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POL Government Elected Officials Auditor Griffin-Valade Divisions Elections Election Archives Finance 2004 Reports General 04 1st Pre Other Jurisdictions
Other Jurisdictions

Clackamas Leadership PAC
Amendment filed 10/15/04
 
CONTRIBUTIONS:
Cash Contributions: $ 35,750.00
Loans Received: $ 0
In-Kind: $ 0
Total Contributions: $ 35,750.00
 
EXPENDITURES:
Cash Expenditures: $29,825.00
Loan Payments: $ 0
In-Kind $ 0
Total Expenditures $ 29,825.00
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None
 
CASH BALANCE:
Beginning Cash Balance: $ 4,864.54
Total Contributions: $ 35,750.00
Other Receipts: $ 0
Loans Received: $ 0
Contribution Subtotal: $ 40,614.54
Total Expenditures: $ 29,825.00
Other Disbursements: $ 0
Loan Payments: $ 0
Expenditure Subtotal: $29,825.00
Ending Cash Balance: $ 10,789.54
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $10,789.54
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $10,789.54

Conkling, Fiskum & McCormick PAC
 
CONTRIBUTIONS:
Cash Contributions: $ 2,500.00
Loans Received: $ 0
In-Kind: $ 0
Total Contributions: $ 2,500.00
 
EXPENDITURES:
Cash Expenditures: $1,850.00
Loan Payments: $ 0
In-Kind $ 0
Total Expenditures $ 1,850.00
 
Cash contribution(s) to City candidate(s) included in expenditures:
-Nick Fish 9/02/04 $500.00 PC 3 Pg 1 Ln 6
 
CASH BALANCE:
Beginning Cash Balance: $ 351.64
Total Contributions: $ 2,500.00
Other Receipts: $ 0
Loans Received: $ 0
Contribution Subtotal: $ 2,851.64
Total Expenditures: $ 1,850.00
Other Disbursements: $ 0
Loan Payments: $0
Expenditure Subtotal: $1,850.00
Ending Cash Balance: $ 1,001.64
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $1,001.64
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $1,001.64

I.B.E.W. 48 Electricians' PAC
 
CONTRIBUTIONS:
Cash Contributions: $ 96,222.34
Loans Received: $ 0
In-Kind: $ 0
Total Contributions: $ 96,222.34
 
EXPENDITURES:
Cash Expenditures: $111,788.16
Loan Payments: $ 0
In-Kind $ 0
Total Expenditures $ 111,788.16
 
Cash contribution(s) to City candidate(s) included in expenditures:
-Friends of Randy Leonard, 7/20/04 $2,500.00 PC 3 Pg 1 Ln 3
-Jim Francesconi for Mayor 7/20/04 $1,000 PC3 Pg 1 Ln 4
-Nick Fish for City Council 7/20/04 $500.00 PC3 Pg 1 Ln 5
-Nick Fish for City Council 9/10/04 $500.00 PC 3 Pg 5 Ln 6
 
CASH BALANCE:
Beginning Cash Balance: $ 47,528.96
Total Contributions: $ 96,222.34
Other Receipts: $ 0
Loans Received: $ 0
Contribution Subtotal: $ 143,751.30
Total Expenditures: $ 111,788.16
Other Disbursements: $ 0
Loan Payments: $ 0
Expenditure Subtotal: $0
Ending Cash Balance: $ 31,963.14
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $31,963.14
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $31,963.14

Natural Gas PAC
 
CONTRIBUTIONS:
Cash Contributions: $ 10,000.00
Loans Received: $ 0
In-Kind: $0
Total Contributions: $ 10,000.00
 
EXPENDITURES:
Cash Expenditures: $ 24,250.00
Loan Payments: $ 0
In-Kind $ 0
Total Expenditures $ 24,250.00
 
Cash contribution(s) to City candidate(s) included in expenditures:
-Nick Fish for City Council $2,500.00 9/7/04 PC3 Pg 2 Ln 10
-Francesconi for Mayor $2,500.00 9/7/04 PC3 Pg 3 Ln 1
 
CASH BALANCE:
Beginning Cash Balance: $ 108,733.80
Total Contributions: $ 10,000.00
Other Receipts: $ 651.28
Loans Received: $ 0
Contribution Subtotal: $ 119,385.08
Total Expenditures: $ 24,250.00
Other Disbursements: $ 0
Loan Payments: $0
Expenditure Subtotal: $24,250.00
Ending Cash Balance: $ 95,135.08
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $95,135.08
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $95,135.08

Northwest Oregon Labor Council
 
CONTRIBUTIONS:
Cash Contributions: $ 1,737.18
Loans Received: $ 0
In-Kind: $ 0
Total Contributions: $ 1,737.18
 
EXPENDITURES:
Cash Expenditures: $2,824.00
Loan Payments: $ 0
In-Kind $ 0
Total Expenditures $ 2,824.00
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None
 
CASH BALANCE:
Beginning Cash Balance: $ 9,061.39
Total Contributions: $ 1,737.18
Other Receipts: $ 0
Loans Received: $ 0
Contribution Subtotal: $ 10,798.57
Total Expenditures: $ 2,824.00
Other Disbursements: $ 0
Loan Payments: $0
Expenditure Subtotal: $2,824.00
Ending Cash Balance: $ 7,974.57
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $7,974.57
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $7,974.57

Oregon Realtors PAC
 
CONTRIBUTIONS:
Cash Contributions: $ 46,014.63
Loans Received: $ 0
In-Kind: $ 600.00
Total Contributions: $ 46,614.63
 
EXPENDITURES:
Cash Expenditures: $96,389.22
Loan Payments: $ 0
In-Kind $ 600.00
Total Expenditures $ 96,989.22
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None
 
CASH BALANCE:
Beginning Cash Balance: $ 163,513.12
Total Contributions: $ 46,614.63
Other Receipts: $ 54.23
Loans Received: $ 0
Contribution Subtotal: $ 210,180.98
Total Expenditures: $ 96,989.22
Other Disbursements: $ 0
Loan Payments: $0
Expenditure Subtotal: $96,989.22
Ending Cash Balance: $ 113,192.76
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $113,192.76
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $113,192.76

Oregonians for Affordable Housing
 
CONTRIBUTIONS:
Cash Contributions: $ 99,565.00
Loans Received: $ 0
In-Kind: $ 0
Total Contributions: $ 99,565.00
 
EXPENDITURES:
Cash Expenditures: $73,105.32
Loan Payments: $ 0
In-Kind $0
Total Expenditures $ 73,105.32
 
Cash contribution(s) to City candidate(s) included in expenditures:
-Fish for City Council 7/22/04 $1,000 PC 3 Pg 2 Ln 9
 
CASH BALANCE:
Beginning Cash Balance: $ 15,169.34
Total Contributions: $ 99,565.00
Other Receipts: $ 3.95
Loans Received: $ 0
Contribution Subtotal: $ 114,738.29
Total Expenditures: $ 73,105.32
Other Disbursements: $ 380.00
Loan Payments: $0
Expenditure Subtotal: $73,485.32
Ending Cash Balance: $ 41,252.97
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $41,252.97
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $41,252.97

Oregonians to Maintain Community Standards
 
CONTRIBUTIONS:
Cash Contributions: $ 21,920.50
Loans Received: $ 0
In-Kind: $ 773.44
Total Contributions: $ 22,693.94
 
EXPENDITURES:
Cash Expenditures: $41,968.78
Loan Payments: $ 0
In-Kind $ 773.44
Total Expenditures $ 42,742.17
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None
 
CASH BALANCE:
Beginning Cash Balance: $ 130,645.66
Total Contributions: $ 22,693.94
Other Receipts: $ 0
Loans Received: $ 0
Contribution Subtotal: $ 153,339.60
Total Expenditures: $ 42,742.17
Other Disbursements: $ 0
Loan Payments: $0
Expenditure Subtotal: $42,742.17
Ending Cash Balance: $ 110,597.43
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $110,597.43
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $110,597.43

PGE Employee Candidates Assistance Fund
 
CONTRIBUTIONS:
Cash Contributions: $ 0
Loans Received: $ 0
In-Kind: $ 0Total Contributions: $ 0
 
EXPENDITURES:
Cash Expenditures: $28,650.00
Loan Payments: $ 0
In-Kind $ 0
Total Expenditures $ 28,650.00
 
Cash contribution(s) to City candidate(s) included in expenditures:
-Jim Francesconi for Mayor $1,500.00 6/23/04 PC 3 Pg1 Ln1
 
CASH BALANCE:
Beginning Cash Balance: $ 195,134.66
Total Contributions: $ 0
Other Receipts: $ 0
Loans Received: $ 0
Contribution Subtotal: $ 195,134.66
Total Expenditures: $ 28,650.00
Other Disbursements: $ 0
Loan Payments: $ 0
Expenditure Subtotal: $ 28,650.00
Ending Cash Balance: $ 166,484.66
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $
Accounts Receivable: $
Total Outstanding Loans: $
Outstanding Personal Expenditures: $
Accounts Payable: $
Balance/Deficit: $

Portland Metro Association of Realtors
 
CONTRIBUTIONS:
Cash Contributions: $ 4,565.00
Loans Received: $ 0
In-Kind: $ 0
Total Contributions: $ 4,565.00
 
EXPENDITURES:
Cash Expenditures: $17,648.80
Loan Payments: $ 0
In-Kind $ 0
Total Expenditures $ 17,648.80
 
Cash contribution(s) to City candidate(s) included in expenditures:
-Jim Francesconi for Mayor 8/26/04 $2,500.00 PC 3 Pg 1 Ln 8
-Nick Fish for City council 8/26/04 $2,500.00 PC3 Pg 1 Ln 9
 
CASH BALANCE:
Beginning Cash Balance: $ 78,037.13
Total Contributions: $ 4,565.00
Other Receipts: $ 112.45
Loans Received: $ 0
Contribution Subtotal: $ 82,714.58
Total Expenditures: $ 17,648.80
Other Disbursements: $ 0
Loan Payments: $ 0
Expenditure Subtotal: $17,648.80
Ending Cash Balance: $ 65,065.78
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $65,065.78
Accounts Receivable: $150.00
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $65,215.78

Portland Metro Fire Fighters
 
CONTRIBUTIONS:
Cash Contributions: $ 5,743.05
Loans Received: $ 0
In-Kind: $ 0
Total Contributions: $ 5,743.05
 
EXPENDITURES:
Cash Expenditures: $9,513.26
Loan Payments: $ 0
In-Kind $ 0
Total Expenditures $ 9,513.26
 
Cash contribution(s) to City candidate(s) included in expenditures:
-Friends of Randy Leonard $2,500.00 6/14/04 PC3 Pg 1 Ln 2
-Friends of Randy Leonard $1,500.00 9/7/04 PC3 Pg 1 Ln 9
-Nick Fish Campaign $3,000.00 9/10/04 PC3 Pg 1 Ln 10
 
CASH BALANCE:
Beginning Cash Balance: $ 288.67
Total Contributions: $ 5,743.05
Other Receipts: $ 3,669.01
Loans Received: $ 0
Contribution Subtotal: $ 9,700.73
Total Expenditures: $ 9,513.26
Other Disbursements: $ 0
Loan Payments: $ 0
Expenditure Subtotal: $9,513.26
Ending Cash Balance: $ 187.47
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $187.47
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $187.47

Qwest Oregon Employees' PAC
 
CONTRIBUTIONS:
Cash Contributions: $ 13,014.00
Loans Received: $ 0
In-Kind: $ 0
Total Contributions: $ 13,014.00
 
EXPENDITURES:
Cash Expenditures: $17,950.00
Loan Payments: $ 0
In-Kind $ 0
Total Expenditures $ 17,950.00
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None
 
CASH BALANCE:
Beginning Cash Balance: $ 55,156.08
Total Contributions: $ 13,014.00
Other Receipts: $ 1,066.75
Loans Received: $ 0
Contribution Subtotal: $ 69,235.83
Total Expenditures: $ 17,950.00
Other Disbursements: $ 1,000.00
Loan Payments: $ 0
Expenditure Subtotal: $18,950.00
Ending Cash Balance: $ 50,285.83
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $50,285.83
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $50,285.83

SEIU Local 49 COPE Fund
 
CONTRIBUTIONS:
Cash Contributions: $ 5,631.40
Loans Received: $ 0
In-Kind: $ 0
Total Contributions: $ 5,631.40
 
EXPENDITURES:
Cash Expenditures: $5,614.12
Loan Payments: $ 0
In-Kind $ 0
Total Expenditures $ 5,614.12
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None
 
CASH BALANCE:
Beginning Cash Balance: $ 6,528.14
Total Contributions: $ 5,631.40
Other Receipts: $ 0
Loans Received: $ 0
Contribution Subtotal: $ 12,159.54
Total Expenditures: $ 5,614.12
Other Disbursements: $ 0
Loan Payments: $ 0
Expenditure Subtotal: $5,614.12
Ending Cash Balance: $ 6,545.42
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $6,545.42
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $6,545.42

Teacher's Voice in Politics
 
CONTRIBUTIONS:
Cash Contributions: $ 3,623.03
Loans Received: $ 0
In-Kind: $ 0
Total Contributions: $ 3,623.03
 
EXPENDITURES:
Cash Expenditures: $4,500.00
Loan Payments: $ 0
In-Kind $ 0
Total Expenditures $ 4,500.00
 
Cash contribution(s) to City candidate(s) included in expenditures:
-Jim Francesconi for Mayor, 9/9/04, $2,500.00, PC3 Pg 1 Line 3
 
CASH BALANCE:
Beginning Cash Balance: $ 8,984.97
Total Contributions: $ 3,623.03
Other Receipts: $ 0
Loans Received: $ 0
Contribution Subtotal: $ 12,608.00
Total Expenditures: $ 4,500.00
Other Disbursements: $ 0
Loan Payments: $ 0
Expenditure Subtotal: $4,500.00
Ending Cash Balance: $ 8,108.00
 
FINANCIAL STATUS AT CLOSE OF ACCOUNTING PERIOD
Ending Cash Balance: $8,108.00
Accounts Receivable: $0
Total Outstanding Loans: $0
Outstanding Personal Expenditures: $0
Accounts Payable: $0
Balance/Deficit: $8,108.00

Tri-County Council PAC
 
CONTRIBUTIONS:
Cash Contributions: $ 0
Loans Received: $ 0
In-Kind: $0
Total Contributions: $ 0
 
EXPENDITURES:
Cash Expenditures: $0
Loan Payments: $ 0
In-Kind $ 0
Total Expenditures $ 0
 
Cash contribution(s) to City candidate(s) included in expenditures:
-None
 
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: $0Ending 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

City Elections Division

 

Office of the City Auditor

1221 SW 4th Avenue

Room 320

Portland, OR 97204-1987

Map

 

Hours: Monday - Friday,

8:00 a.m. - 5:00 p.m.
phone:  (503) 823-3546

fax: (503) 823-3530

 

email City Elections

 

 

ORESTAR - Campaign Finance Public Search

(Oregon Secretary of State, Elections Division)

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