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460 Third Pre-Election ecipient Committc¢ Campaign Statement (Government Code Sections 84200- 84216.5) COVER PAGE - LONG FORM Date Stamp 1. Type of Recipient Committ=: [] Officeholder, Candidate Controlled Committee lO/21/2OOl ,,11/Ol/2OOl [] Primarily Formed Candidate/ Officeholder Committee [] Ballot Measure Committee O Primarily Formed O Controlled O Sponsored [] General Purpose Committee O Sponsored O Broad Based 3. Committee Information I.D. NUMBER 1233678 COMMI1TEE NAME GEOFF PATNOE FOR CITY COUNCIL D-~. of E~,~n if qzl~imble: (Monih, Dey, YeBr) i~y. ~11o612oo~ NOV 0 2 2001 2. Type of Statement: [] Pre-election Statement [] Semi-annual Statement [] Termination Statement [] Amendment (Explain below) A For Official Use Only [] Quarterly Statement [] Special Odd-Year Report [] Supplemental Pre-election Statement - Attach Form 495 Treasurer(s) NAME OF TREASURER TOM HALL 21040 HOMESTEAD ROAD CUPERTINO CA 95014 (408) 773-1400 ( STREET ADDRESS 0~O P.O. BOX) 10384 ALPINE DRIVE #2 CITY STATE ZiP CODE AREA COOE/PHONE CUPERTINO CA 95014 (408)746 -2940 MAIUNG ADDRESS (IF DIFFERENT) NO. AND STREETOR P,O. BOX OPTIONAL: FAX/E-MAJL ADDRESS ( ) / ,?dCCW - PCAPO8 01504 (Rev. 9199) State of California Fair I:olitical Practices Commission. ecipient Committee Campaign Statement Cover Page - Part 2 COVER PAGE - PART 2 Pa~e 2of 5 4. Officeholder or Candidate Controlled Committee 5. Ballot Measure Committee NAME OF OFFICEHOLDER OF CANDIDATE GEOFF PATNOE OFFICE SOUGHT OR HELD (INCLUDE LOCATION AND D~STRICT NUMBER IF APPUCABLE) CUPERTINO CITY COUNCIL RESIDEN'nAL~BUSINE~S ADDRESS [NO. AND si H~b ~ J CITY STATE ZIP CODE 10384 ALPINE DRIVE, #2 CUPERTINO CA 95014 Identify the controlling officeholder, candidate, or s:~e measure proponent, if any. NAME OF OFFICEHOLDER, CANDIDATE OR, pROPONENT Related Committees Nat Included in this Statement: IJstany~ommitteas not included in this consolidated statement that are controlled by you or which are primarily formed to receive confffh'#i"ns or to make expenditures on behalf of your candidacy. COMMITTEE NAME I I.D, NUMBER NAME OF TR~:ASURER COI~TROLLED COMMII I I=l=y OFFIC~ SOUGHT Off HELD 6. Primarily Formed Committee NAME Of= OFFICEHOLDER OR CANDIDATE NAME OF OFFICEHOLDER OR CANDIDATE STATE ZIP CODE AREA CODE/PHONE NAME Of: OFFICEHOLDER OR CANDIDATE OFFICE SOUGHT OR HELD OFFICE SOU(Birr OR HELD 7. verification I have used all reasonable diligence in preparing and reviewing this statement and to the best of my knowledge the information contained herein and in the attached schedules is true and complete. I certify under penalt~ of perjury under the laws of the State of California that the foregoing is true and correct Executed on ~/'/-- 0 ! -~ / By ~E~E ~EASU.ER O. ASSisTANT TREASURER Exec~ed on //-- O / -- O I By DATE SIGNATURE OF CO~LIJNG OFFICEHOLDER, CANDtDATE, ST; TE MEASURE pROPONENT OR RESPONSIBLE OFFICER OF SPONSOR Executed on DATE DATE By SIGNATURE OF CONTROLLING OFFICEHOLDER. CANDIDATE, STATE MEASURE pROPONENT Executed on By ' SIGNATURE OF CONTROLLING OFFICEHOLDER, CANDIDATE, STATE MEASURE Campaign Disclosure Statement Summary Page NAME OF FILER GEOFF PATNOE, GEOFF PATNOE FOR CITY COUNCIL Contributions Received 1. Monetary Contributions ................................................................... Schedule A, Line 3 2. Loans Received .............................................................................. Schedule B, Line 7 3. SUBTOTAL CASH CONTRIBUTIONS ................................................ Add Unes I + 2 4. Non-monetary Contribufior~ ........................................................... Schedule C, Line 3 5. TOTAL CONTRIBUTIONS RECEIVED ............................................... Add Lines 3 + 4 SUMMARY PAGE ~o/21/2OOl 11/ol/2OOl ~___~ NUMBER Column A TOTAL THIS P~RICO (FROM A'i-FACHED SCHEDULES) $ 793.00 $ 0.00 $ 793.00 0.00 $ 793.00 $ 550.67.. 0.00 550.67 $ 0.00 0.00 Expenditures Made 6. Cash Payments .................... : ......................................................... Schedule E, Line 4 $ 7. Loans Made .................................................................................... Schedule H, Line 7 8. SUBTOTAL CASH PAYMENTS ..........................................................Add Dries 6 + 7 $ 9. Accrued Expenses (Unpaid Bills) .................................................... Schedule F, Une 3 10. Nonmonetary Adjustment .............................................................. Schedule C, Line 3 11. TOTAL EXPENDITURES MADE ................................................ Add Lines 8 + 9 + 10 $ 550.67 $ 5 1233678 Column B* _r~l_ .mn C TOTAL PREVIOUS PERIOO TOTAL TO DATE (SEE NOTE BELOW) (ADD COLUMNS ^ + B) 7,821.00 $ 8,614. O0 3,700.00 3,700. 00 11,521.00 $ 12,314. 00 239 . 90 239. 90 11,760 90. $ 12,553.90 8,055.84 $ 8,606.51 0.00 0.00 8,055.84 $ 8,606.51 0.00 0.00 239.90 239.90 8 295.74 $ 8,846.41 Current Cash Statement 12. Beginning Cash Balance ........................................ Previous Summary Page, Line 16 $ 13. Cash Receipts ....................................................................... Column A, Une 3 above 14. Miscellaneous Increases to Cash ................................................... Schedule I, Line 4 15. Cash Payments ..................................................................... Column A, Line 8 above 16. ENDING CASH BALANCE ................ Add Lines12 +13 +14, then subtract Line15 $ If this is a Termination Statement, Line 16 must be zero. 17. LOAN GUARANTEES RECEIVED ............................ Schedule B, Part 1, Column (b) $ Cash Equivalents and Outstanding Debts 18. Cash Equivalents .......................................................................................................... 19. Outstanding Debts ........................................ Add Line 2 + Line 9in Column C above 3,465.16 793.00 0.00 550.67 3,707.49 0,00 0.00 3,700.00 *From previous statement Summary Page, Column C. However, if this is tho first report filed for the Calendar year, Column B should be blank except for Loans Received (Line 2), Loans Made (Line 7), and Accrued Expenses (Line 9). Summary for Candidates in Both June and November Elections 20, Contributions Received $ 21. Expenditures Made ..... $ 1/1 thru 6/30 711 to Date 0 0 0 0 S/CCW - PCAP08 01504 (Rev. 9~99) CHEDULE A Schedule A s"- ;==~'~ ~" ~" ~'~ Monet~nj Contribu§ons Received f~. lO/21/2OOl [ {{t I I ~h~ 11/01/2001 p~ 4 o[ 5 NAME OF FILER I.D. NUMBER GEOFF PATNOE, GEOFF PATNOE FOR CITY COUNCIL 1233678 IFAN INDMDUAL, ENTER DATE FULL NAME, MAIMNG ADDRESS AND ZIP CODE OF CONTRIBUTOR CONTRIBUTOR OCCUPATION AND EMPLOYER AMOUNT RECEIVED CUMULATIVE TO DATE CUMULATIVE TO DATE RECEIVED (IF COMMITTEF~ ALSO ENTER I.D. NUMBER) CODE * OF I~LI:-EMPLOYED ENTER NAME THIS PERIOD CALENDAR YEAR OTHER o~ aUS~NESS) (JAN 1 - DEC 31) (IF APPLICABLE) 11/01/2001 DAVID EGGL~.STON []IND PRESIDENT 100.00 100.00 10183 VICEROY COURT, #3 CUPERTINO, CA 95014 [] COM DEMAND-MAKERS, INC. [] OTH RETIRED 100.00 100.00 11/01/2001 GORDON FROLICH [] IND 1202 BELKNAP COURT CUPERTINO, CA 95014 [] COM NONE [] OTH 10/30/2001 PHIL JOHNSON [] IND MANAGER 100.00 100.00 13905 PIERCE ROAD SARATOGA, CA 95070 [] OOM IINFOGAIN [] OTH 10/30/2001 GEORGE MONK [] IND ~VICE PRESIDENT, 100.00 100.00 19985 PRICE AVE FINANCE CUPERTINO, CA 95O14 [] COM REnBAC~< NEZWORKS [] OTH [] IND [] COM [] OTH SUBTOTAL $ 400.00 Monetary Co,tt,;butions Summary 1. Amount received this period - contributions of $100 or more. (Include all Schedule A subtotals.) .................................................................................................. $ 2. Amount received this period - contributions of less than $100. (Do not itemize.) .............................................................................................................................. $ 3. Total monetary contributions received this period. (Add Lines 1 and 2. Enter here and on the S]]mmary Page, Column A, Line l.) .............. TOTAL $ 400.00 393.00 793.00 chedule E Payments Made from 10/21/2001 iltrough 11/01/2001 SCHEDULE E NAME OF FILER GEOFF PATNOE, GEOFF PATNOE FOR CITY COUNCIL CODES: If one of the following codes accurately describes the payment, you may enter the code. Otherwise, describe the payment. CMP campaign paraphemaliaJmisc. CNS campaign consultants CTB contribution (explain nonmonetary)* CVC civic donations FND fundraising evonts IND independent expenditure suppolling/opposing others (e~xplaJn)* LIT campaign literature and mailings MTG meetings and appearances OFC office expanse~ PET p~ition circulating PHO phone banks POL pciling and survey research POS Ix~tage, delivery and messenger services PRO professional servioes (legal, accounting) PRT ixint ads PAD radio airtime and production costs RFD returned contributions SAL campaign workers salaries TEL t v.' or cabte airlime and production (x~ts TRC candidate travel, lodging and meala (explain) TRS staff/spouse travel, lodging and meals (e~ain) TSF transfer ba~;.c=n committees of the same candidate/sponsor VOT voter registration WEB information technology costs (inteme~, e-mail) *Paymente that are contributions or independent expendltree muet al.o be summarized on Schedule D. NAME AND ADDRESS OF PAYEE OR CREDITOR (IF COMMrl'rEE, ALSO ENTER I.D. NUMBER CODE OR DESCRIPTION OF PAYMENT AMOUNT PAID POLITICAL DATA INC. CMP 289.31 825 SOUTH VICTORY BLVD. BURBANK, CA 91502 WORLD JOURNAL PRT 261.36 20565 ALVES DRIVE CUPERTINO, CA 95014 SUBTOTAL $ 550.67 Schedule E Summary 1. Payments made this period of $100 or more. (Include all Schedule E subtotals.) ...... : .................................................................... $ 2. Unitemized payments made this period of under $100 .................................................................................................................... $ 3. Total interest paid this period on outstanding loans. (Enter amount from Schedule B, Part 2, Column(d).) .................................... $ 4. Total payments made this period. (Add Lines 1, 2, and 3. Enter here and on the Summary Page, Column A, Line 6.) .... TOTAL $ 550. 67 0.00 0.00 550. 67