Summary Page
<br />NNMEOFFILEIRJalani Bakari For Riverside City Council Ward 3 2019
<br />Statement covers period
<br />from 05/19/2019
<br />through 06/30/2019
<br />6.
<br />Payments Made - - . .... .... .............
<br />sc,,,ecme P, Z.ine 4
<br />Column A
<br />Column B
<br />Contributions Received
<br />7.
<br />T 0-«. H'
<br />CA: F.-NDAP YEAR
<br />14. Miscellaneous Increases to Cash ............ Cchedu!- J, bjne
<br />0.00
<br />0.00
<br />8.
<br />MTAL TO DATE
<br />1.
<br />Monetary Contributions ........
<br />Schalode A. Line 3
<br />$ 1, 674.50 $
<br />20,216.50
<br />2.
<br />Loans Received . ...
<br />Cash Equivalents and Outstanding Debts
<br />0.00
<br />0.00
<br />3.
<br />SUBTOTAL CASH CONTRIBUTIONS ..........
<br />Add Linez> t+2
<br />1, 674.50 $
<br />20,216.50
<br />4.
<br />Nonmonetary Contributions ... .......
<br />scheaij,e a Lifie,z
<br />0.00
<br />0.00
<br />5.
<br />TOTAL CONTRIBUTIONS RECEIVED .......
<br />Aud !,,nes 3 - 4
<br />$ 1,674.50
<br />20,216.50
<br />6.
<br />Payments Made - - . .... .... .............
<br />sc,,,ecme P, Z.ine 4
<br />$
<br />5,312.35 $
<br />20,948.77
<br />7.
<br />Loans Made ............
<br />00e,-'
<br />14. Miscellaneous Increases to Cash ............ Cchedu!- J, bjne
<br />0.00
<br />0.00
<br />8.
<br />SUBTOTAL CASH PAYMENTS ..............
<br />Add ones 6+7
<br />$
<br />5,312.35 $
<br />20,948.77
<br />9.
<br />Accrued Expenses (Unpaid Bills)
<br />....... F, L.,rne 3
<br />Cash Equivalents and Outstanding Debts
<br />0.00
<br />0.00
<br />10.
<br />Nonmonetary Adjustment .............
<br />Schedule C, Lhie -3
<br />19. Outstanding Debts...........
<br />0.00
<br />0.00
<br />11.
<br />TOTAL EXPENDITURES MADE ..........
<br />ACd Li,,�es 8+9 19
<br />$
<br />5,312.35 $
<br />20,948.77
<br />Current Cash Statement
<br />12. Beginning Cash Balance .......... prpvic,,C,,&n3Cna!y F 30,e, U,30, 16
<br />2, 905.58
<br />13. Cash Receipts ........................ Qohum,-, A, Line above
<br />1,674.50
<br />14. Miscellaneous Increases to Cash ............ Cchedu!- J, bjne
<br />0.00
<br />15. Cash Payments ...................... 4-,'e A, L,, r, e 8 a
<br />5,312.35
<br />16. ENDING CASH BALANCE A,, Yd! es 12 + 73+ 4, tt,errsubtra,,I Lu � e, 15
<br />$
<br />-732.27
<br />17. LOAN GUARANTEES RECEIVED ............ Schedole 8, Part 2
<br />$
<br />0.00
<br />Cash Equivalents and Outstanding Debts
<br />18. Cash Equivalents ....................................
<br />$
<br />0.00
<br />19. Outstanding Debts...........
<br />0.00
<br />SUMMARY PAGE
<br />Page 3 of 11
<br />i.D. NUM Ed, ER
<br />1416488
<br />Calendar Year Summary for Candidates
<br />Running in Both the State Primary and
<br />General Elections.
<br />1/1 through 6130 7/1 to Date
<br />20. Contributions
<br />Received $
<br />21. Expenditures
<br />Made $
<br />22. Cumulative Expenditures Made*
<br />If Subject to Voluntary Expenditure Limits)
<br />a
<br />Amounts in this Section may be different from amounts
<br />reported in Column B.
<br />FPPC Form 460 -(JAN(2016)
<br />State of California/Sl
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