Pg&E Corporation Employees Energypac August 2023 Monthly Report

Filed on Aug. 18, 2023, covers activity between July 1, 2023-July 31, 2023

See this filing on FEC.gov

Summary

Total Receipts

$26,759

Total Expenditures

$1,944

Cash on Hand

$238,567

Contributions

$26,759

Unitemized Contributions

18.7%

Refunds

100.0%

See Transactions from this Report

Top Spending Categories

The top five categories of spending as reported by the committee (these are not standardized).

Purpose
Amount
$5,000.00
Partial refund for June payroll deposit in error $1,944.12
Voided Check; Originally issued 05/12/23 -$5,000.00