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HomeMy WebLinkAbout460 12_22_2022 - 1st PreElection Recipient Committee Campaign Statement - Nathan Steele5 o m m z a O m (Cn Z a o m� m N CD � m �] T G70 O PO C) n -4 m D G Q N N w 7 C co m x a N 3 ❑ A C ❑ ❑❑0 n — v C m 0 0 m � b U7 21 m8 3m tE�N m m c c o phi = 4. O k % a y a " bm _ „� N Q wn 3 mm 0 b (/l C!7 G7 m rt C7 G 3 N 't7 3 x rrpD a3. 3 0. C N ❑ o O Z. 3 o CF } ro c ro Q- ❑ 3 V ❑ x Q ❑ ❑ 0 Q p oo0 fI7 m m n CL m - m � ro ro T b o° W 0 CD .l N 9Y t a p 3 ❑❑ J ICD Q CL A N ND v c: C [D C _. ❑ g R m n O' N ❑N CL 7 47 N q) O CD @ w w CD3 3 .3r m — 5 o m m z a O m (Cn Z a o m� m N CD � m �] T G70 O PO C) n -4 m D G Q N N w 7 C co m x a 0 m m a C L7 2 N O 2 x C m N m 0 O ❑0)cD [3c7 CD a -v �. CD a) N 0 m3 �o 3 Q A. N 3 ❑ ® C ❑ ❑❑0 �� 0000 0 0 m n^y m b U7 21 m8 3m tE�N N� m vm a o phi = 4. O - a 0 � bm 4 „� N Q wn 3 mm 0 b (/l C!7 G7 m rt C7 G 3 N 't7 3 x rrpD a3. 3 0. 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V � z n z a z a z a O '� _ Q T z a a W a Z a K f m m m n m 3 Q m ❑ ❑ -n ❑ p41 p a m p A Q T C1 �. r T T 1, Cn T .r Z -n ` -n T i1 ❑ T n i n x n s n s o❑ '19 s 4 n= z p m o K O 9 0 D 0 Q r❑ m ❑ - m m ❑ A v ❑ v z aQ m = m p U3 m> N !Z ❑ ❑ ❑d o � o m W n n n a oQ a Q 'y o 3 z z z z a— e A L7 O o !G h`' � a D r m N o 0 N m m m m u`i CI a ❑ O 4 a � ;um a v z G O � D T T T 'r . d n m n m n m n m ip m SA a N d (n ❑ co o f 0 c C) c ci c c) c b 100 a.3 ❑_ 3 0 0 0 0 p. m a x ;a m a �� n m m Z m m m m m N -1 z N ■ n o v v Q o■ p0 El El T Z G ❑ 171 ❑ ❑ Ll❑ Ll�p - p m ❑ N c ❑ 1a co ❑ c v NIq c a c �. m x �i 00 o -0 a $o -Da ■ m�mz�m m m an Campaign Disclosure Statement Amounts may be rounded SUMMARY PAGE Summary Page ... Schedule P, Line 4 to whale dollars. 4.881.11 S 20.066.91 Statement covers r U.00 0.00 8- SUBTOTAL CASH PAYMENTS ................. from 10/23/2022 .- • 4,881.11 $ 20,066.91 9, Accrued Expenses (Unpaid Bills) .......................................... Schedule F Line a through 12/17/2022 Page 3 of 8 SEE INSTRUCTIONS ❑N REVERSE ....................... . schedule Cr Line 3 0.00 0.00 9 Lines 8+9+to NAME OF FILER 4,881.11 $ 20.066.91 Current Cash Statement I.D. NUMBER Committee to Elect Nathan Steele Scal Beach City Council 2022 12. Beginning Cash Balance ............................ Previous Summary Page, Line 16 1451857 2,159.20 To calculate Column B, Column A Column B Calendar Year Summary for Candidates Contributions Received TOTA L TH is PER I CD CALENDAR YEAR 000 Running in Both the State Primary and 14- Miscellaneous Increases to Cash .................................. Schedule 1, Line 4 (FROM ATTACHED SCHEDULES) TOTAL TO DATE amounts from Column B 15- Cash Payments .................. ........... Column A. Line 8 above ' 4,881.11 of your last report- Some amounts in Column A may 16. ENDING CASH BALANCE ..................Add Lines 12 + 13 4.14. then+ subtract Line 15 General Elections 1- Monetary Contributions ............................... ................. ... Schedule A, Line 3 $ 1.448.00 $ 2,793.00 should be subtracted from If this is a termination statement. Line 16 5.000.00 21,100.00 111 through 6130 711 to Date 2, Loans Received ...................... __ ...................... Schedule B. Line 3 this is the first report being 17. LOAN GUARANTEES RECEIVED ................................ Schedule B, Parte b 00 448. 23,00 filed for this calendar year. only carry over the amounts from Lines 2, 7. and 9 (if 20. Contributions793 3- SUBTOTAL CASH CONTRIBUTIONS .............................. Add Cines t + 2 $ $ . any). Received S $ 4. Nonmonetary Contributions........... ................................. Schedule C. Cine 3 0'00 0'00 19- Outstanding DebfS.............................. 21. Expenditures 5- TOTAL CONTRIBUTIONS RECEIVED................................Add Lines 3+4 $ 6.448.00 $ 23,793.00 Made $ $ Expenditures Made 6. Payments Made ............................... ... Schedule P, Line 4 $ 4.881.11 S 20.066.91 7, Loans Made ................. ................................................. ... Schedule H. Line 3 U.00 0.00 8- SUBTOTAL CASH PAYMENTS ................. add Lines 6 + 7 $ 4,881.11 $ 20,066.91 9, Accrued Expenses (Unpaid Bills) .......................................... Schedule F Line a 0.00 0.00 10. Non monetary Adjustment ................................ ....................... . schedule Cr Line 3 0.00 0.00 11- TOTAL EXPENDITURES MADE.................................Add Lines 8+9+to $ 4,881.11 $ 20.066.91 Current Cash Statement 12. Beginning Cash Balance ............................ Previous Summary Page, Line 16 $ 2,159.20 To calculate Column B, 13. Cash Receipts_ ............................................ . ...... ..... Column A, Line 3 above 6,448.00 add amounts in Column 000 A to the corresponding 14- Miscellaneous Increases to Cash .................................. Schedule 1, Line 4 amounts from Column B 15- Cash Payments .................. ........... Column A. Line 8 above ' 4,881.11 of your last report- Some amounts in Column A may 16. ENDING CASH BALANCE ..................Add Lines 12 + 13 4.14. then+ subtract Line 15 $ 3.726.09 be negative figures that should be subtracted from If this is a termination statement. Line 16 must be zero- previous period amounts- If this is the first report being 17. LOAN GUARANTEES RECEIVED ................................ Schedule B, Parte $ 0.00 filed for this calendar year. only carry over the amounts from Lines 2, 7. and 9 (if Cash Equivalents and Outstanding Debts 0.00 any). 18- Cash Equivalents........ ........................................ See instructions on reverse 5 19- Outstanding DebfS.............................. Add Line 2 + Line 9 in Column B above S 0'00 Expenditure Limit Summary for State Candidates 22. Cumulative Expenditures Made' (If subject to Voluntary Expenditure Limit/ Date of Election Total to Date {mm/dd/yy} $ $ Amounts in this section may be different from amounts reported in Column B FPPC Form 46011an/2016)) FPPC Advice: advice@fppc.ca.gov (866/275-3772) www.fppc.ca.gov w r� N => z a a m � v a E C a fA fiv E69 m a fl N CD CD Nro m ip m m m CD (n CD y N C C C Q n s? 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