HomeMy WebLinkAboutCampaign Finance Records - Finance report - Friends of Gary Sherwood - 1/29/2016POLITICAL COMMITTEE
CITY OF Glendale
CAMPAIGN FINANCE REPORT
2015 November Special Election
Friends of Gary Sherwood
Full Name of Committee
PO Box #5134
Address
Glendale, 85312-5134 Maricopa 602-625-5098
City ZIP Code County Phone
2 Friends of Gary Sherwood
Sponsoring Organization or Candidate and office
Gary Sherwood
Name of Candidate and Office Sought (if applicable)
gary@friendsofgarysherwood.co
E -Mall Address Fax #
FOR OFFICE USE ONLY
CITY CLERK
CITY OF GLENDALE
2016 JAPE 29 PM 4: 45
3A. ID#
12-08
4. REPORTING PERIOD (Please check appropriate box)
DUE BETWEEN
❑
January 31 Report - For Period of 'thru December 31, 2014 . .......
....... January 1, 2015 and January 31, 2015
❑
June 30 Report- For Period of January 1, 2015 thru May 31, 2015 ...... ....
...... . ..... June 1, 2015 and June 30, 2015
❑
Pre -Election Report - For Period of June 1, 2015 thru October 22, 2015 .
..... . October 23, 2015 and October 30, 2015
❑
Post -Election Report -For Period of October 23, 2015 thru November 23, 2015 .......
. . November 24, 2015 and December 3, 2015
❑1
January 31, Report- For Period of November 24, 2015 thru December 31, 2015 *.
..... January 1, — and January 31,
5. SUMMARY
Column A
Column B
Total This
Election Period
Reporting Period
Total To Date
0
5a Surplus from Previous Campaign (or at time Statement of
Organization was filed for the new committee)
5b Cash on Hand at the Beginning of this Reporting Period
$1467.98
5c Total Receipts (from corresponding columns on Detailed
0
$71360.20
Summary Page, Line 8)
5d Subtotal [add Lines b and c for Column A and add lines
a and c for Column B]
$1467.98
$71360.20
6a Total Debts and Obligations from Previous Campaign Committee at
Beginning of this Election Period (or at time Statement of
Organization was filed for the new committee) [Do not add or
subtract this line from the other lines]
$43.00
$69935.22
6b Total Disbursements (from corresponding columns on
Detailed Summary Page, Line 18)
$1424.98
$1423.98
7. Cash on Hand at Close of Reporting Period [Subtract
Line 6b from Line 5d
*Insert date which is 21 days after date of last election (A. R.S. §16-913).
**This will depend on the year next election is held. The "due between" year will be the year of an election and the date following
"December 31" will be the immediately prior year
Revised 9114
DETAILED SUMMARY PAGE
OF RECEIPTS AND DISBURSEMENTS
1. Committee Name: Friends of Gary Sherwood
3. Report covering period from 11-24-15 Thru 12-31-15
RECEIPTS
4. Contributions other than loans and in-kind:
(a) Individuals - more than $50 (Total from Schedule A)
(b) Individuals - aggregate $50 or less (Total from Schedule A-1)
(c) Political Committees (Total from Schedule B)
(d) Subtotal Contributions [add 4(a), 4(b), and 4(c)]
(e) Refund of contributions (Total from Schedule F-2)
(f) Total Contributions Other than Loans and In-kind [subtract 4(e) from 4(d)]
5. (a) Loans made or guaranteed by candidate (Total from Schedule C)
(b) All other loans (Total from Schedule C-1)
(c) Total Loans [add 5(a) and 5(b)]
6. In-kind contributions (Total from Schedule E)
7. Dividends, interest, and other forms of receipts (Total from Schedule F-1)
8. Total Receipts [add 4(f), 5(c), 6, and 7]
DISBURSEMENTS
Page 2
2. I D#
12-08
COLUMN A COLUMN B
THIS PERIOD CAMPAIGN TO DATE
1 1 $61325.00 1
$8600.00
$1435.20
1 1 $71360.20 1
9. Expenditures for operating expenses (Total from Schedule D)
$43.00
$65499.92
10. Independent Expenditures (Total from Schedule D-1)
11. Value of In-kind expenditures (Total from Schedule E)
$1435.00
12. Loans made by reporting committee (Total from Schedule D-2)
13. (a) Repayment of loans made or guaranteed by candidate (Total from Schedule D-4)
$3000.00
(b) Repayment of all other loans (Total from Schedule D-5)
(c) Total Loan Repayments [add 13(a) and 13(b)]
$3000.00
14. Transfers to other political committees (Total from Schedule D-6)
15. Any other disbursement (Total from Schedule D-7)
16. Subtotal disbursements [add lines 9, 10, 11, 12, 13(c), 14, and 15]
$43.00
$69935.22
17. Rebates, refunds and other offsets to operating expenses (Total from Schedule D-3)
18. Total disbursements [subtract line 17 from line 161
$43.00
$69935.22
19. Total Outstanding Debts ov✓ed by Reporting Candidate or Political Committee (Schedule F-3)
20. 1 certify, under penalty of perjury, that I have examined the contents of this campaign finance report and to the best of my knowledge and belief it is true and
complete.
Gary *herwoo4
Type or P '' tih�Napk of jreabrer
1\
January 29, 2016
Sign re of Trerer or andidate or Designating Individual Date
EXPENDITURES FOR OPERATING EXPENSES` SCHEDULE ❑
1. Committee Name Friends of Gary Sherwood
3. Report covering period from 11-24-15
12-31-15
2. ID#
12-08
4
EXPENDITURES
DATE
AMOUNTOF
EXPENDITURE
THE
NAME ANDADDRESS TO WHOM EXPENDITURE (DISBURSEMENT) WAS MADE
MADE
EXPENDITURE
4a.
NAME, ADDRESS, CITY, STATE AND ZIP
City of Glendale
C
12-4-2015
$10.00
5850 W. Glendale Ave
Glendale, AZ 85301
DESCRIPTION OF ITEMS OR SERVICES PURCHASED
Late Filing Fee
4b.
NAME, ADDRESS, CITY, STATE AND ZIP
USPO
12-30-15
$33.00
5955 W. Peoria Ave
Glendale, AZ 85302
DESCRIPTION OF ITEMS OR SERVICES PURCHASED
Six Month Rental Renewal of PO Box
4c.
NAME, ADDRESS, CITY, STATE AND ZIP
DESCRIPTION OF ITEMS OR SERVICES PURCHASED
4d.
NAME, ADDRESS, CITY, STATE AND ZIP
DESCRIPTION OF ITEMS OR SERVICES PURCHASED
4e.
NAME, ADDRESS, CITY, STATE AND ZIP
DESCRIPTION OF ITEMS OR SERVICES PURCHASED
Alf,
NAME, ADDRESS, CITY, STATE AND ZIP
DESCRIPTION OF ITEMS OR SERVICES PURCHASED
5
ENTER TOTAL ONLY IF LAST PAGE OF SCHEDULE D [If last page of Schedule D, transfer total to Detail Summary Page Line
9, Column A]
$43.00
*Expenditures, other than a contract, promise or agreement to make an expenditure resulting in credit
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