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HomeMy WebLinkAboutThe Committee to Elect Joe Winfield - 1st Quarter Report - 4/21/2022 STATE OF ARIZONA COMMITTEE ID NUMBER �"� �; COMMITTEE CAMPAIGN 2- 5 FINANCE REP�RT ovTc 2 0 � � - r,:� . _ �z COMMITTEE INFORMATION(required): ' ''�� Committee�nformation: Committee Name: THE C�MMITTEE TO ELECT JOE WINFIELD CANDIDATE INF�RMATION(only if filing as a candidate committee): Office Sought: ❑County Office: �Special District�ffice: �City/Town Office: MAYOR ❑School Board District: Cumulative Report: 0 Check here if this is the candidate committees first,cumulative report for the election cycle.Also select appropriate Reporting Period below. Cumulative reporting period start date(which supersedes the start date for the Reporting Period selected below): REPORTING PERIOD(check one): REPORTING PERIOD REPORT DUE 2020 4th Quarter Report:October 18,2020 to December 31,2020 January 1,2021 to January 15,2021 2021 March Pre-Election Report(Local Only):January 1,2021 to February 20,2021 February 21,2021 to February 27,2021 2021 March Post-Election(Q1)Report(Local Only): February 21 to March 31,2021 April 1,2021 to April 15,2021 2021 Quarter 1 Report:January 1,2021 to March 31,2021 April 1,2021 to April 15,2021 2021 May Pre-Election Report(Local Only):April 1,2021 to May 1,2021 May 2,2021 to May 8,2021* 2021 May Post-Election(Q2)Report(Local Only): May 2,2021 to June 30,2021 July 1,2021 to July 15,2021 2021 Quarter 2 Report:April 1,2021 to June 30,2021 July 1,2021 to July 15,2021 2021 August Pre-Election Report(Local Only):July 1,2021 to July 17,2021 July 18,2021 to July 24,2�21 2021 August Post-Election(Q3)Report(Local Only):July 18,2021 to September 30,2021 October 1,2021 to October 15,2021 2021 Quarter 3 Report:July 1,2021 to September 30,2021 October 1,2021 to October 15,2021 2021 November Pre-Election Report(Local Only):October 1,2021 to October 16,2021 October 17,2021 to October 23,2021 2021 November Post-Election(Q4)Report(Local Only):October 17,2021 to December 31,2021 January 1,2022 to January 15,2�22 2021 Quarter 4 Report:October 1,2021 to December 31,2021 January 1,2022 to January 15,2022 2022 March Pre-Election Report(Locaf Only):January 1,2022 to February 19,2022 February 20,2021 to February 26,2022 2022 March Post-Election(Q1)Report(Local Only): February 20,2022 to March 31,2022 April 1,2022 to April 15,2022 � 2022 Quarter 1 Report:January 1,2022 to March 31,2422 April 1,2022 to April 15,2022 2022 May Pre-Election Report(Local Only):April 1,2022 to April 30,2022 May 1,2�22 to May 7,2022 2022 May Post-Election(Q2)Report(Local Only):May 1,2022 to June 30,2022 July 1,2022 to July 15,2022 2022 Quarter 2 Report:April 1,2022 to June 30,2022 July 1,2022 to July 15,2022 2022 Pre-Primary Election Report:July 1,2022 to July 16,2022 July 17,2�22 to July 23,2022 2022 Post-Primary Election(Q3)Report:July 17,2022 to September 30,2022 October 1,2022 to October 15,2022 2022 Pre-General Election Report:October 1,2022 to October 22,2022 October 23,2021 to October 29,2�22 2022 Post-General Election(Q4)Report:October 23,2022 to December 31,2022 January 1,2023 to January 17,2023* Final Campaign Finance Report Prior to Committee Termination: Same Date of Termination End of Previous Period throu h Toda 's Date *Re ortin deadline extended to next business da .A.R.S. 1-243 A and 1-303. FINANCIAL SUMMARY(required): Activity Cash Activity This Election Cycle to Re ortin Period Date (a)Committee value at the beginning of this reporting period��.e.er,a�r,9 baia�ce from tne 0 previous reporting period) (b)+Total receipts�f�om"Summary of Receipts,"line 13(cash cdumn)forthis reporting period) � 7,94g,81 � 7,949.�� (C�-Total disbursements�from"Summary of Disbursements,"line 16(cash column)for this reporting period) � 3,471.3� � 3,471.3� (d)=Balance at close of reporting period � 4,47$.'�J� ❑ Check here if filing no financial activity during the reporting period. Lines(a)-(d)still must be completed,but only this cover page and the followin a e need to be filed. Committees with financial activity must file the cover page,summary of receipts,summary of disbursements,and any schedules that con#ain financial activity. Arizona Secretary of State Revision 7/31/21 (fillable format) STATE OF ARIZC)NA CpMMITTEE ID NUMBER ��'�� ��: COMMITTEE CAMPAIGN ��� � FINANCE REP4RT OVTC 22-05 � � SUMMARY OF DISBURSEMENTS(Schedule B): Disbursements Cash Equity 1. Disbursements for Operating Expenses 2. Contributions Made (a) Candidate Committees � (b) Political Action Committees (c) Political Parties (d) Partnerships e Cor orations&Limited Liabili Com at11G'S(PACs&Political Parties Onl (fl Lab01'Ot'gafllZatlOflS(PACs&Political Parties Only) (g) Monetary Contributions Subtotal taaa Z�a�tnrougn Z�fl> (h) Contribution Refunds Provided to the Reporting Committee (i) Monetary Contributions Total�Subtract 2�n�from Z�g�� 3. Loans (a) Loans Made (b) Loan Guarantees Made (c) Forgiveness on Loans Made (d) Repayment of Loans Received (e) Accrued Interest on Loans Received (f� TOtal LOat1s(cash:add 3(a),3(d)&3(e);equity:add 2(b)&2(c)) 4. Rebates and Refunds Made�Nor,-co►,t�b�t�or,s> 5. Value of In-Kind Contributions Provided (a) Candidate Committees (b) Politica!Action Committees (c) Political Parties (d) Partnerships (e) Corporations&Limited Liabilit COfT1p811feS(PACs&Political Parties Only) �fl LabOf Of 8C11ZatIOt1S(PACs&Political Parties Only) COtltt'IbUt1011S SUbtOtal(add 5(a)through 5(fl) 6. Independent Expenditures Made 7. Ballot Measure Expenditures Made 8. Recalf Expenditures Made 9. Support Provided to Party Nominees�Poi�t�cai Pa�t�es or,iy> 10. Joint Fundraising/Shared Expense Payments Made 3042.52 11. Reimbursements Made 272.09 12. Outstanding Accounts Payable/Debts Owed by Committee 13. Transfer O ut Surplus Monies/Transfer In Debt�use casn a�dior equ�ty as appi�ca�e> 14. MISC@I1a11@OUS DISbUrS@f11@C1tS(use cash and/or equity as applicable) 15. Aggregate of Disbursements-$250 OP L@SS(use cash and/or equity as applicable) 156.70 16. Total Disbursements�casn:aad�,2(i),3(fl,6-11�13-15;equity:add 3(fl,5(g),&12-15) 3471.3� Arizona Secretary of State Revision 02111/21 (fillable format) STATE OF ARIZ�NA COMMITTEE ID NUMBER COMMITTEE CAMPAtGN p�C 22_p� � � FINANCE REPORT REIMgURSEMENTS MADE: SCHEDULE B(11) Reimbursement Cumulative Cumulative Recipient Information Amoun# Amount this Amount this Reporting Period Elec�on Cycle Name 64.98 64.98 64.98 Jack Stinnett str��c�� 11055 N Joy Faith Drive 1 srace ZiP City Oro Va(ley AZ 85737 t�Cash Servioes or Goods Re+mbursed Reimbursement Date ❑C��(� Copies 3/16/2022 Name 207.11 207.11 207.11 ' Jack Stinnett Street Add�ess 11055 N Joy Faith Drive 2 �;�, stat� zip Oro Valley AZ $573� �Cash Servioes or Goods Reimbursed Reimbursement Date ❑Cf�lt Rebar,Copies,Paint,Lumber 3/31/2022 Name 5treet Address 3 �;�, s�te z,P f�Cash Services or Goods Reimbursed Reimbursement Dete ❑CI'�I� Name Street Address 4 s�te zrP c�y L7 Cash Servioes or Goods Reimbursed Reimbursement Dete [��rl'EC�It Name • SVest Address 5 c�► s�ce z�p � l7 Cash Servioes or Goods Reimbursed Reimbursement D�ate ❑C r�It Enter total only if last page of schedule 272.09 272.U9 (transfer the total disbursed this period to"Summary of Disbursements,"line i 1) 1 1 Schedule B(11),page of Anzona Secretary of State Revision 02/11/21 (fillable fonnat)