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HomeMy WebLinkAboutROWLES SEMIANN99(2) ecipient Committee campaign Statement (Government Code SeclJ~s 84200-84216.5) Type or print In ink. SEE INSTRUCTIONS ON REVERSE Statement covefa period 1. Type of Recipient Committee: AIICommittee~-CompletePartal, 2,3, and7. [] Officeholder. Candidate Controlled Committee (Also Complete p~f 4.) [] Ballot Measure Committee 0 Primarily Formed 0 Controlled O Sponsored (A/so Comp/eta Par~ 5.) [] Primarily Formed Candidate/ Officeholder Committee (A/so coe'~leta Part 6.) [] General Purpose Committee O Sponsored O Broad Based 3. Committee Information COMM FITE E NAME Date of eMcfion If applicable: (Mo~th, Day. Year) 0 0 Randy Rowles for City Council STREET ADORESS (NO P.O BOX) 901 ~,bhawk Street ~51 C~'Y STATE ZIP CODE Bakersfield. CA 92.309 MAILING ADDRESS (IF DIFFERENT) NO. AND STREET OR P.Q BOX AJREA COOE./PHONE (661) 392-7000 Dale Slamp COVER PAC~ Page I of _:,~._~ For Oflk:~ Use O~y 2. Type of Statement: [-] Pre-election Statement [:~Semi-annual Statement [] Termination Statement [] Amendment (Explain below) [] Quartedy Statement [] Special Odd-Year Report [] Supplemental Pre-election Statement - Attach Form 495 Treasurer(s) NAME O~ TREASURER ~o'~ ]:) Kelly, CPA MAILING A~RESS 5531 Business Park South, Suite 250 cnw STATE Z'" CODE ARE^ COO~.ONE Bakersfield, CA 93309 (661) 325-5115 NAME OF ASSISTANT TREASURER. IF ANY [MAILING AD[:~ES S CiTY STATE ZIP CODE AREA CODE/PHONE (661) 325-3427 OPTIONAL: FAX/E-MAIL ADDRESS C~TY STATE ZIP CODE AREA COD¢-/PHONE OPTIONAL: FAX / E-MAIL ADOf:iESS FPPC Form 460 (8/99) For Technical Aaslatance: 916~3~2-5660 Slate of California Recipient Committee Campaign Statement Cover Page -- Part 2 Type or print in ink. COVER PAGE - PART 4. Officeholder or Candidate Controlled Committee NA~E OF OFFICEHOLDER OR CANDIDATE Randy Rowles O~ICE SOUGHT OR HELD (~ICLUO~ LOCAT K)N AND DISTRICT NUMSER ~ APM. ICASLE) Bakersfield City Council - Ward 5 R E S IO~HT [a,L~BUS Related Committees Not Included in this Stateme~lt: LImt,.ycomml~r,,, CC~4MI3-I~ E NAME I.D. NUMBER P~nd¥ Rowles ~o~ C±~y Co~m¢±~- O££ice Holde~ Account 930503 NAME CE TREASURER CONTROLI FD COMMITTEE'/ Shawn P. Kelly, CPA [] YES [] NO 901 .~.bhawk St~-~'~t ~-'51 cra( STATE Z'P CODE Bakersfield, CA 93309 7. Verification 5. Ballot Measure Committee NAME OF 8AM.OT MEASURE BALLOT NO, OR LETTER JURISDICTION ~[~1 SUPPORT OPPOSE IdenUly Ihe conl~olling officeholder, candidate, or slate measure proponent, if any. NAME CE OFFICEHOLDER, CANDIDATE. OR PROPONENT OFFICE SOUCq-r~ ~ HELD DISTRICT NO. IF ANY 6. Primarily Formed Committee L,,,~o~,~ o~o~,~.ho,de~(m; for which thll comml~ee II primarily formed. (661) 392-70OO Attach con~nuation sheets # necessaq/ N~E OF OFFICEHOLDER OR CANDIDATE OFFICE SOUC~tT OR HELD [] SUPPORT [] OPPOSE OFFICE S(~JC~T OR HELD [] SUPPORT [] oPPOSE OFF~CE SOU~NT OR H~ []SUPPORT []OPPOSE have used all reasonable diligence in preparing and reviewing this statement and iD the best of my knowledge the information contained herein and in the attached schedules is true and complete. I cerl~fy under penal~y of perjury under fhe laws of the Stale o! California that the foregoing is true and correct. x.ut . Executed on i/~ Z~ ~O Execuled on Executed on DATE By By FPPC Form 460 (8/99) For Technical Alllltance: 916/322-5660 State of California Campaign Disclosure Statement Summary Page SEE INSTRUC~ONS ON REVERSE NAME OF FILER Typo or print in Ink. Amounts may bo rounded to whole dollors. ement covers period q/ /q9 Randy Rowles for City Council Contributions Received 1. Moneta~7 Contributions ...................................................... ScheduleA. Line 2. Loans Received ................................................................... Schedule B. Line 3. SUBTOTAL CASH CONTRIBUTIONS ................................... Add Lines t + 4. Nonmonetary Contributions ............................................... Schedule C. Line 5. TOTAL CONTRIBUTIONS RECEIVED .................................... AddLines3.4 Expenditures Made 6. Payments Made .................................................................... Sc, edule E. Line 7. Loans Made .......................................................................... Schedule H. Line 8. SUBTOTAL CASH PAYMENTS ................................................ Add tines S · 9. Accrued Expenses (Unpaid Bills) ............................................ Schedule F. Line 10. Nonmonetary Adjuslmenl .......................................................Sc/~eduie C. Dna 11. TOTAL EXPENDITURES MADE ......................................... ,4dd Lines S ·; + tO Current Cash Statement 12. Beginning Cash Balance ................................ Previous Summary Page. Line 16 $ 13. Cash Receipts .............................................................. Column A. Line 3 above 14. Miscellaneous Increases to Cash ....................................... Schedule I. Line 4 15. Cash Paymenls ............................................................ Column A. Line S above ! 6. ENDING CASH BALANCE .............. Add Lines 12 ~ IS , t4. then Subtract Line 15 S If this iS a termination slatemenl. Line 16 musl be zero. I.D. NUMBER 930503 Column A Column B° Column C [ lnLo. Lo' s s 533. @q 30.87 Sq · From previous slalemenl Sumrr~ary Page. Column C However. if this is Ihs firsl tepod filed for the calendar year. Column B should be blank excepl for Loans Received (Line 2). Loans Made {Line 7}, and Accrued Expenses (Uae 9). Summary for Candidates in Both June and November Elections 17. LOAN GUARANTEES RECEIVED ................... $chedute S, Par1 I. Column (b) Cash Equivalents and Outstanding Debts 18. Cash Equivalents ..................................................... See instructions on reverse 19. Outslanding Debls ................................... Add Line 2 + Line 9 in Column C above I/I through 6/30 20. Conlributions Received ............S _. 21. Expenditures Made .................. ?/11o Dale FPPC Form 460 (8/99) For Technical Assistance: 916/~22-5660 Schedule E Payments Made Type or print In Ink. Amounts may be rounded to whole dollars. SEE INSTRUC'nONS ON REVERSE NAME OF F1LER Randy Rowles for City Council through I.D. NUMBER 930,503 CODES: If one of the following codes accurately describes the payment, you may enter the code. Otherwise, describe the payment. DFC office expenses PET peli~,n circuiadng PHO pixie banks POL polling and survey research POS postage, delivery and messenger servk:es PRO profession=l sen~ices (legal. accounting) PRT print ads RAD radio a/trims and produc~on costs RFD relumed co~tribulio~s SAL campaign wooers satades TEL t.v. ~ cable aidime and production costs TRC carxf~date travel, kxlging and meals (explain) TRS stall/spouse travel, lodging and meaJs (explain) TSF transfer behveen committees of t~e same candidate/sponsor VDT ~voler registra~on WEB i~lormation technology costs (~ntemet. e.mail) NAME ANO ADDRESS OF PAYEE OR CREDITOR P~ CO'~e. eTTE S. ALSO E NTE R ~ D .'e. JM~ E R) CODE OR DESCRIPTIONOFPAYMENT AMOUNT PAID · Paymants that ars comributions or Independent expenditures must also be summarized on Schedule D. SUBTOTAL $ ~ ,~C). ~)<~ Schedule E Summary 1. Paymenls made Ihis period of $100 or more. (Include all Schedule E subtotals.) ............................................................................................... $ 2. Unilemized payments made Ihis period of under $100 ................. $ ! ! I_~. ~ _ 3. Total interest paid this period on outstanding loans. (Enter amount from Schedule B, Part 2, Column (d).) - 4. Total payments made this period. (Add Lines 1, 2, and 3. Enter here and on the Summary Page, Column A, Line 6.) ......................... TOTAL $ ,550. FPPC Farm 460 (8/99) For Technical Assistance: g16/322-5660 Schedule I Miscellaneous Increases to Cash Typo or print In Ink. Amounts may be rounded rD whole dollars. SEE INSTRUCTIONS OH REVERSE NAMEOF~LER Randy Bo~les for City Council OATE RECEIVED FUU. NAME AHD ADDRESS OF SOURCE from DE$CRIP~ION OF RECEIPT 930503 At~OUHT OF INCREASE TO CASH Attach additional infon~ation on appropriately labeled continuation sheets. SUBTOTAL $ Schedule I Summary 1. increases to cash of $100 or more this period ........................................................................................................... $ 2. Unitemized increases to cash under $100 this period ............................................................................................... $ - 3. Total ot aLL interest received this period on Loans made to others. (Schedule H, Part 2 (b).) ................................. $ 4. Total miscellaneous increases to cash this period. (Add Lines 1, 2, and 3. Enter here and on Ihe Summary Page, Line 14.) ........................................................................................................................... TOTAL $ 3o.97 3~.<~7 FPPC Form 460 For Technical Asalstanca: 916/322-S$60