Friends of Rich Anderson (CC ) Reporting Period: 11/27/2015 Through: 12/31/2015
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1 1 of 9 Schedule A: Direct Contributions Over $100 Full Name of Contributor Mailing Address of Contributor Donor Information 1. Employer or Business (If Corporate/Company Donor: N/A) 2. Type of Business(If Corporate Donor Type of Business) 3. Business Location Date Received Contribution This Period Aggregate To Date Financial Services LLC 3440 Preston Ridge Rd Ste 5000 Alpharetta, GA Consumer Finance 3.Alpharetta GA 12/15/2015 $ $ Anheuser-Busch Companies Inc One Busch Place St Louis, MO Brewery 3.St Louis, MO 12/15/2015 $ $1, CSX Transportation PO Box Jacksonville, FL Railroad 3.Jacksonville FL 12/15/2015 $ $ Total This Period $1,250.00
2 2 of 9 No Schedule B results to display.
3 3 of 9 Schedule C: Bank Interest, Refunded Expenditures and Rebates Full Name and Address of Payer Reason/Type of Payment Date Received Payment Amount Auto-Owners Insurance PO Box Lansing, MI Refund 12/16/2015 $ Auto-Owners Insurance PO Box Lansing, MI Refund 12/16/2015 $ Dominion Virginia Power PO Box Richmond, VA Refund 12/16/2015 $ Total This Period $526.03
4 4 of 9 Schedule D: Expenditures Person or Company Paid and Address Item or Service Name of Person Authorizing Expenditure Date of Expenditure Amount Paid Forest Consulting Services PO Box 1473 Richmond, VA Accounting and reporting services 11/27/2015 $ Prosper Group 435 E. Main Street, Suite 250 Greenwood, IN Website expense 12/08/2015 $ Comcast Cable 5401 Staples Mill Rd Richmond, VA Office internet service 12/14/2015 $70.93 Prince William Chamber of Commerce 9720 Capital Ct Ste 203 Manassas, VA Dues 12/14/2015 $ Forest Consulting Services PO Box 1473 Richmond, VA Accounting, reporting and consulting fees 12/16/2015 $ Seton Jr. Sr. High School 9314 Maple Street Manassas, VA Program ad 12/17/2015 $50.00 United Bank Albemarle Point Place Ste 100 Chantilly, VA Banking services 12/17/2015 $10.00 Total This Period $1,435.93
5 5 of 9 No Schedule E-1 results to display.
6 6 of 9 No Schedule E-2 results to display.
7 7 of 9 Schedule F: Debts remaining Unpaid as of this Report Name and Address of Creditor Pupose of Obligation Date Debt Incurred Amount Remaining Unpaid, Ramrod Rd Woodbridge, VA /23/2009 $15, Total This Period $15,000.00
8 Schedule G: Statement of Funds Contributions Received This Period Number of Contributions Amount 1. Schedule A [Over $100] 3 $1, Schedule B [Over $100] 0 $ Un-itemized Cash Contributions [$100 or less] 1 $ Un-itemized In-Kind Contributions [$100 or less] 0 $ Total 4 $1, Bank Interest, Refunded Expenditures and Rebates 6. Schedule C [also enter on Line 17b on Schedule H] $ Expenditures Made This Period 7. Schedule B [From line 2 Above] $ Un-itemized In-Kind contributions [From line 4 Above] $ Schedule D [Expenditures] $1, Total [add lines 7, 8 and 9] $1, Reconciliation of Loan Account 11. Beginning loan balance [from line 15 of last report] $ Loans received this period [from Schedule E-Part 1] $ Subtotal $ Subtract: Loans repaid this period [from Schedule E-Part2] 15. Ending loan balance $0.00 $ of 9
9 Schedule H: Summary of Receipts and Disbursements 16. Beginning Balance [Line 19 of last Report] $55, Receipts for Current Reporting Period: a. Contributions received this period [Line 5 of Schedule G] $1, of 9 b. Bank interest, refunded expenditures and rebates [Line 6 of Schedule G] $ c. Loans received this period [Line 12 of Schedule G] $0.00 d. Subtotal: Contributions and Receipts received this period $1, e. Total Expendable Funds [Add Linds 16 and 17d] $56, Disbursements for Current Reporting Period a. Expenditures made this reporting period [Line 10 of Schedule G] $1, b. Loans repaid this reporting period [Line 14 of Schedule G] $0.00 c. Other surplus funds paid out [from Schedule I] $0.00 d. Total Payments Made [Add lines 18a,18b, and 18c] $1, Ending Balance [Subtract Line 18b from Line 17e] $55, Total Unpaid Debts [from Schedule F of this report] $15, Committee's Receipts and Disbursements - Election Cycle 21. Balance at Start of Election Cycle $27, Previous Receipts [Line 24 from last report] $119, Receipts from Current Reporting Previous [Line 17d above] $1, Total Receipts this Election Cycle [Add lines 22 and 23] $121, Total Funds Available [Add lines 21 and 24] $149, Previous Disbursements [Line 28 from last report] $92, Disbursements from Current Reporting Period [Line 18d above] $1, Total Disbursements this Election Cycle $94, Ending Balance $55,555.17
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