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HomeMy WebLinkAboutSALVAGGIO PREELEC98(2) rficeho!der, Candidate, and Controlled Committee Campaign Statement - Long Form (Government Code Sections 84200-84216.5) SEE INSTRUCTIONS ON REVERSE Check one of the following boxes to indicate the type of statement being flied: tPre-election Statement Supplemental Pre-election Statement (Attach a completed Form 495 to this statement,) '] Special Odd-Year Campaign Report 'l Semi-annual Statement Type or print In ink. III Termination Statement (Attach a completed Form 415 to this statement.) ,~...;~J..~,i..%%%~..~..~:~t.d co.,,o,,.. F ~ ~ ~ (I~L~( L~T~ A~ DST~ N~A~ILE) 22/3 ~d~/~ J l)k/'u ~ COMMI AME .o. Nu~eEa C~ COVER PAGE - LONG FORM Statement covers period Date Stare p .. , : ,-/ol/hs ...0.,. ,o/,77~ / FILE C Date of election if applicable~, ~ F'~T 29 DM L~: ~'* For Official Use Only (Month, Day, Year) "" ' ~ ! ' II uther Committees I~lot Included in this Statement: Li. anyothe, committees not included in this conso~da ted sta tamant that are controlled by you and any committees of which you have knowledge that are primarily formed to receive contributions or to make expenditures on behalf of your candidacy. COMMITTEE NAME (NO. AND STREET) CITY STATE ZIP CODE AREA CODE/DAYTIME PHONE NAME OF TREASURER Jl.D. NUMBER CONTROtLED COMMITrEET ] ,Es [] ,o STATE ZIP CODE AREA CODFjI)AYTIME PHONE I.D, NUMBER CONTROLLED COMMITTEE ? ~ II "~ Verification "" "" ':' ':. :: :7 '"' ' "''' '" .':' ': '"' "'"' An offke~r ~ cantata w~ c~tr~s · cmmi~ee mint also verify ~ camden sMtemem. I ha ve u~ all reamnebM diligence and to the N~ of my k n~l~ge the treasurer has us~ all teachable dilige~e in prepring this ~atement. I have review~ the statement and to the ~ of my kn~l~ge the information contained herein end in the a~ached ghedules is true and , .~,, ..d, ...,~ o, .,i.~ .. , ~h.t., ~, "'f0'"" ,h., ~h. ,o,..o,... ,,....d .o,,. , 7/I E xecut~ On At By DATE CffY A~ STATE SIGNATURE ~ ~N~AIE~FF~E~R Executed on At By CffY AND STATE SIGNATURE OF {ANDIDATEI~F~EHOtDER FOR INF~MATI~ RETIRED TO BE PROVIDED TO YOU RURSUANT TO THE tNFOffiAT~ ~[~ A~ ~ 1977, ~EE INFORMATION MANUAL ON CAMPAIGN DI$(LOSURE PROVISOS OF THE POLItiCAL REFORM ACT Campaign Disclosu re Statement Type orprintin ink. SUMMARY PAGE Amounts may be rounded Summary Page to whole dollars. jtatementcovers fro /4~//~ ContributiOns Received · / 1. Monetary Contributions ............................... schedule A LIne 2. Loans Re~ei ved ......................................... schedule II, Ltne 3. SUBTOTAL CASH CONTRIBUTIONS ...................... AddUnes I + 4. Non-monetary Contri butions ......................... Schedule C, Line 5. SUBTOTAL CONTRIBUTIONS (Exdude Enforceable Promises) Add LineS 3 + 6. Enforceable Promises (Exdude Loan Guaranlees, Line18 below) ................... Schedule D, Une 7 7. TOTAL CONTRIBUTIONS RECEIVED ..................... AddUnesS + Expenditures Made 8. Cash Payments (Other than Loans Made) ............ S<hedule E, Une S 9. LOans Made ............................................. Sr~,dule H, Une 7 10. SUBTOTAL CASH PAYMENTS ............................ AddLines8 ,, 9 11. Accrued Expenses (Unpaid Bills) ........................ Sd~edule F, Une ~ 12. TOTAL EXPENDITURES MADE ......................... AddUnes10+ ~ Current Cash Statement 13. Beginning Cash Balance .................. Previous Surnrnary Page, fine 17 14. Cash Receipts ......................................ColumnA, Ijne3above 15. Mis<ellaneous Increases to Cash ........................schedule I, Line 4 16. Cash Payments ....................................Column A, Line I0 above 17. ENDING CASH BALANCE ..... AddLines13 + I4 + 15, thensubtre~t Line 16 fi thiS iS a terminalton statement, Line 17 mull he zero. Column A Column B* Column C TOTAL THIS PENOD TOTAL PREVIOUS PERIOD TOTAL TO DATE (FROM ATTACHED SCHEDULES) (SEE NOTE IELOW) (ADD CO{UMNS A + l) $ ~/oo ~* s 1~5'.,Z5.°~- s27~d2,5'°--~' -- o - --o-- --O-- s ~100 oj, s /~/;~5"~ sq/lOe e2 s1~2523 ~_~os ~7,~25 ~ / '-- c:> -" ---~ --- --0 -- 18. LOAN GUARANTEES RECEIVED .............. schedule B, Patti, ColumnCo) Cash Equivalents and Outstanding Debts 19. Cash Equivalents ................................ $eeinslructionsoflreverse 20. Outstanding Debts ................. AddLine2 + Line I1 inColumnCabove ,7 ,7c/7 ,2 , s 7./;'97 --s 2 ~ ¢ ~ this is the first report filed for the calendar year. Column B should be 7___~,~ 6), Loans Made (Line 9), and Accrued Expenses (Line 11). $ , 0 , ' .... Summary for Candidates in Both June and .o..c~......~.. November Elections NOT I( A NEGATIVE AMOUNT 111 through 6/30 711 tO Date S ~- C~ '~ 21. ontrib tions S "' (5 " 22. Ex nditures M~er ....... s .,, Schedule A Monetary Contributions Received Type or print in ink. Amounts may be rounded to whole dollars. SEE INSTRUCTIONS ON REVERSE 0/,- / FU~I NAME OCCUPATION AND EMPLOYE'R DATE (ff COMMIll'EEo IN ADDITION TO COMMITTEE'S NAME AND ADDRESS, ENTER I.O NUMBER (IF SEtF-EMPI. OYED, ENTER RECEIVED oR. IF NO I.D. NUMBER HAS BEEN ASSIGNED, ENTER TRtASURER'S NAME A, ND ADDRESS) NAME O~ BUSINESS) SCHEDULEA st.,m..t,o..,,pe,,o,: ;,::ji!. :'G;~';~! "i' ;:~ , ? AMOUNT CUMULATIVE TO DATE RECEIVED THIS CALENDAR YEAR PERIOD (JAN, 1 - DEC. 31) Monetary Contributions Summary 1. Amount received this period -- contributions of $100 or more. (Include all Schedule A subtotals.) .................................................................................................... 2. Amount received this period -- contributions of less than $100. (Do not itemize.) ....................................................................................................................... 3. Total monetary contributions received this period. (Add Lines 1 and 2. Enter here and on the Summary Page, Column A, Line 1 .) ...................................... TOTAL CUMULATIVE TO DATE OTHER (IF APPLICABLE) Schedule A (Continuation Sheet) Monetary Contributions Received Type or print in ink, Amounts may be rounded to whole dollars, 'FULL NAME AND AD CONTRIBUTOR OCCUPATION AND EMPLOYER DATE (iF COMMfi"rEE, IN ADDfflON TO COMMfiTEE'S NAME AND ADDRIS$, ENTER I,D. NUMBER (IF SELF-EMPLOYED, ENTER RECEIVED OR. iF NO I.D. NUMIER HAS liEN ASSIGNED, ENT[R TREASURER'S NAME AND ADDRESS) NAME Of BUSINESS) SCHEDULE A (cont.) Statement covers period [/...-~: · I.D. NUMBER AMOUNT CUMULATIVE TO DATE CUMULATIVE TO DATE RECEIVED THIS CALENDAR YEAR OTHER PERIOD (JAN. I - DEC. 31) (IF APPLICABLE) Schedule A (Continuation Sheet) Monetary Contributions Received Type or print in ink. Amounts may be rounded to whole dollars, NAME OF OFFICEHOLDER OR CANDIDATE AND CONTROLLED COMMITTEE {' v ~ , / 0 T"~I,-- L /'?f,,V '-,--- ~ FULL D ADDRESS OF CONTRIBUTOR DATE (IF COMMITFEE, IN ADDITION TO COMMITTEE'S NAME AND ADDRESS, ENTER I.D. NUMBER RE CE IVE D O~ IF NO I.D. NUMIER HAS IEEN ASSIGNED, ENTER TREASURER'S NAME AND ADDRESS) / ,r'~, ./ vt / ~-/ / OCCUPATION AND EMPLOYER (IF SELF-EMPLOYED, ENTER NAME OF BUSINESS) -.-_ / ' , 4. r:. ,-?-/ / :~v~30~,~' 7k.~k~/' SUBTOTAL $ '7 SCHEDULE A (cont.) Page. 5 ot ? I.D. NUMBER ~5 ~ ~' Z 5 AMOUNT CUMULATIVE TO DATE RECEIVED THIS CALENDAR YEAR PERIOD (JAN. 1 - DEC, oG CUMULATIVE TO DATE OTHER (IF APPLICABLE) Schedule E Payments and Contributions (Other Than Loans) Made SEE INSTRUCTIONS ON REVERSE NAME OF OFFICEHOLDER OR CANDIDATE AND CONTROLLED COMMITTEE Type or print in ink, Amounts may be rounded to whole dollars. · CODES FOR CLASSIFYING/EXPENDITURES through SCHEDULE E Page ~ of C/ I,D. NUMBER If one of the following codes accurately describes the expenditure, ou may enter the code and leave the "Description of Payment' column blank, Refer to the back of Schedule E-Continuation Sheet for detailed explanations otYecach category, 'C'- MONETARY AND IN-KIND (NON-MONETARY) 'B' - CONTRIBUTIONS TO OTHER CANDIDATES 'N" - AND COMMITTEES 'O ' - INDEPENDENT EXPENDITURES 'S' - LITE RAT URE ' F ' - BROADCAST ADVERTISING "G" - NEWSPAPER AND PERIODICAL ADVERTISING "T" - OUTSIDE ADVERTISING SURVEYS, SIGNATURE'GATHERING, DOOR-TO-DOOR SOLICITATIONS 'P' ' FUNDRAISING EVENTS GENERAL OPERATIONS AND OVERHEAD TRAVEL, ACCOMMODATIONS AND MEALS (MUST BE DESCRIBED) PROFESSIONAL MANAGEMENT AND CONSULTING SERVICES NAME AND ADDRESS OF PAYEE, CREDITOR, OR RECIPIENT OF CONTRIBUTION IMPORTANT: DO NOT ITEMIZE THE PAYMENT OF ACCRUED EXPENSES ON SCHEDULE E. (if COMMITTEE, IN ADDITION TO COMMITTEE'S NAME AND ADDRESS, ENTER I.D. NUMIER OR, IF NO I.O. RE PORT ONLY THE LUMP SUM OF SUCH PAYME NTS ON LINE 4 OF THE SUMMARY SECTION BELOW. NUMBER HAS BEEN ASSIGNED, ENTER TREASURER'S NAME AND ADDRESS) CODE OR DESCRIPTION OF PAtMENT AMOUNT PAID . /_ /o ,,,'/. Payments and Contributions Made Summary 1. Payments made this period of $100 or more. (Include all Schedule E subtotals.) - 2. Payments made this period of under $100. (Do not itemize.) ....................................................................... 3. Total interest paid this period on outstanding loans. (Enter amount from Schedule B, Part II, Column (d).) .............................. 4. Total accrued expenses paid this period. (Do not itemize. Enter amount from Schedule F, Line 4.) ..................................... 5. Total payments made this period. (Add Lines 1, 2, 3, and 4. Enter here and on the Summary Page, Column A, Line 8) ........... TOTAL Schedule E (Continuation Sheet) Payments and Contributions (Other Than Loans) Made Type or print in ink. Amounts may be rounded to whole dollars. SEE INSTRUCTIONS ON REVERSE NAME OF OFFICEHOLDER OR CANDIDATE AND CONTROLLED COMMITTEE CODES FOR CLASS:FYI~N~EXPENDITURES C' t SCHEDULE E (cont.) Statement covers period . 'C" - MONETARY AND IN-KIND (NON-MONETARY) CONTRIBUTIONS TO OTHER CANDIDATES AND COMMITTEES "1" -- INDEPENDENT EXPENDITURES "L"- LITERATURE 'B' -- BROADCAST ADVERTISING "N' - NEWSPAPER AND PERIODICAL ADVERTISING °O' - OUTSIDE ADVERTISING "S" - SURVEYS, SIGNATURE GATHERING, DOOR-TO-DOOR SOLICITATIONS °F" - FUNDRAISING EVENTS NAME AND ADDRESS OF PAYEE, CREDITOR, OR RECIPIENT OF CONTRIBUTION (IF COMMII'rEE, IN ADDITION TO CO MMITrEE'S NAME AND ADDRESS, ENTER I.D. NUMBER Oeb IF NO I.D NUMIER HAS BEEN ASSIGNED, EIDER TREASURER'S NAME AND ADDRESS) "G'-- GENERALOPERATIONSANDOVERHEAD "T' - TRAVEL, ACCOMMODATIONS AND MEALS (MUST BE DESCRIBED) "P'- PROFESSIONAL MANAGEMENT AND CONSULTING SERVICES CODE OR DESCRIPTION OF PAYMENT AMOUNT PAID Sch ed u leE Type m' print in ink. SCH E DU LEE (cont.) (Other Than Loans) Made CUu'i:5'I-UR CLASSIFYING EXPENDITURES °B° - BROADCAST ADVERTISING °N" - NEWSPAPER AND PERIODICAL ADVERTISING '0' - OUTSIDE ADVERTISING "S"- SURVEYS, SIGNATURE GATHERING, DOOR-TO-DO OR SOLiCiTATiONS 'F' - FUNDRAISING EVENTS 'G' -- GENERAL OPERATIONS AND OVERHEAD 'T' - TRAVEL, ACCOMMODATIONS AND MEALS (MUST BE DESCRIBED) 'P" - PROFESSIONAL MANAGEMENT AND CONSULTING SERVICES ; 'C' - MONETARY AND IN-KIND (NON-MONETARY) CONTRIBUTIONS TO OTHER CANDIDATES AND COMMITTEES '1' - INDEPENDENT EXPENDITURES eL'- LITERATURE NAME AND ADDRESS OF PAYEE, CREDITOR, OR RECIPIENT OF CONTRIBUTION (tl COMMITTEE, IN AIX)fflON TO CO MMIlrtE[°$ NAME AND AODRESS. Effi'iR 1.0. NUMIER OR, ff NO I.O. MUMIER HAS IEEN A$~I6NED, INFER TREA~,URER'S NAME ANO AIDI)eISS) CODE OR DESCRIPTION OF PAYMENTi AMOUNT PAID '... L , Z, 2 0 ~ . Z, / SCHEDULE I Schedule I Miscellaneous Increases to Cash SEE INSTRUCTIONS ON REVERSE DATE FULL NAME AND ADDRESS OF SOU RECEIVE D 0F COMMI~E~, IN ADORN TO COMM~EE'S ~ME AND ADDRESS, ENTER I.D. NUMBER ~ IF ~ LO. NUMBER HAS BEEN ASSIGNED. E~ER TEASUe~R'S NAME A~ A~RES$) Type or print in ink. Amounts may be rounded to whole dollars. I.D. NUMBER DESCRIPTION OF RECEIPT AMOUNT OF INCREASE TO CASH Attach additional information on appropriately labeled continuation sheets. SUBTOTAL $ Miscellaneous Increases to Cash Summary 1. Increases to cash of $100 or more this period ............................................................. 2. Increases to cash under $100 this period. (Do not itemize.) ................................................. 3. Total of all interest received this period on loans made to others. (Schedule H, Part II (b).) .................... 4. Total miscellaneous increases to cash this period. (Add Lines 1, 2, and 3. Enter here and on the Summary Page, Line 15.) ....................................................................... TOTAL