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PAGE T/117 . FEC REPORT OF RECEIPTS 2 AND DISBURSEMENTS FORM 3 a ad tien co —— ME ga orn , SHERIFF JOE ARPAIO FOR US SENATE Se ae : L 4 19743 & PALISADES BLVD ADDRESS jrumbor and steel) Y | STE 102 check it diferent than previously FOUNTAIN HILLS, | Lazy ss2sesnse reported. AGG) aA 7 | omy a STATE Zp CODE 2. FEC IDENTIFICATION NUMBER ¥ STATE ¥ DISTRICT Is THis ‘AMENDED CC consoszas REPORT ™ OR a 4, TYPE OF REPORT (choose Ona) (@) Quarter Reports: (©) 12-Day PRE-Election Report forthe Primary (12°) General (126) unoft (128) X Agr 15 Quartaty Repert (21) Convention (12) Special (128) July 15 Quartary Report (22) | inthe Oetober 15 Quartey Report (09) | tection on State of anuary 31 Year-End Report (YE) | () g0-Day POST-Election Report for the: General (806) Funott (308), 8p (205) Termination Report (TER eae lection on State of 8. Covering Period or or 2018 through 03 3a 2018 | catty that | have examined this Report and to the best of my knewledge and bolt it ks tue, correct and compete ’ARPAIO, AVA, Type or Print Name of Treasurer ARPAIO,AVA, Signature of Teasurer pe EME Su 2018 NOTE: Submission f false, eneneous, oF Incomplete Infoemtion may subject the person signing ths Repert to the penaties of $2 U'S.C. §90108 Use FEC FORM 3 L {sl | Rene l| TT SUMMARY PAGE | aaa of Receipts and Disbursements paceeri Write oF Tyee Committoe Name ‘SHERIFF JOE ARPAIO FOR US SENATE Report Covering the Peroc: From: ot a 2018 a) a 2010 COLUMN A COLUMN B. This Period Election Cycle-to- 6. Net Contributions (other than loans) (@) Total Contributions (other than toans) (rom Line 11) aoe maith (6) Total Contrbution Retunds (tram Line 20(2) ‘soo nt (1. Net Contributions (ether than loans) < “i (eubtract Line 6(0) from Line 6) snsi91.44 sost91,44 7. Net Operating Expencitures (a) Total Operating Expenditures (orn Line 17) 249052.68 24825268 (©) Total Offsets to Operating Expenditures trom Line 14) oa se (@)_ Not Operating Expanctures - (eabtract Line 7(b) from Line 7). een peer 3 Gash on Hand at Close of Reporting Period (rom Line 27 pause 19. Dabs and Obligations Owed TO ‘the Committee (temize all on Schedule C andlor Schedule D). om, Debis and Obligations Owed BY the Committee Gtemize all on 00 Schedule C and/or Schedule D). For further information contact: Federal Election Commission 999 E Street, NW Washington, DC 20463, Toll Free 800-424-9530 Local 202-694-1100 r DETAILED SUMMARY PAGE 5 FEC Form 5 (Houises 08/2016) of Receipts PAGES/117 Write or Type Commitise Name SHERIFF JOE ARPAIO FOR US SENATE Report Covering the Period: From: Of a zara e 03 Ey 2018 COLUMN A. COLUMN B. |. RECEIPTS 11. CONTRIBLITIONS (other than loans) FROM (a). Indvisuaie/Parsons Other Than Poltioal Committees (i) Memized juse Scheu A). () Untemized (i) TOTAL of contributions ‘ror Individuals (@) Poltial Party Committees. {) Other Poitieal Committoos (such as PAGS) (The Candidate. (@) TOTAL CONTRIBUTIONS (other than loans) (ade Lines 1a}, @), (©. and (Ah 12, TRANSFERS FROM OTHER AUTHORIZED COMMITTEES 13. LOANS! (8) Made or Guaranteed by the anette 1b) All Other Loans. (TOTAL LOANS (add Lines 13(@) and (©). OFFSETS TO OPERATING EXPENDITURES, (Refunds, Rebates, 16) nme 48, OTHER RECEIPTS (Divicends, interest, etc) 16, TOTAL RECEIPTS (ada Lincs ‘ANte), 12, 190), 14, and 16) > [Cary Total to Line 24, page 4)... ‘Total This Period 104183.00 90008 44 soot 44 0.00 000 0.90 sost01 44 0.90 0.00 00 000 90 50191 48 Election Gycle-to-Date 104185.00, 90098.46 sostst.ee 00 000 0.00 sosi91 44 00 2.00 0 s00191,44 [= DETAILED SUMMARY PAGE FEG Form 3 (Revised 05/2070) ‘of Disbursements PAGE as 117 ES Form 3 Revise ee . RSEM COLUMN A. COLUMN B. Mad tines Total This Period Election Cycle-to-Date 248252.08 248052.08 17. OPERATING EXPENDITURES. 1B, TRANSFERS TO OTHER, AUTHORIZED COMMITTEES, 0.90 0.90 19, LOAN REPAYMENTS: (al Of Loans Made or Guaranteed by the Candidate. 000 0.90 (@) OF Al Other Loans 0.00 200 {@) TOTAL LOAN REPAYMENTS, (ace Lines 194@) and (b. a og. 20. REFUNDS OF CONTRIBUTIONS TO: (a) IndividualsPersons Other Than Poltical Committees. 0.90 0.00 (©) Poltical Party Committees. 0.90 000 (©). Other Poltieal Committses (ouch as PACS) 0.00 0.00 (@) TOTAL CONTRIBUTION REFUNDS {add Lines 204 6), and (. 090 0.90 21, OTHER DISSURSEMENTS 000 090 22, TOTAL DISBURSEMENTS 248252.68 248252,68 (0 Lines 17, 18, 96, 20) ane 21) De Ml, CASH SUMMARY 28. CASH ON HAND AT BEGINNING OF REPORTING PERIOD... om 24 TOTAL RECEIPTS THIS PERIOD (from Line 16, page 3). 500191 46 25, SUBTOTAL (add Line 23 and Line 24) sos101.44 26, TOTAL DISRURSEMENTS THIS PERIOD (from Line 22) 248252,08 27. CASH ON HAND AT CLOSE OF REPORTING PERIOD, eres (Gubiract Line 26 from Line 28) L -l

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