Jstreetpac June 2024 Monthly Report

Filed on Aug. 20, 2024, covers activity between May 1, 2024-May 31, 2024

This filing replaces an earlier report

See this filing on FEC.gov

Summary

Total Receipts

$635,460

Total Expenditures

$623,884

Cash on Hand

$188,173

Contributions

$635,460

Unitemized Contributions

0.0%

Refunds

0.2%

Notable: This report has individual receipts and individual expenses of at least $50,000.


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
Conduit Contribution $614,975.00
Contribution $6,500.00
In-Kind: See Schedule B, Line 23 of May Monthly Report $4,315.89
Refund $1,000.00
In-Kind: Staff Salary, Travel and Meals $769.67