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2021_01_08_regular_session
- 2 - Minutes January 8, 2021 CHAIR’S REPORT A. 2021 meeting schedule The next Board meeting is scheduled for 10:00 a.m. on Wednesday, February 3, 2020. EXECUTIVE DIRECTOR REPORT Mr reported cash balance of $1,863 as of 10/19/2020. RECOMMENDED ACTION: Waive Member Leppik To approve the staff recommendation. A roll call vote was taken. All members voted in Board staff. New treasurer was not given copy of party unit's 2020 CFR data or access to party unit's bank account. Report was due 10/26/2020 and no-change statement was filed 11/29/2020 listing cash
January 13, 2025 meeting materials
Waivers Recommended Action Board Action 2024 Pre-Primary Large Contribution Notices (3) 7/24/24 7/26/24 8/8/24 10/25/24 $3,000 LFFs (1,000 x 3) No. Waive. Richard Orpen been registered since 1977 and has no recent history of late filings. Cash balance as of 10/21/24 was $19,902. 3. DFL Veterans Caucus (41111) Report(s) Due Filed Amount Prior Waivers Recommended Action Board Action 2024 Pre-General 10/28/24 10/29/24 $50 LFF No. Waive. Member Flynn moved to grant requests 1 – 4. Unanimously approved. Treasurer was outside the
Report of Receipts and Expenditures for Candidate
, return of a deposit). Line 10 The total amount of cash or in-kind contributions received during the reporting period – sum of lines 2 through 9. Line 11 Money spent for goods or services in banks and other depositories. Reported ending cash balance must be reconcilable with balance stated by the depositories. Line 1 + Line 10 - Line 17. Page 3 of 28 Receipts from loans payable Sch. A2 - LP $ $ 9 Miscellaneous income Sch. A2 - MISC $ $ 10 TOTAL RECEIPTS Sum #2 thru #9 $ $ $ B DISBURSEMENTS: Cash (Col.1) Unpaid bills (Col. 2) In-kind
Report of Receipts and Expenditures for Candidate
, return of a deposit). Line 10 The total amount of cash or in-kind contributions received during the reporting period – sum of lines 2 through 9. Line 11 Money spent for goods or services in banks and other depositories. Reported ending cash balance must be reconcilable with balance stated by the depositories. Line 1 + Line 10 - Line 17. Page 3 of 28 $ $ 8 Receipts from loans payable Sch. A2 - LP $ $ 9 Miscellaneous income Sch. A2 - MISC $ $ 10 TOTAL RECEIPTS Sum #2 thru #9 $ $ $ B DISBURSEMENTS: Cash (Col.1) Unpaid bills (Col. 2
Report of Receipts and Expenditures for Independen
Question Committees and Funds Sch. B2 – IND PCF $ $ $ 10 A Independent expenditures See required form on page 18. Sch. B3A - IE $ $ $ $ 10 B Independent expenditures for Hennepin Co # $ $ $ # $ $ $ # $ $ $ # $ $ $ # $ $ $ # $ $ $ Total of non-itemized expenditures $ $ $ $ TOTALS $ $ $ $ To p. 3, line 10, col.1 To p. 3, line 10 col. 2 To p. 3, line 10 col. 3 To p. 3, line 10, col 4 It is unlawful to use
2020_06_03_regular_session
A. 2020 meeting schedule The next Board meeting is scheduled for 10:30 a.m. on Wednesday, July 15, 2020. EXECUTIVE DIRECTOR REPORT Mr. Sigurdson presented members with a memorandum , 2020. The period for application for the positions must be open at least 25 days, with the process of appointment taking at least another 10 days after the close of the minimum application period safe harbor to the requester. 2 Laws of 1978, Chapter 463, section 10. 3 More recently the Board provided in Advisory Opinion 3653 that the cost of producing a cable television
2012_09_13_regular_session
statement within 10 days. A committee that is unable to provide the disclosure statement within 10 days must either return that portion of the contribution that is over $100 to the unregistered . Payment of a late filing fee for the June 15 Lobbyist Disbursement Report: Rick Cardenas, Advocating Change Together, $10 James Erickson, Friendship Village Bloomington, $25 Forrest Wilkinson, Forest submitted, Gary Goldsmith Executive Director Attachments: September 10, 2012, memorandum regarding direction to staff on the application of Minnesota Statutes section 10A.15, subdivision 3, to
2017_annual_report
....................................................................................................................... 8 CAMPAIGN FINANCE PROGRAM .......................................................................................................... 10 Program Overview ....................................................................................................................... 10 Legislative Action and Rulemaking .............................................................................................. 10 Advisory Opinions -end reports disclosed $78,645,364 in receipts and $86,969,690 in expenditures during the 2016 calendar year. Additional information regarding the campaign finance program begins on page 10
https://cfb.mn.gov/pdf/publications/rep.../annual_reports/2017_annual_report.pdf
Modified: 2018-11-27 Score: 0December 13, 2023 meeting materials
) $50 LFF Original EIS Report due 9/5/2023 and filed 10/3/2023. Ms. Cauble stated she completed the EIS online in July after receiving voicemail from CFB. She thought she submitted it, but it Principal Report due 3/15/2022 and filed 10/3/2023. Former CIO, Paul Lintilhac, resigned from CIO position 10/2020 and was subsequently unaware of day- to-day business activities. Lintilhac stated filing fee for 2019 year-end report of receipts and expenditures Melissa Wagner for Minnesota 23B, $1,000 10. Payment of late filing fee for 2018 year-end report of receipts and expenditures
Regular Session Minutes
1/30/23 and filed 10/25/23. CFB sent multiple letters to an old address where she had not lived in years. Ms. Landwehr-Marshall had provided her current and correct address to the Governor when 2022 EIS Report due 1/30/23 and filed 10/21/23. Mr. Wallner retired from his position on 9/15/22. CFB sent letters to his previous work and email addresses that were not forwarded to him. CFB letter at his home address on 10/19/23 alerting him of the fees, and he promptly sent his EIS to CFB. Mr. Wallner states he will pay the $100 LFF but would like the $1,000 CP waived. RECOMMENDED