John Pate - 1977/02/21 - 1977/03/14
CANDIDATE'S
CAMPAIGN STATEMENT
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GOVERNMENT CODE SECTION 84200-84214
Form 430
2/21/77 3/14/77
Statement covers period from through
John E. Pate
NAME OF CANDIDATE
1. 75Sl
RESIDENTIAL. ADDRESS
2. 75 9S
(NO. AND STREET)
(CITY)
(STATE)
CA 95020
(ZIPCODE)
I B ( 40S )
(ARj CODr408)
(AREA CODE)
S42-4l5S
Carmel St., Gilroy, CA 95020
Monterey St., Gilroy,
S47:'i(fol
BUSINESS ADDRESS
(NO. AND STREET)
(CITY)
(STATE)
(ZIP CODE)
(PHON'E NO. )
o Line 1
IXI Line 2
o Other
CHECK APPLICABL.E BOX FOR MAIL.ING ADDRESS (If other, proviae no. ana street (or iI.O. Box) city, stote and zip coae)
General Municipal I 3/S/77 . I Councilman
TYPE OF EL.ECTION (PRIMARY, G'EN'ERAL, SPECIAL) DATE OF ELECTION (MONTH, DAY, YEAR) OFFICE FOR WHICH YOU ARE A CANDIDATE
I 10 I A
POL.ITICAL PARTY AND DISTRICT NUMBER (If Applicable) TOTAL. PAGES THIS REPORT OFFICIAL. USE ONL.Y
LIST ALL COMMlnEES SUBJECT TO YOUR CONTROL WHICH HAVE RECEIVED CONTRIBUTIONS OR MADE
EXPENDITURES ON BEHALF OF YOUR CANDIDACY
(A controlled committee is one which is controlled directly or indirectly by you or which acts iointly with you or one of your controlled committees in connection
with the making of expenditures. You control a committee if you, your agent or any other committee you control has significant influence on the actions or
decisions of the committee.)
COMMITTEE NAME COMMITTEE PHONE
AND 1.0. NUM8ER ADDRESS TREASURER ADDRESS NUMBER
None
Attach additional information on appropriately labeled continuation sheets.
II LIST ALL ADDITIONAL COMMlnEES OF WHICH YOU HAVE KNOWLEDGE WHICH HAVE RECEIVED CONTRIBUTIONS
OR MADE EXPENDITURES ON BEHALF OF YOUR CANDIDACY
COMMITTEE NAME COMMITTEE PHONE
AND 1.0. NUMBER ADDRESS TREASURER ADDRESS NUMBER
None
Attach additional information on appropria'tely labeled continuation sheets.
C
VERIFICATION
D
E
I declare under penalty of perjury that to the best of my knowledge this statemeii} and its attached schedules are
',"e. oOHed. :~::~::e ond ~ol I h~:l:Y:" :"nOble dlllgenee In('h~ :e7/&
Ex~u'ed on 01 by_. ~~_
(DATE) (CITY AND STATE) (SIGNATURE OF CANDIDATE)
F
-1-
SUMMARY PAGE
2/21/77 3/14/77
Statement covers period from . through
Name John E. Pate
1.0. Number COLUMN A COLUMN B COLUMN C
(If Committee) Cumulative
total from Cumulative
previous period This period to date
RECEIPTS $ ~$2.00
1. Monetary contributions (line 5, Part 3 of Schedule A) $ 175.00 $ 357.00
(Column A +
-0- -0- Colum~6>_
2. Unpaid loans (line 9, Part 3 of Schedule B)
(Total at beginning (Net change (Total at end
of period) for period) of period)
-0- -0- -0-
3. Miscellaneous receipts (attach explanation)
(Column A +
Column B)
4. Total monetary contributions, Net cash receipts $ 175.00 $ 1$2.00 $ 357.00
(lines 1 + 2 + 3)
(Column A +
Column B)
5. Non-monetary contributions (line 3 of Schedule C) -0- -0- -0-
(Column A +
Column B)
6. Pledges (line 7 of Schedule D) -0- -0- -0-
(Total at beginning (Net change (Total at end
of period) for period) of period)
7. Total receipts (lines 4 + 5 + 6) $ 175.00 $ 1$2.00 $ 357.00
(Column -A +
Column B)
EXPENDITURES
8. Payments (line 6, Part 3 of Schedule E) $ -0- $ 430.30 $ 430.30
(Column A +
Column B)
9. Accrued expenses (unpaid bills) (line 5 of Schedule F) . -0- -0- -0-
(Total at beginning (Net change (Total at end
of period) for period) of period)
10. Total expenditures (lines 8 + 9) -0- 430.30 430.30
. $ $ $
(Column A +
Column B)
STATEMENT OF CHANGES IN FINANCIAL CONDITION
$ 175.00
11. Cash on hand at the beginning of this period
12. Cash receipts this period (line 4, column B)
1$2.00
13. Cash payments this period (line 8, column B)
430.30
-0-
14. Cash on hand at closing date (lines 11 + 12 - 13)
15. liabilities (line 2, column C + Line 9, column C) .
-0-
16. Surplus (if line 14 is greater than Line 15, subtract
line 15 from line 14). . . . . . . . . .
-0-
$
17. Deficit (if line 15 is greater than line 14, subtract
line 14 from line 15)
-0-
$ (
- 2 -
John E. Pate
LD. NUMBER (If Committee)
NAMF
Statement covers period frornZ/2:tL17through 3/14/77
SCHEDULE A, FORM 420 or 430
MONETARY CONTRIBUTIONS
(Amounts may be rounded off to whole dollars)
PART 1 - RECEIVED FROM COMMITTEES: (See information manual for directions and examples)
DATE FULL NAME AND ADDRESS OF COMMITTEE LD. NUMBER OR TREASURER'S AMOUNT CUMULATIVE
(Street, City, Stote) FULL NAME AND ADDRESS RECEIVED TO DATE
None
Attach additional information on appropriately labeled continuation sheets. -0-
SUBTOTAL (Carr with additional Subtotals to line 1, art 3, a e 4) $
y
p
P 9
- 3 -
John E. Pate
NAMF
I.D. NUMBER (If Committee)
Statement covers period from 2/2l/71hrough 3/14/77
SCHEDULE A, FORM 420 or 430
(Continued)
PART 2 - RECEIVED FROM OTHERS: (See information ma nual for directions and examples)
2/2
FULL NAME AND ADDRESS (Street EMPLOYER (IF CONTRIBUTOR IS AMOUNT CUMULATIVE
DATE OCCUPATION SELF-EMPLOYED LIST STREET
City, State) OF CONTRIBUTOR * ADDRESS & CITY OF BUSINESS) RECEIVED AMOUNT
5/77 Esther Pate Retired 77.00 77.00
7630 Carmel St.
Gilroy, CA 95020
/77 Daisy Kelly Ret1:red 50.00 50.00
7554 Princevalle St.
Gilroy, CA 95020
Attach additional information on appropriately labeled continuation sheets. 127.00
SUBTOTAL (Carr with additional Subtotals to line 3 art 3 $
y
, p
3/4
* If the contribution was made by an intermediary provide the information for both the intermediary and the principal
contributor.
PART 3 - SUMMARY OF MONETARY CONTRIBUTIONS (See
1. RECEIVED FROM COMMITTEES THIS PERIOD (Part 1) . . , . . . .
2. RECEIVED FROM COMMITTEES UNDER $50 THIS PERIOD (Not Itemized).
3. RECEIVED FROM OTHERS THIS PERIOD (Part 2) . . . . . . . . .
4. RECEIVED FROM OTHERS UNDER $50 THIS PERIOD (Not Itemized) . .
5. TOTAL MONETARY CONTRIBUTIONS THIS PERIOD (line 1 + 2 + 3 + 4,
Enter this total one line 1, Column B of Summary Page). . . . . . .
information manual for directions and examples)
-0-
-0-
127.00
55.00
182.00
$
$
-4-
John E. Pate
1.0. NUMBER (If Committee)
NAMF
Statement covers period from 2/21/7~hrough 3/14/77
SCHEDULE B, FORM 420 or 430
LOANS
(Amounts may be rounded off to whole dollars)
PART 1 - LOANS RECEIVED: (See information manual for directions and examples)
FULL NAME AND ADDRESS OF LENDER EMPLOYER (If self-employed Inter. AMOUNT OF CUMULATIVE
DATE AND ANY GUARANTORS OR COSIGNERS OCCUPATION list street add ress and city est LOAN AMOUNT
of businell.) Rate
None
Attach additional information on appropriately labeled continuation sheets. -0-
SUBTOTAL $
PART 2 - LOANS REPAID, FORGIVEN, OR PAID BY A THIRD PARTY:
(See information manual for directions and examples) (a)
(b)
(c)
(d)
AMOUNT AMOUNT PAID
DATE FULL NAME AND ADDRESS AMOUNT FORGIVEN BY A THIRD UNPAID
REPAID (Enter on PARTY (Enter BALANCE
Sched. A) on Sched. A)
None
Attach additional information on appropriately labeled continuation sheets. -0- -0- -0-
SUBTOTAL $
PART 3 - SUMMARY
1. LOANS OF $50 OR MORE THIS PERIOD (Part 1)
2. LOANS UNDER $50 THIS PERIOD (Not Itemized)
3. TOTAL lOANS RECEIVED (Line 1 + 2)
4. LOANS REPAID OF $50 OR MORE THIS PERIOD (Part 2, Column a)
5. LOANS FORGIVEN OF $50 OR MORE THIS PERIOD (Part 2, Column b)
6. lOANS PAID BY A THIRD PARTY OF $50 OR MORE THIS PERIOD (Part 2, Column c)
7. LOANS REPAID, FORGIVEN, OR PAID BY A THIRD PARTY UNDER $50 THIS PERIOD (Not Itemized)
8. TOTAL lOANS REPAID, FORGIVEN OR PAID BY A THIRD PARTY THIS PERIOD (Line 4 + 5 + 6 + 7)
9. NET CHANGE THIS PERIOD (line 3-8, enter this total on line 2, Column B of Summary Page) .
$
$
$
$
$
-0-
- 5 -
NAMF
John E. Pate
I.D. NUMBER (If Committee)
2/21/77 3/14/77
Statement covers period from through
SCHEDULE C, FORM 420 or 430
NON-MONETARY CONTRIBUTIONS
(Amounts may be rounded off to whole dollars)
See information manual for directions and examples
FULL NAME AND ADDRESS AND DESCRIPTION OF FAIR MARKET CUMULATIVE
DATE I.D. NUMBER (If Committee) OCCUPATION EMPLOYER * CONSIDERATION VALUE AMOUNT
RECEIVED
None
Attach additional information on appropriately labeled continuation sheets. -0-
SUBTOTAL $
* If contributor is self-employed list street address and city of business
SUMMARY
1. NON-MONETARY CONTRIBUTIONS OF $50 OR MORE THIS PERIOD .......
2. NON-MONETARY CONTRIBUTIONS UNDER $50 THIS PERIOD (Not Itemized) . . . .
3. TOTAL NON-MONETARY CONTRIBUTIONS THIS PERIOD (line 1 + 2, enter on line 5, Column B
of Summary Page) ........... . . . . . . . . . . .
- 6 -
$
$
-0-
John E. Pate
I.D. NUMBER (If Committee)
NAMF
Statement covers period from 2/21/7~hrough 3/14/77
SCHEDULE 0, FORM 420 or 430
PLEDGES
(Amounts may be rounded off to whole dollars)
See information manual for directions and instructions
(a)
(b)
(c)
FULL NAME AND ADDRESS AMOUNT AMOUNT CUMULATIVE
DATE OCCUPATION EMPLOYER . PLEDGED PAID (Enter PLEDGE
AND I.D. NUMBER (If committee) THIS PERIOD on Sched. A) UNPAID
None
Attach additional information on appropriately labeled continuation sheets. -0- -0- -0-
SUBTOTAL
$
* If contributor is self-employed list street address and city of business
SUMMARY
1. PLEDGES OF $50 OR MORE THIS PERIOD (Column a)
2. PLEDGES UNDER $50 THIS PERIOD (Not Itemized)
3. TOTAL PLEDGES RECEIVED (line 1 + 2)
4. PLEDGES OF $50 OR MORE PAID THIS PERIOD (Column b)
5. PLEDGES UNDER $50 PAID THIS PERIOD (Not Itemized) . . . .
6. TOTAL PLEDGES PAID (line 4 + 5) .....
7. NET CHANGE THIS PERIOD (line 3 - 6, Enter this total on line 6, Column B of Summary Page)
.$
.$
.$
.$
-0-
-7-
OFFICIAL FULL NAME OF PAYEE COMMITTEE AND 1.0. NUMBER (If the committee has no 1.0. Number, AMOUNT
USE ONLY state full name and address of the Treasurer) THIS PERIOD
None
Attach additional information on appropriately labeled continuation sheets.
SUBTOTAL (Carr with additional subtotals to Line 1 art 3, e 9) $ -0-
a
NAMF
John E. Pate
1.0. NUMBER (If Committee)
Statement covers period from 2/21/71hrough 3/14/77
SCHEDULE E, FORM 420 or 430
PAYMENTS
(Amounts may be rounded off to whole dollars)
PART 1 - MADE TO COMMlnEES: (See information manual for directions and examples)
y
, p
- 8 -
p 9
John E. Pate
NAMF '
1.0. NUMBER (If Committee)
..
FUll NAME AND ADDRESS OF PAYEE * DESCRIPTION OF PAYMENT AMOUNT
(Street, City, Stote) THIS PERIOD
Gilroy Dispatch Newspaper advertising 384.00
7466 Monterey St.
Gilroy, CA 95020
Attach additional information on appropriately labeled continuation sheets. 384.00
SUBTOTAL Carr with additional subtotals to Line 3 art 3
2/21/77 3/14/77
Statement covers period from through
SCHEDULE E, FORM 420 or 430 (Continued)
PART 2 - MADE TO OTHERS: (See information manual for directions and examples)
y
, p
* If the person providing the goods or services was different than the payee, list each person's name and address.
$
BULK RATE NO. None
POSTAGE METER NO. None
Enter your bulk rate and/or postage meter number used in campaign mass
mailings. In addition a copy of each mass mailing in support of or opposition
to a state candidate or state measure must be sent to the Fair Political
Practices Commission.
PART 3 - SUMMARY OF PAYMENTS (See information ma nual for directions and examples)
1. MADE TO COMMITTEES THIS PERIOD (Part 1) ..... $ -0-
2. MADE TO COMMITTEES UNDER $50 THIS PERIOD (Not Itemized) g -0-
3 4.00
3. MADE TO OTHERS THIS PERIOD (Part 2) . . . . . . . . 6
4. MADE TO OTHERS UNDER $50 THIS PERIOD (Not Itemized) 4 · 30
5. TOTAL ACCRUED EXPENSES PAID THIS PERIOD (Schedule F, Line 4) -0-
6. TOTAL PAYMENTS THIS PERIOD (Lines 1 + 2 + 3 + 4 + 5, 430.30
Enter this total on line 8, Column B of Summary Page) ..... $
- 9 -
John E. Pate
NAME
1.0. NUMBER (If Committee)
1
Statement covers period from2J21/77through 3/14/77
SCHEDULE F, FORM 420 or 430
ACCRUED EXPENSES (Unpaid Bills)
(Amounts may be rounded off to whole dollars)
See information manual for directions and examples
FULL NAME AND ADDRESS DESCRIPTION OF AMOUNT
(Street, City, Stote)* ACCRUED EXPENSES ACCRUED
THIS PERIOD
None
Attach additional informotion on appropriately labeled continuation sheets. -0-
SUBTOTAL $
* If the accrued expense is owed to a committee, list the committee's name and I.D. number (or the full name and address of the
treasurer). If the person providing the goods or services was different from the payee, list each person's full name, street
address, city and state.
SUMMARY
1. ACCRUED EXPENSES OF $50 OR MORE THIS PERIOD . . . . $
2. ACCRUED EXPENSES OF UNDER $50 THIS PERIOD. (Not Itemized) .
3. TOTAL ACCRUED EXPENSES INCURRED THIS PERIOD (Line 1 + 2) . $
4. ACCRUED EXPENSES PAID THIS PERIOD (Not Itemized, Enter on Line 5, Part 3, Schedule E) $
5. NET CHANGE THIS PERIOD (Line 3-4, Enter on Line 9, Column B of the Summary Page, This may be a negative -0-
amount) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . $
- 10 -