election: $133,374.08
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None this report
 
CASH BALANCE:
Beginning Cash Balance: $ 26,305.87
Total Contributions: $4,510.00
Other Receipts: $2,003.47
Loans Received: $0
Contribution Subtotal: $32,819.34
Total Expenditures: $17,650.00
Other Disbursements: $0
Loan Payments: $0
Expenditure Subtotal: $17,650.00
Ending Cash Balance: $15,169.34
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $15,169.34
Accounts Receivable: $2,503.39
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $17,672.73

Oregonians to Maintain Community Standards
CONTRIBUTIONS:
Cash Contributions: $8,998.00
Loans Received: $0
In-Kind: $1,055.44
Total Contributions This Accounting Period: $10,053.44
Cumulative Total Contributions This Election: $67,865.07
 
EXPENDITURES:
Cash Expenditures: $17,178.73
Loan Payments: $0
In-Kind $1,055.44
Total Expenditures This Accounting Period: $18,234.17
Cumulative Total Expenditures This Election: $106,252.72
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None this report
 
CASH BALANCE:
Beginning Cash Balance: $138,826.39
Total Contributions: $10,053.44
Other Receipts: $0
Loans Received: $0
Contribution Subtotal: $148,897.83
Total Expenditures: $18,234.17
Other Disbursements: $0
Loan Payments: $0
Expenditure Subtotal: $18,234.17
Ending Cash Balance: $130,645.66
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $130,645.66
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $130,645.66

PGE Employee Assistance Fund
Report filed 6/9/04
 
CONTRIBUTIONS:
Cash Contributions: $ 0
Loans Received: $ 0
In-Kind: $ 0
Total Contributions This Accounting Period: $ 0
Cumulative Total Contributions This Election: $ 75,500.00
 
EXPENDITURES:
Cash Expenditures: $ 2,500.00
Loan Payments: $ 0
In-Kind $ 0
Total Expenditures This Accounting Period: $ 2,500.00
Cumulative Total Expenditures This Election: $ 58,900.000
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None this report
 
CASH BALANCE:
Beginning Cash Balance: $ 197,634.66
Total Contributions: $ 0
Other Receipts: $ 0
Loans Received: $ 0
Contribution Subtotal: $ 197,634.66
Total Expenditures: $ 2,500.00
Other Disbursements: $ 0
Loan Payments: $ 0
Expenditure Subtotal: $ 2,500.00
Ending Cash Balance: $ 195,134.66
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $ 195,134.66
Accounts Receivable: $ 0
Total Outstanding Loans: $ 195,134.66
Outstanding Personal Expenditures: $ 0
Accounts Payable: $ 0
Balance/Deficit: $195,134.66

Portland Metropolitan Association of Realtors PAC
Report filed 6/14/04
 
CONTRIBUTIONS:
Cash Contributions: $8,317.50
Loans Received: $0
In-Kind: $0
Total Contributions This Accounting Period: $8,317.50
Cumulative Total Contributions This Election: $59,213.80
 
EXPENDITURES:
Cash Expenditures: $7,955.15
Loan Payments: $0
In-Kind $0
Total Expenditures This Accounting Period: $7,955.15
Cumulative Total Expenditures This Election: $61,639.71
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None this report
 
CASH BALANCE:
Beginning Cash Balance: $77,657.15
Total Contributions: $8,317.50
Other Receipts: $17.63
Loans Received: $0
Contribution Subtotal: $85,992.28
Total Expenditures: $7,955.15
Other Disbursements: $0
Loan Payments: $0
Expenditure Subtotal: $7,95.15
Ending Cash Balance: $78,037.13
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $78,037.13
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $78,212.13

Portland Metro Fire Fighters
Report filed 6/15/04
 
CONTRIBUTIONS:
Cash Contributions: $1,870.68
Loans Received: $0
In-Kind: $1,870.68
Total Contributions This Accounting Period: $1,870.68
Cumulative Total Contributions This Election: $17,505.64
 
EXPENDITURES:
Cash Expenditures: $5,285.92
Loan Payments: $0
In-Kind $0
Total Expenditures This Accounting Period: $5,285.92
Cumulative Total Expenditures This Election: $30,816.05
 
Cash contribution(s) to City candidate(s) included in expenditures:
-Fish for City Council, 5/17/04 $5,000 cash contribution
 
CASH BALANCE:
Beginning Cash Balance: $3,703.64
Total Contributions: $1,870.68
Other Receipts: $0.27
Loans Received: $0
Contribution Subtotal: $5,574.59
Total Expenditures: $5,285.92
Other Disbursements: $0
Loan Payments: $0
Expenditure Subtotal: $5,285.92
Ending Cash Balance: $288.67
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $288.67
Accounts Receivable: $0
Total Outstanding Loans: $288.67
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $288.67

QWEST Oregon Employees' PAC
Report filed 6/15/04
 
CONTRIBUTIONS:
Cash Contributions: $132.25
Loans Received: $0
In-Kind: $0
Total Contributions This Accounting Period: $132.25
Cumulative Total Contributions This Election: $48,740.25
 
EXPENDITURES:
Cash Expenditures: $2,500.00
Loan Payments: $0
In-Kind $0
Total Expenditures This Accounting Period: $2,500.00
Cumulative Total Expenditures This Election: $38,040.00
 
Cash contribution(s) to City candidate(s) included in expenditures:
-Nick Fish for City Council, 5/11/04 $1,000.00 cash contribution
 
CASH BALANCE:
Beginning Cash Balance: $57,500.79
Total Contributions: $132.25
Other Receipts: $23.04
Loans Received: $0
Contribution Subtotal: $57,656.08
Total Expenditures: $2,500.00
Other Disbursements: $0
Loan Payments: $0
Expenditure Subtotal: $2,500.00
Ending Cash Balance: $55,156.08
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $55,156.08
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $55,156.08

SEIU Local 49 COPE Fund
Report filed 6/15/04
 
CONTRIBUTIONS:
Cash Contributions: $1,556.64
Loans Received: $0
In-Kind: $0
Total Contributions This Accounting Period: $1,556.64
Cumulative Total Contributions This Election: $22,135.16
 
EXPENDITURES:
Cash Expenditures: $3,437.00
Loan Payments: $0
In-Kind $0
Total Expenditures This Accounting Period: $3,437.00
Cumulative Total Expenditures This Election: $17,524.48
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None this report
 
CASH BALANCE:
Beginning Cash Balance: $17,199.66
Total Contributions: $1,556.64
Other Receipts: $0
Loans Received: $0
Contribution Subtotal: $18,756.30
Total Expenditures: $3,437.00
Other Disbursements: $8,791.16
Loan Payments: $0
Expenditure Subtotal: $12,228.16
Ending Cash Balance: $6,528.14
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $6,528.14
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $6,528.14

Taxpayer's Association of Oregon PAC
Report filed 6/17/04
 
CONTRIBUTIONS:
Cash Contributions: $2,261.00
Loans Received: $0
In-Kind: $3,490.00
Total Contributions This Accounting Period: $5,751.00
Cumulative Total Contributions This Election: $12,744.00
 
EXPENDITURES:
Cash Expenditures: $3,123.32
Loan Payments: $0
In-Kind $3,490.00
Total Expenditures This Accounting Period: $6,613.31
Cumulative Total Expenditures This Election: $12,708.24
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None this report
 
CASH BALANCE:
Beginning Cash Balance: $2,732.74
Total Contributions: $5,751.00
Other Receipts: $0
Loans Received: $0
Contribution Subtotal: $8,483.74
Total Expenditures: $ 6,613.32
Other Disbursements: $ 0
Loan Payments: $ 0
Expenditure Subtotal: $ 6,613.32
Ending Cash Balance: $ 1,870.42
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $ 1,870.42
Accounts Receivable: $ 0
Total Outstanding Loans: $ 1,870.42
Outstanding Personal Expenditures: $ 0
Accounts Payable: $ 4,894.00
Balance/Deficit: -$3,023.58

Teachers' Voice in Politics
Report filed 6/14/04
 
CONTRIBUTIONS:
Cash Contributions: $0
Loans Received: $0
In-Kind: $0
Total Contributions This Accounting Period: $0
Cumulative Total Contributions This Election: $9,378.16
 
EXPENDITURES:
Cash Expenditures: $500.00
Loan Payments: $0
In-Kind $0
Total Expenditures This Accounting Period: $500.00
Cumulative Total Expenditures This Election: $10,000.00
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None this report
 
CASH BALANCE:
Beginning Cash Balance: $9,484.97
Total Contributions: $0
Other Receipts: $0
Loans Received: $0
Contribution Subtotal: $9,484.97
Total Expenditures: $500.00
Other Disbursements: $0
Loan Payments: $0
Expenditure Subtotal: $500.00
Ending Cash Balance: $8,984.97
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $8,984.97
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $8,984.97

Tri-Councy Council PAC
Report filed 6/17/04
 
CONTRIBUTIONS:
Cash Contributions: $0
Loans Received: $0
In-Kind: $0
Total Contributions This Accounting Period: $0
Cumulative Total Contributions This Election: $0
 
EXPENDITURES:
Cash Expenditures: $0
Loan Payments: $0
In-Kind $0
Total Expenditures This Accounting Period: $0
Cumulative Total Expenditures This Election: $0
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None this report
 
CASH BALANCE:
Beginning Cash Balance: $648.08
Total Contributions: $0
Other Receipts: $0
Loans Received: $0
Contribution Subtotal: $648.08
Total Expenditures: $0
Other Disbursements: $0
Loan Payments: $0
Expenditure Subtotal: $0
Ending Cash Balance: $ 648.08
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $648.08
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $648.08

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1221 SW 4th Avenue

Room 320

Portland, OR 97204-1987

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phone:  (503) 823-3546

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