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rcnedule 1 Type or print in ink. SGHEDULE I <br /> � �scellaneous Increases to Cash Amountsmayberounded I SWtementcoversperiod � . ' <br /> to whole dollars. � , � • <br /> � from �6— �— OS <br /> through /D � /&—�� Page� of /�— <br /> cE6k5TRUCTiON50N REVERSE <br /> etL40F FILER LD.NUMBER <br /> Q,�riz s Tv �2o'rECr �FD�oo � ''T ���7iCA� �Tio l..o ��/7F /36 �6 39 <br /> OATE FULL NAME AND ADDRESS OF SOURCE DESCRIPTION OF RECEIPT AMOUNT OF <br /> �.CEIVED IiF COMMiTTEE.nL50 ENTEk I,0 NUMEER� INC REAS E TO CASH <br /> Attach addifional inlomiation on appropnately/abeled continuation sheets. SUBTOTAL$ <br /> ichedule I Summary /-�_ <br /> itemizedincreases to cash this period. ................................................ ................._.....,....................._.... .................$ –« <br /> _. Unitemized increases to cash of under 5100 this period. .. __..... ...... ................. .................................... .................5 � <br /> :_ Total ot all interest received this period on loans made to others. (Schedule H, Column (ej.) .................................$ � <br /> -. Total miscellaneous increases to cash this period. (Add Lines 1, 2, and 3. Enter here and on the <br /> SwmmaryPage, Line 14.) .................................. .. ......................._......_..... .................. ..........._.............. TOTAL $ ..__—�_ <br /> FPPC Form 460(January105� <br /> FPPC 7oll•Free Hnlpline:B66/ASK-FPPC(8661275-7772) <br />