[Code of Federal Regulations]
[Title 11, Volume 1]
[Revised as of January 1, 2002]
From the U.S. Government Printing Office via GPO Access
[CITE: 11CFR9008.10]

[Page 241-244]
 
                       TITLE 11--FEDERAL ELECTIONS
 
                 CHAPTER I--FEDERAL ELECTION COMMISSION
 
PART 9008--FEDERAL FINANCING OF PRESIDENTIAL NOMINATING CONVENTIONS--Table of Contents
 
Subpart A--Expenditures by National Committees and Convention Committees
 
Sec. 9008.10  Documentation of disbursements; net outstanding convention expenses.

    The convention committee must include as part of the evidence of 
convention expenses the following documentation:
    (a) For disbursements in excess of $200 to a payee, either:
    (1) A receipted bill from the payee that states the purpose of the 
disbursement; or
    (2) If such a receipted bill is not available, the following 
documents;
    (i) A canceled check negotiated by the payee; plus
    (ii) One of the following documents generated by the payee--a bill, 
invoice, voucher or contemporaneous memorandum that states the purpose 
of the disbursement;
    (iii) Where the documents specified at paragraph (a)(2)(ii) of this 
section are not available, a voucher or contemporaneous memorandum from 
the committee that states the purpose of the disbursement;
    (3) If neither a receipted bill nor the supporting documentation 
specified in paragraph (a)(2) (ii) or (iii) of this section is 
available, a canceled check negotiated by the payee that states the 
purpose of the disbursement.
    (4) Where the supporting documentation required above is not 
available, the committee may present a canceled check and collateral 
evidence to document the convention expense. Such collateral evidence 
may include but is not limited to:
    (i) Evidence demonstrating that the disbursement is part of an 
identifiable program or project which is otherwise sufficiently 
documented, such as a disbursement which is one of a number of 
documented disbursements relating to the operation of a committee 
office;
    (ii) Evidence that the disbursement is covered by a preestablished 
written committee policy, such as a daily travel expense policy.
    (b) For all other disbursements:
    (1) If from the petty cash fund, a record that states the full name 
and mailing address of the payee and the amount, date and purpose of the 
disbursement; or
    (2) A canceled check which has been negotiated by the payee and 
states the identification of the payee, and the amount and date of the 
disbursement.
    (c) For purposes of this section, payee means the person who 
provides the goods or services to the committee in return for the 
disbursement, except that an individual will be considered a payee under 
this section if he or she receives $2,000 or less advanced for travel 
and/or subsistence and if he or she is the recipient of the goods or 
services purchased.
    (d) For purposes of this section, the term purpose means the full 
name and mailing address of the payee, the date and amount of the 
disbursement, and a brief description of the goods or services 
purchased.
    (e) Upon the request of the Commission the convention committee 
shall supply an explanation of the connection between the disbursement 
and the convention.

[[Page 242]]

    (f) The committee shall retain records with respect to each 
disbursement and receipt, including bank records, vouchers, worksheets, 
receipts, bills and accounts, journals, ledgers, fundraising 
solicitation material, accounting systems documentation, and any related 
material documenting campaign receipts and disbursements, for a period 
of three years pursuant to 11 CFR 102.9(c), and shall present these 
records to the Commission on request.
    (g) Net outstanding convention expenses. A convention committee that 
is eligible to receive payments under 11 CFR 9008.3 shall file, no later 
than sixty days after the last day of the convention, a statement of 
that committee's net outstanding convention expenses. The convention 
committee shall file a revised statement of net outstanding convention 
expenses which shall reflect the financial position of the convention 
committee as of the end of the ninth month following the last day of the 
convention. The revised statement shall be filed no later than 30 
calendar days after the end of the ninth month following the last day of 
the convention, and shall be accompanied by the interim repayment, if 
required under 11 CFR 9008.12(b)(5)(ii). The committee's net outstanding 
convention expenses under this section equal the difference between 
paragraphs (g) (1) and (2) of this section:
    (1) The total of:
    (i) All outstanding obligations for convention expenses as of 45 
days after the last day of the convention; plus
    (ii) An estimate of the amount of convention expenses that will be 
incurred after the 45th day and before the end of the ninth month 
following the last day of the convention; plus
    (iii) An estimate of necessary winding down costs; less
    (2) The total of:
    (i) Cash on hand as of 45 days after the last day of the convention, 
including: all receipts dated on or before that date; currency; balances 
on deposit in banks, savings and loan institutions, and other depository 
institutions; traveler's checks; certificates of deposit; treasury 
bills; and any other committee investments valued at fair market value;
    (ii) The fair market value of capital assets and other assets on 
hand; and
    (iii) Amounts owed to the committee in the form of credits, refunds 
of deposits, returns, receivables, or rebates of convention expenses; or 
a commercially reasonable amount based on the collectibility of those 
credits, returns, receivables or rebates.
    (3) The amount submitted as the total of outstanding convention 
obligations under paragraph (g)(1) of this section shall not include any 
accounts payable for non-convention expenses nor any amounts determined 
or anticipated to be required as a repayment under 11 CFR 9008.12 or any 
amounts paid to secure a surety bond under 11 CFR 9008.14(c).
    (4) Capital assets. For purposes of this section, the term capital 
asset means any property used in the operation of the convention whose 
purchase price exceeded $2000 when acquired by the committee. Property 
that must be valued as capital assets under this section includes, but 
is not limited to, office equipment, furniture, vehicles and fixtures 
acquired for use in the operation of the convention, but does not 
include property defined as ``other assets'' under 11 CFR 9008.10(g)(5). 
A list of all capital assets shall be maintained by the committee, which 
shall include a brief description of each capital asset, the purchase 
price, the date it was acquired, the method of disposition and the 
amount received in disposition. The fair market value of capital assets 
may be considered to be the total original cost of such items when 
acquired less 40%, to account for depreciation. If the committee wishes 
to claim a higher depreciation percentage for an item, it must list that 
capital asset on the statement separately and demonstrate, through 
documentation, the fair market value of each such asset.
    (5) Other assets. The term other assets means any property acquired 
by the committee for use in raising funds or as collateral for loans. 
``Other assets'' must be included on the committee's statement of net 
outstanding convention expenses if the aggregate value of such assets 
exceeds $5000. The value of ``other assets'' shall be determined by the 
fair market value of each item as

[[Page 243]]

of 45 days after the last day of the convention, unless the item is 
acquired after this date, in which case the item shall be valued on the 
date it is acquired. A list of other assets shall be maintained by the 
committee, which shall include a brief description of each such asset, 
the fair market value of each asset, the method of disposition and the 
amount received in disposition.
    (6) Collectibility of accounts receivable. If the committee 
determines that an account receivable of $500 or more, including any 
credit, refund, return or rebate, is not collectible in whole or in 
part, the committee shall demonstrate through documentation that the 
determination was commercially reasonable. The documentation shall 
include records showing the original amount of the account receivable, 
copies of correspondence and memoranda of communications with the debtor 
showing attempts to collect the amount due, and an explanation of how 
the lesser amount or full write-off was determined.
    (7) Winding down costs. The term winding down costs means:
    (i) Costs associated with the termination of the convention such as 
complying with the post-convention requirements of the Act and other 
necessary administrative costs associated with winding down the 
convention, including office space rental, staff salaries and office 
supplies; and
    (ii) Costs incurred by the convention committee prior to 45 days 
after the last day of the convention for which written arrangements or 
commitment was made on or before that date.
    (8) Review of convention committee statement. The Commission will 
review the statement filed by each convention committee under this 
section. The Commission may request further information with respect to 
statements filed pursuant to 11 CFR 9008.10 during the audit of that 
committee under 11 CFR 9008.11.
    (h) Production of computer information--(1) Categories of 
computerized information to be provided. If the convention committee 
maintains or uses computerized information containing any of the 
categories of data listed in paragraphs (h)(1)(i) through (h)(1)(iv) of 
this section, the committee shall provide computerized magnetic media, 
such as magnetic tapes or magnetic diskettes, containing the 
computerized information at the times specified in paragraph (h)(2) of 
this section:
    (i) Information required by law to be maintained regarding the 
committee's receipts or disbursements;
    (ii) Records used to reconcile bank statements;
    (iii) Records relating to the acquisition, use and disposition of 
capital assets; and
    (iv) Any other information that may be used during the Commission's 
audit to review the committee's receipts, disbursements, loans, debts, 
obligations, or bank reconciliations.
    (2) Time for Production. If the committee maintains or uses 
computerized information containing any of the data listed in paragraph 
(h)(1) of this section, the Commission generally will request such 
information prior to commencement of audit fieldwork. Such request will 
be made in writing. The committee shall produce the computerized 
information no later than 15 calendar days after service of such 
request. During or after audit fieldwork, the Commission may request 
additional or updated computerized information which expands the 
coverage dates of computerized information previously provided. During 
or after audit fieldwork, the Commission may also request additional 
computerized information which was created by or becomes available to 
the committee that is of assistance in the Commission's audit. The 
committee shall produce the additional or updated computerized 
information no later than 15 calendar days after service of the 
Commission's request.
    (3) Organization of computerized information and technical 
specifications. The computerized magnetic media shall be prepared and 
delivered at the committee's expense and shall conform to the technical 
specifications, including file requirements, described in the Federal 
Election Commission's Computerized Magnetic Media Requirements for Title 
26 Candidates/Committees Receiving Federal Funding. The data contained 
in the computerized magnetic media provided to the Commission shall be 
organized in the order specified by the

[[Page 244]]

Computerized Magnetic Media Requirements.
    (4) Additional materials and assistance. Upon request, the committee 
shall produce documentation explaining the computer system's software 
capabilities, such as user guides, technical manuals, formats, layouts 
and other materials for processing and analyzing the information 
request. Upon request, the committee shall also make available such 
personnel as are necessary to explain the operation of the computer 
system's software and the computerized information prepared or 
maintained by the committee.