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Leonard Hale - 1987/09/20 - 1987/10/17 FORM 490 1987 CHECK ONE OF THE FOLLOWING BOXES TO INDICATE THE TYPE OF STATEMENT BEING FILED. o PRE. ELECTION STATEMENT 0 SUPPLEMENTAL PRE.ELECTION o SEMI-ANNUAL STATEMENT STATEMENT (If filing a Supplemental Pre.Elecllon Statement. you must complete Form 495 and attach it to this statement.) CANDIDATE AND OFFICEHOLDER CAMPAIGN STATEMENT-LONG FORM AND CONSOLIDATED CAMPAIGN STATEMENT (Government Code Sections 84200-84217) Type or Print in Ink Statement covers period 9-20-87 through 10-17-87 8 ()'\...l U.S ~JJ~ II CONTROLLED COMMITTEES* INCLUDED IN THIS CONSOLIDATED REPORT A OFFICIAL USE ONLY DATE OF ELECTION (MO.. DAY. YR.) (IF APPLICABLE): NAME OF CANDIDATE/OFFICEHOLDER CITY e~~ ET VCv& ADDRESS OF COMMITTEE: ~-339 NAME OF TREAS RER: ZIP CODE ,-Sf ,5()~ / (J<;k (fr J /? ~/') ('A- U 0 9wc, ./A;,f-ff2/..) g;?J9 ADDRESS OF COMMITTEE: NO. AND STREET CITY STATE ZIP CODE AREA CODE/ PHONE NUMBER NAME OF TREASURER: PERMANENT ADDRESS OF TREASURER: NO. AND STREET CITY STA TE ZIP CODE AREA CODE/BUSINESS PHONE NUMBER * A controlled committee is one which is controlled directly or indirectly by a candidate or which acts jointly with a candidate or controlled committee in connection with the making of expenditures. A candidate controls a committee if the candidate, the candidate's agent. or any other committee he or she controls. has significant influence on the actions or decisions of the committee. Attach additional information or appropriately labeled continuation sheets. III CANDIDATE/OFFICEHOLDER ONLY: LIST ANY OTHER COMMITTEES NOT INCLUDED IN THIS CONSOLIDATED STATEMENTWHICH ARE CONTROLLED BYYOU OR ARE PRIMARILY FORMED TO RECEIVE CONTRIBUTIONS OR MAKE EXPENDITURES ON BEHALF OF YOUR CANDIDACY. CONTROLLED COMMITTEE NAME AND I.D. NUMBER COMMITTEE ADDRESS TREASURER COMMITTEE? YES NO Attach additional information on appropnately labeled contlnuat/on sheets. VERI FICA nON CANDIDATE OR OFFICEHOLDER: I have used all reasonable diligence and. if one or more controlled committees are included in this report. to the best of my knowledge the treasurer has used all reasonable diligence in preparing this statement. I have reviewed the Statement and to the best of my knowledge the infor- mation contained herein and in the attached schedules is true and complete. I certit'i under penalty of perjury under the laws of the State of California that the foregoing is true a Executedon /0-';(/-f7 at GILKO y, ("I!, , (Dale) / (Cilf and Slale) TREASURER(S) (if applicable): . . . I have used all reasonable diligence in preparing this Statement and to the best of my nowledge the Information contained herein and In the attached schedules is true and complete. (i' . I certify under penalty of perjurY,under the laws of the S. tate of California that the foregOH-lQ is tru nd 99A ct. /~ /(J _ J! -) 7 ~;1 l r / / Ilf /( / ~ n I Executed on -.-/......;. ,/ \. at .' /f- by Cl. ~. /' ) (Date) // (City and Stale) at::" Executed on (City and State) (Date) NAME OF CAMPAIGN DISCLOSURE STATEMENT SUMMARY PAGE FORM 420 OR 490 (Amounts May Be Rounded To Whole Dollars) STATEMENT COVERS PERIOD FROM THROUGH COLUMN A COLUMN 8 COLUMN C Cumulative total Total this period from Cumulative to date CONTRIBUTIONS from previous period · attached schedules (Columns A + B) RECEIVED J fJ39 1. Monetary contributions ................................ .. $ d()"31- $ $ 377/ SCHEDULE A. LINE 3 2. Loarfs received --t::; 4 ~ ............................................... .. SCHEDULE B. LINE 7 3. SUBTOTAL CASH RECEIPTS ............... $ c9D32. $ I 7 )C) $ -:) 71 / LINES 1 + 2 LINES 1 + 2 LINES 1 + 2 4. Non-monetary contributions. . . . . . . . . . . . . . . . ,::!) CJD ;;lC'X:J ~J (;JD SCHEDULE C. LINE 3 5. TOTAL CONTRIBUTIONS WITHOUT PLEDGES rYd.~C 1C)3Q .lfJ '7/ LINES 3 + 4 LINES 3 + 4 LINES 3 + 4 6. Pledges......... . . . . . . . . . . . . . . . . . . . . . . -A- ---F::r --t;- SCHEDULE D. LINE 7 7. TOTAL CONTRIBUTIONS. . . . . . . . . . . . . . . . . . ~:J.5 L I q 2.,!1- ,J...j ! ? I LINES 5 + 6 LINES 5 + 6 LINES 5 + 6 (SHOULD EQUAL LINE 7. EXPENDITURES MADE J r:~3 / COLUMNS A + B) 8. Payments ........................................................ .. $ $ lcJ3 {p $ 3()f6 '7 SCHEDULE E. LINE 5 9. Loans made. , . . . . . . . . . . . . . . . . . . . . . . . . . . <-+- CB-- 47- SCHEDULE EE. LINE 7 10. SUBTOTAL ...................................................... .. /& '5 / / (~?::>& "?oro 7 , LINES 8 + 9 LINES 8 + 9 LINES 8 + 9 11. Accrued expenses (unpaid bills) . . . . . . . . . . . . c:r- Ql... ~ SCHEDULE F. LINE 5 12. TOTAL EXPENDITURES .................................. .. $ /&:'5/ $ 1,.;2 3& $ ~{O1 LINES 10 + 11 LINES 10 + 11 LINES 10 + 11 (SHOULD EQUAL LINE 12. COLUMNS A + B) · IF THIS IS THE FIRST REPORT FILED FOR THE CALENDAR YEAR, COLUMN A SHOULD BE BLANK EXCEPT FOR UNPAID LOANS RECEIVED, PLEDGES, OUTSTANDING LOANS MADE AND UNPAID BILLS (LINES 2, 6, 9 AND 11). STATEMENT OF CHANGES IN FINANCIAL CONDITION 13. Cash on hand at the beginning of this period. (Enter "Cash on Hand at Closing Date" from previous statement filed.) . . . . . . . . . . . . . . . . .. $ 14. Cash receipts this period (Line 3. Column B above) ...,........... 15. Miscellaneous adjustments to cash (Schedule G, Line 8) ........... 16. Cash payments this period (Line 10. Column B above) ............. )65 I r; .7:/1 ( 1(0 '> /,:/50 $ (1) ENDING CASH ON HAND SHOULD NOT BE A NEGATIVE AMOUNT 17. Cash on hand at closing date (Lines 13 + 14 + 15 - 16 above) .. . . . . . . . . . . . . . . . . . . . . . 18. Cash equivalents (other assets held including outstanding loans made to others). Important: See instructions on reverse. . . . . . . . . . . . . . . . . . . . . . , . . . . . . . . , . . . . . . . . . . . . . . . . . . . . 19. Outstanding debts (Line 2 + Line 11 of Column C above) ............,............... $ $ SUMMARY FOR CANDIDATES IN BOTH A JUNE AND NOVEMBER ELECTION (See Instructions on Reverse) 20. CONTRIBUTIONS RECEIVED I 21. EXPENDITURES MADE: 1/1 thru 6/30 7/1 to date PAGE 3 o~~ SCHEDULE A MONETARY CONTRIBUTIONS RECEIVED FORM 420 OR 490 (Amounts May Be Rounded To Whole Dollars) STATEMENT COVERS PERIOD FROM THROUGH DATE REC'D FULL NAME AND ADDRESS OF CONTRIBUTOR (IF COMMITTEE. ALSO ENTER J.D. NUMBER OR TREASURER'S NAME AND ADDRESS) EMPLOYER AMOUNT OCCUPATION (IF SELF-EMPLOYED. ENTER NAME OF BUSINESS) RECEIVED CUMULA T1VE TO DATE I{J/~ Is? "fY"cjr~ ~~ ~u...o..''5 '""'"i2.e".;;"t~~('o~-r .'7 2.../"5 fY\...4Y\-~ s& 0; I . Cf "5G7-C- 'Tll"1 - CD<s-rd''1 ApQdrY\t.ct .ASx:. ':he.. I q J (f~A. cIA CC 11 -rI /! 1]J)1I- ~I 00 ) 6/ SGl(\ -"'t ll<-L (..4- ).fi Cr.:, ,S.e \ \- ~l:"~.u::...'s \2..DS--\au.,..~.....T rcc~ lC:o- 16/qf ~7 ;2.CX) 2(X)- D If more space is needed, check box at left and attach additional Schedules A. SUBTOTAL SUMMARY 1. AMOUNT RECEIVED - CONTRIBUTIONS OF $100 OR MORE (Include all Schedule A subtotals) .................................................. $ 2. AMOUNT RECEIVED - CONTRIBUTIONS OF LESS THAN $100 (Not itemized) 3. TOTAL MONETARY CONTRIBUTIONS THIS PERIOD (Line 1 + Line 2) Enter here and on Line 1 Column B of Summary Page SCHEDULE C NON-MONETARY CONTRIBUTIONS RECEIVED FORM 420 OR 490 PAGF 4 OF Y. (Amounts May Be Rounded To Whole Dollars) STATEMENT COVERS PERIOD fROM THROUGH q r:J087 DATE REC'D FULL NAME AND ADDRESS OF CONTRIBUTOR (If COMMITTEE. ALSO ENTER I.D. NUMBER OR TREASURER'S NAME' AND ADDRESS) OCCUPATION EMPLOYER (If SELF-EMPLOYED. ENTER NAME Of BUSINESS) DESCRIPTION OF GOODS OR SERVICES FAIR MARKET VALUE RECEIVED CUMU. LATlVE AMOUNT .1 ecl nl'\LL k>13u-<- '633 C) C.h.0rc~ 'St- i \12e Or- C\~o e;PflS-trudn Ef 112a;;- OIU.~. ,5..b1. -Y\~T\A.+-- ~~ w-\- :J.. 06 2["Y) D If more space is needed, check box at left and attach additional Schedules C. SUBTOTAL _I uDD SUMMARY 1. NON-MONETARY CONTRIBUTIONS OF $100 OR MORE THIS PERIOD. ...... . .... ..... $ LX'"":> _. "::er-.. 2. NON-MONETARY CONTRIBUTIONS UNDER $100 THIS PERIOD (Not itemized) . . . . . . . . . 3. TOTAL NON-MONETARY CONTRIBUTIONS THIS PERIOD (Line 1 + 2) Enter here and on Line 4 Column B of Summary Page.. ..... . . ... .. ....... - 6 - SCHEDULE E PAYMENTS AND CONTRIBUTIONS (OTHER THAN LOANS) MADE PAGE S- OF ~ FORM 420 OR 490 STATEMENT COVERS PERIOD FROM THROUGH (Amounts May Be Rounded To Whole Dollars) NAME OF CANDIDATE. OFFICEHO DEI}-O~ COM IT~ '.L / _ . . tvU L:t7/Zt? -co ~ U c.-I-- CJn d CODES FOR CLASSIFYING EXPENDITURES If one of the following codes is used to describe the expenditure, no written description is needed. (Note exceptions on the back of this schedule for codes "C", "'" and "T".) Refer to the back of this schedule for detailed explanations of each category. "C" MONETARY & IN-KIND CONTRIBUTIONS TO OTHER CANDIDATES OR COMMITTEES INDEPENDENT EXPENDITURES LITERATURE BROADCAST ADVERTISING NEWSPAPER AND PERIODICAL ADVERTISING OUTSIDE ADVERTISING "S" SURVEYS, SIGNATURE GATHERING, DOOR-TO-DOOR SOLICITATIONS FUNDRAISING EVENTS GENERAL OPERATIONS AND OVERHEAD TRAVEL. ACCOMMODATIONS AND MEALS PROFESSIONAL MANAGEMENT AND CONSULTING SERVICES "I" "L" "B" "N" "0" "F" "G" "T" "P" IMPORTANT: Do not itemize the payment of accrued expenses on Schedule E, Report only the lump sum ofthese payments on Line 4 of the Summary section, below. NAME AND ADDRESS OF PAYEE, CREDITOR OR RECIPIENT OF CONTRIBUTION (IF COMMITTEE. ALSO ENTER AMOUNT I.D. NUMBER OR NAME AND ADDRESS OF TREASURER) CODE OR DESCRIPTION OF PAYMENT PAID '--1 (')t; l'\a S \8"3\ S <t. \ Sk--b. cYJ ::,t-- 0 S\~1"\,} S 0/ C:;, \ 1'2 > u- q ~'Lo u () VCJk,- CG\'~ ( /+CLt 1--- ~-c( i,.)cf S fn t:J.."L'c /-<..e \'<.~ j.;--IS- \)-s (Jo~c~~-:;,~ (3 () \ Ie (cut::L J~.A \"\..<J...t- I O"b j....l~ s+ G :3~"'!~ S, 'j \ \L--. LA q '3"C."-"-=" tl- P D'S--'<-ca-!L -v ).1) 61\ ~ ~ H' \::l~ le.. kUMbo~.(1M.....t<;: C1) ~XfUflSRs q S s- ~($P' C u"..l-L nD 1J'dl~')d.-<.0Z LHrlc0. rtwvelt /SD ,- - \ ., ..-\- ~ C) <::-r;7 ,,", I CD - en r/'L(J"L.€... ,...J (J D If more space is needed, check box at 'eft SUBTOTAL and attach additional Schedules E. IMPORTANT: Contributions and expenditures on behalf of other candidates or committees must also be entered in the allocation section at the front of the campaign statement. SUMMARY 1. PAYMENTS OF $100 OR MORE MADE THIS PERIOD (Include all Schedule E subtotals) . . . . . . . . . . . . , . . . . . . . . . . . . . . . . . , . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . $ 1/1'7 2. PAYMENTS UNDER $100 THIS PERIOD (Not itemized) ........................................ $ 3. TOTAL INTEREST PAID THIS PERIOD ON OUTSTANDING LOANS (Schedule B, Part 2, Column (b)). . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . $ //q 4. TOTAL ACCRUED EXPENSES PAID THIS PERIOD (Not itemized) (Schedule F. Line 4) .......$ 5. TOTAL PAYMENTS THIS PERIOD (Line 1 + 2 + 3 + 4) Enter here and on Line 8, Column 8 of Summary Page. . . . . . . . . . . . . . . . . . . . . . . .. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . $ - 8 - /.),30 . . FORM 420 OR 490 STATEMENT COVERS PERIOD FROM THROUGH (Amounts May Be Rounded To Whole Dollars) C)-,JDi\7 I In-I]-x' 7 NAME or CANDIDATE. OFFICEHAER ON'LITTEEj .' -fib cf~in lrh c! p/cJeu I.D. NUMBER (IF COMMITTEE) (J Prvl dA d : - . e.<- . (. CJ_-h (-/:?j"! 5 '-6- ~ TJ{) 7q"(/7 NAME AND ADDRESS OF SOURCE (IF RECEIPT) OR PAYEE (IF EXPENDITURE). (IF AMOUNT OF DATE DESCRIPTION OF ADJUSTMENT COMMITTEE, ALSO ENTER I.D. NUMBER OR NAME AND ADDRESS OF TREASURER.) INCREASE DECREASE TO CASH TO CASH .' o If more space is needed. check box at left (a) (b) and attach additional Schedules G SUBTOTAL SCHEDULE G MISCELLANEOUS ADJUSTMENTS TO CASH POSITION PAGF tP OF ~.., SUMMARY (May be n~g. alive figure) 1. INCREASES TO CASH OF $100 OR MORE THIS PERIOD (Column (all ................ $ -0- 2. INCREASES TO CASH OF LESS THAN $100 THIS PERIOD (Not itemized) ............. 3. TOTAL OF ALL INTEREST RECEIVED THIS PERIOD ON LOANS MADE TO OTHERS (Schedule EE, Part 2 (b)) . . . . . . . . . . . . . . . . . . . . . . . . . . . 4. TOTAL INCREASES TO CASH THIS PERIOD (Line 1 + 2 + 3)... ... ....... ........... .. 5. DECREASES TO CASH OF $100 OR MORE THIS PERIOD (Column (b)) . . . . . . . . . . . . . . . . 6. DECREASES TO CASH OF LESS THAN $100 THIS PERIOD (Not itemized). . . . ., . . . . . . . 7. TOTAL DECREASES TO CASH THIS PERIOD (Line 5 + 6) ............................ 8. TOTAL MISCELLANEOUS ADJUSTMENTS TO CASH THIS PERIOD (Line 4 minus Line 7) Enter here and on Line 15 of Summary Page ..............