De Weerd, Tammy (7 Day Pre General)' Oct, I 2015 2:57PM'
Section I
No, 5098 P. 1
CAMPAIGN FINANCIAL DISCLOSURE REPORT a I �- i-. I C-2
SUMMARY PAGEOCT Ott Rev,
(Please Print or Type) CI T Y
CITY CLERKS P S OFFICE
Name o(Candida►e or PoW Committee and Chairperson
Office Sought (it candidele)
Dislrid (if any)
Tammy de Weerd
Mayor
-
Meridian
Wiling ress
C ity an p
ome one
VV0rK FWPO
2621 Miranda
Meridian 83642
(208) 412-5447
(208) 489-0529
Name of o caTreasurer
Glen P. Olsen
MaIRMAddress
City and Zip
Home Phone
worRphone
839 E. Winding Creek Dr., Ste. 101
Eagle 83616
(208) 888-5073
(208) 398-3250
Chonge of address for: Candidate or Political Committee C3 Political Treasurer ❑
Section II TYPF OF REPORT
This filing is an: ❑ Original ❑ Amendment
This report Is for the period from • through,
❑ 7 Day Pre -Primary Report
R 7 Day Pre -General Report
❑ 30 Day Post -Primary Report
[j 30 Day Post -General Report
❑ Semi -Annual Report (Statewide Candidates Only)
Is this a Termination Report: ❑ Yes m No
❑ October 10 Pre -General Report•
❑ Annual Report
Section III STATEMENT OF NO CONTRIBUTIONS OR EXPENDITURES
Directions: If you had no contributions or expenditures during this reporting period, check the box next to the statement below and sign this report.
Do sure to carry fotward the appropriate "Calendar Year to Date" figures In Column II, Section IV.
�) I hereby certify that I have received no contributions and have made no expenditures during this reporting period.
Section IV SUMMARY
To reach your Calendar Year to Date figure: Add this report's Column I COLUMN I COLUMN II
figures to the Column II figures of your previous report (except online 6). This Period Calendar Year
to Dale
Line 1: Cash on Hand January 1, This Calendar Year' $ XXXXXX $ 11,980.50
Line 2: Enter Beginning Cash Balance" $ 36,604.74 $ XXXX)(
Line 3: Total Conitlbutlons (Enter amount from line 5, page 2) $ 475.00 $ 34,880.52
Line 4: Subtotal (Add linos 1, 2 and 3) $ 36,079.74 $ 46,861.02
Line 6, Total Expenditures (Enter amount from line 11, page 2) $ 7,244.40 $ 18,025.68
Line 6: Enter Ending Cash Balance (Subtract line 5 from line 4) $ 28,8X34 $ 28,835.34
Line 7: Outstanding Debt to Dale (8nler amount from line 18, page 2) $
`This same figure should be entered on line 1 of all reports filed this calendar year,
"This Is the figure on line 6 of the last Campaign Financial Disclosure Report filed, If this is your first report, this amount Is 0.
Note: The closing cash balance for the current reporting period appears on the next report as the beginning cash on hand.
Section V
Re►urn This Report To:
Lawerence Denney
Secretary of Slate
PO Box 63720
Boise ID $3720-0080
Phone: (208) 334-2852
Fax (208) 334-2262
I, Glen P. Olsen hereby certify that the Information in this
Name of PoNgcal Treasurer
report is a true, complete and correct Campaign Finan ' ' cl ure epo as reyulred by law.
Signature of Political Treasurer
Page 1
Oct, 23, 2015 2:57PM
No, 5098 P. 2
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DETAILED SUMMARY
Name of Candidate or Committee: Tammy de Weerd
Total This Period
Contributions
Unitemized Contributions ($60 and less) # of Contributors 6
+ $175.00
Itemized Contributions (Total of all Schedule A sheets)
+ $ 300.00
In -Kind Contributions (Total of all Contributlon amounts from Schedule C sheets)
+ $
i Loans (Total of all New Loan amounts from Schedule D sheets)
t $
Total Contributions (Transfer this figure to page 1, Section IV, Line 3)
_ $ 476.00
Expenditures
Unitemized Expenditures (Less than $25) # of Expenditures
+ $
Itemized Expenditures (Total of all Schedule B sheets)
+ $ 7,244.40
In -Kind Expenditures (Total of all Expenditure amounts from Schedule C sheets)
+ $
Loan Repayments (Total of all Loan Repayment amounts from Schedule D sheets)
+ $
Credit Card and Debt Repayments (Total of all Repayment amounts from Schedule E sheets)
+ $
Total Expenditures (Transfer [his figure to page 1, Section IV, Line 5)
_ $7,244.40
I Loans, Credit Cards and Debt '
Outstanding Balance from previous reporting period
+ $
New Loans received during this reporting period
(Total of all New Loan amounts plus Accrued Interest from Schedule D sheets)
+ $
New Credit Card and Debt incurred this reporting period
(Total of all New Incurred Debt amounts from Schedule E sheets)
+ $
Subtotal
$
Repayments of Loans made during this reporting period
(Total of all Loan Repayment amounts from Schedule D sheets)
$
Repayments of Credit Card and Debt this reporting period
(Total of all Debt Repayment amounts from Schedule F sheets)
$
Total Outstanding'Balance at close of this period (Transfer this figure to page 1, Section 1V, Line 7)
_ $0.00
Pledged Contributions
Unitemized Pledged Contributions ($50 and less) # of Pledges
+ $
Itemized Pledged Contributions this Period (Total of all Schedule F sheets)
+ $ ,
Total Pledged Contributions this period
$0.00
Page 2
Oct.23, 2015 2:57PM
No.5098 P. 3
SCHEDULE A
ITEMIZED CONTRIBUTIONS
of more than Fifty Dollars ($50.00) this period
Page o
1 1
Name of Candidate or Committee: Tammy de Weerd
Date Received
Full Name, Mailing Address and Zip Code of Contributor
Cash or Check
19 J15
O Primary
Q! General
1 Matthew Schultz
POBox1116
Meridian, ID 83680
200.00
$
$ 200.00
Calendar Year-To-oals
10 / 15 / 15
L3 Primary
0 General
2• Sherrie Ewing
2034 E. Lake Hazel Rd.
Meridian, ID 83642
100.00
$
$ 100.00
CalendarYaar-To-bate
1. - /
❑ Primary
❑ General
3.
$
$
CalendarYeer-To-Date
O Primary.
'❑ General
4.
$
Calendar Year -To -Dale
❑ Primary
❑ General
5.
$
Calendar Year -To -Date
6.
$
❑ Primary
❑ General
Calendar Year -To -Date
❑ Primary
0 General
7.
$
Calendar Year -To -Dale
O Primary
O General
S.
$
$
Calendar Year -To Date
O Primary
n General
9.
$
Calendar Year -To -Date
10,
$
El Primary
[3General ICalendar
Year-b-Dala
Total This Page:
$300.00
Transfer the combined total of all Schedule A pages to the Detailed Summary on page 2 line 2.
Oct, 23. 2015 2:57PM
No, 5098 P. 4
SCHEDULE B
ITEMIZED EXPENDITURES
Twenty -Five Dollars ($25.00) or more this period
NO 0 1
I Name of Candidate or Committee: Tammy de Weerd I
rpose copes (Enter up to a purpose copes per Expendiluro j
A All Travel Expenses (Airfare, Fuel, Lodging & Mileage)
N
Newspaper & Other Periodical Advertising
B Broadcast Advertising (Radio, TV, Internet & Telephone)
0
Other Advertising (Yard Signs, Buttons, etc.)
C Contributions to Candidates & PAC's
P
Postage
D Donations & Gifts
S
Surveys & Polls
E Event Expenses
T
Tickets (Events)
F Food & Refreshments
U
Utilities
G General Operational Expenses
W
Wages, Salaries, Benefits & Bonuses
H Independent Expenditures
Y
Petition Circulators
L Literature, Brochures, Printing
Z
Preparation & Production of Advertising
M Management Services
Date Pen(
Full Name, Mailing Addre is an p e o ec p en
urpose o e s)
Cash or Check
1 Artech
O
10 01 15
620 E, Franklin
Meridlan, ID 83642
1,240.20
$
2. Meddlan Resource
M
10 08 15
PO Box 1671
1.333.13
Boise, ID 83701
$
3 Treasure Valley Litho
O
10 08 15
29 N. Phlllippl St.
4,071.01
Boise, ID 83706
$
4• Idaho Statesman
N
10 08 15
1200 North Curtis Road
600,00
Boise, ID 83706
$
5.
6.
j—/
$
7.
$
8.
9.
10,
Total This Page:
$ 7,244.40
Transfer the combined tolal of all Schedule 8 pages to the Detailed Summary on page 2 line 7.