| Contributions Received | 
        Column A | 
        
        Column B |  
    
         | 
         | 
         | 
        This Period | 
        
        Total to Date |  
    
        | 1. | 
	   Monetary Contributions | 
        Sched. A, Line 3 | 
        $25,269.00 | 
        
        $25,269.00 |  
    
        | 2. | 
        Loans Received | 
        Sched. B, Line 3 | 
        $0.00 | 
        
        $0.00 |  
    
        | 3. | 
        SUBTOTAL CASH CONTRIBUTIONS | 
        Add Lines 1 + 2 | 
        $25,269.00 | 
        
        $25,269.00 |  
    
        | 4. | 
        Non-Monetary Contributions | 
        Sched. C, Line 3 | 
        $0.00 | 
        
        $0.00 |  
    
        | 5. | 
        TOTAL CONTRIBUTIONS RECEIVED | 
        Add Lines 3 + 4 | 
        $25,269.00 | 
        
        $25,269.00 |  
 
 
    
    
	    | Expenditures Made | 
        Column A | 
        
        Column B | 
	 
        | 6. | 
        Cash Payments | 
        Sched. E, Line 4 | 
	     $94,898.17 | 
        
	     $94,898.17 |  
    
        | 7. | 
        Loans Made | 
        Sched. H, Line 3 | 
        $0.00 | 
       
        $0.00 |  
    
        | 8. | 
        SUBTOTAL CASH PAYMENTS | 
        Add Lines 6 + 7 | 
	     $94,898.17 | 
        
	     $94,898.17 |  
    
        | 9. | 
        Accrued Expenses (Unpaid Bills) | 
        Sched. F, Line 3 | 
        ($13,903.71) | 
        
        $1,416.23 |  
    
        | 10. | 
        Non-Monetary Adjustment | 
        Sched. C, Line 3 | 
        $0.00 | 
        
        $0.00 |  
    
        | 11. | 
        TOTAL EXPENDITURES MADE | 
        Add Lines 8 + 9 + 10 | 
		$80,994.46 | 
        
		$96,314.40 |  
 
 
        
        | Current Cash Statement | 
		 
    
        | 12. | 
        Beginning Cash Balance | 
        Prev. Summary, Line 16 | 
        $164,097.03 | 
	    | 
	    |  
    
        | 13. | 
        Cash Receipts | 
        Col. A, Line 3 | 
        $25,269.00 | 
         | 
	    |  
    
        | 14. | 
        Miscellaneous Increases to Cash | 
        Sched. I, Line 4 | 
        $0.00 | 
         | 
	    |  
    
        | 15. | 
        Cash Payments | 
        Col. A, Line 8 | 
	     $94,898.17 | 
         | 
	    |  
    
        | 16. | 
        Ending Cash Balance | 
        Lines (12 + 13 + 14) - 15 | 
	     $94,467.86 | 
         | 
	    |  
 
 
         
        | Loan Guarantees Received | 
		    
    
        | 17. | 
        Loan Guarantees Received | 
        Sched. B, Part II | 
        $0.00 | 
         | 
	     | 
	 
 
 
             
        | Cash Equivalents and Outstanding Debts | 
		   
    
        | 18. | 
        Cash Equivalents | 
         | 
        $0.00 | 
         | 
	     | 
	 
    
        | 19. | 
        Outstanding Debts | 
        Add Line 2 + Line 9 in Column B above | 
        $1,416.23 | 
	     | 
	     | 
	 
 
 
    
        | Summary for Candidates in Both June and November Elections | 
        1/1 through 6/30 | 
        7/1 to Date |  
    
        | 20. | 
        Contributions Received | 
        $0.00 | 
        $0.00 |  
    
        | 21. | 
        Expenditures Made | 
        $0.00 | 
        $0.00 | 
	 
 
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