Bethlehemi Hiradó, 1954. január-június (32. évfolyam, 1-25. szám)
1954-03-05 / 10. szám
.4-ik oldal B E TH L E H E M I H7«R ADŐ 1954 március 5 Magyar élet Miamiban Wargyas Mihály Miamiban üdülő, népszerű honfitársunk Írja: A Kossuth Civic Center és Restaurant 2230 N. W. 14th Street alatti helyisége igazán meglepetésszerűen szép, gyönyörű uj épületben, a Kossuth Hallban van. Amikor én és leányom Mrs. G. E. Clift beléptünk egy vacsorára a Kossuth-terembe, nagyon kedves, meleg fogadtatásban volt részünk. Mihamar megtudtuk, hogy ma este egy newyorki nóta-király fog fellépni és mondani sem kell, mennyire örültünk, amikor kiderült, hogy ez a művész senki más, mint Iván Dezső, a mi nótakirályunk Bethlehemből. Amikor a függöny felgördült, a mintegy 600 főnyi közönség óriási tapssal fogadta Iván Dezsőnket, aki Newyorkból a Kossuth Hall vezetőségének meghívására repült le ide. A vezetőség nem is csalódott benne, mert olyan szépen és mély érzéssel énekelt, hogy a közönség nem tudott betelni a nótázásával és háromszor is újra és újra kihi'vta a színpadra, hogy ráadást adjon. Iván Dezsőnek ez volt az első fellépése Miamiban és a siket oly nagy volt, hogy talán soha életében nem felejti el. De mi sem felejtjük el, mert olyan szépen énekelte a magyar nótákat és olya., fogadtatásban volt része, ami nagyon meglepte. Még nagyobb vo.c meglepetese, amutor az tlőaa—> után meglátta az ő régi jóbarátan, akikkel a betnlehemi Dal és Cu képző Körben együtt játszott szu - darabokat és együtt énekelt. Látszott rajta, hogy nagyon öru, -. taiálKozásnak és boldognak é. magát. A nagyszerű magyar esísn résztvettek Bethlehemcől: lelt...: jozset, Uu.da Gyula és n^je, nák Vilmos és neje, 1 óth József és neje, Mrs. Gizella Stevens (Kalinyák), Mrs. Stephen Winkler, Steve Gergits, Wargyas Mihály és George E. Clift, Allentownból jelen voltak: Mrs. Féber, Mr. és Mrs. h ritz Róka, Mr. és Mrs. Benjamin Bals, Mr. és Mrs. F. Kormányos, Mrs. Alex Milkovics és Philipsburgból Mr. Frank Rásky. Nagy meglepetés volt a közönség számára az is, hogy Joe Rudy, a hires rádió- és televizio-müvész,. aki Clevelandból (Ohio) jelenleg itt tartózkodik vakáción, hegedűjén egy par szivhezszóló, jo magyar nótát adott elő a közönség őszinte gyönyörűségére. Akik ott voltunk, mindnyájan szivünkbe zártuk ennek a Miamiban töltött remek magyar estnek emlékét. Wargyas Mihály-------------------ooo------------------STEVENSON VÁLLALJA AZ 1956-OS ELNÖKJELÖLTSÉGET MEGFELELT — Pista, hogy történhetett az, hogy téged is elvitték a koreai háborúba?---- Először azért, mert harcolni akartam a kommunisták ellen, másodszor azért, mert úgy gondoltam, hogy a katonai szolgálat és jó koszt meg fogja erősíteni a^szervezetemet, harmadszor pedig azért, mert . . , — Nos, mi a harmadik ok? — Mert muszáj volt menni! Adlai E. Stevenson, a demokrata párt címzetes feje kijelentette, hogy örömmel fogja elvállalni a demokrata párt 1956 évi elnökjelöltségét; ha a konvenció azt felajánlja. Nem szándékszik ennek érdekében kampányt indítani. Azonban már márciusban előadás-sorozatot fog.kezdenl az ország különböző városaiban, különösen azokban, ahová a választási kampányja idején nem tudott eljutni. Előadó körútja bele fog nyúlni a nyári hónapokba. Pennsylvániában április folyamán fog tartani előadásokat a jövő politikai problémáiról. Az orvosi tudomány ELISMERI a Méhfullánk mérgének hatását rheumatikus esetek ben. A “MUSCULAID” egyedüli olyan bedörzsölő módszer, mely méh-fullánkmérget tartalmaz. — Fájdalom nélkül enyitőleg hat Rheuma, arthritis, virzketegség, csipő és derékfájás, viszértágulás, görcs, hülés, stb. eseteiben. NE SZENVEDJEN. Kérjen ingyenes bővebb értesítést. Cim: JOHN TÓTH, 1143 Hillcrest Road, South Bend 17, Indiana Kitűnő szenet árusít KEREZSI GYÖRGY magyar zénk teskedő JEDDO CO. ÉS RAVEN RUN SZÉN 1011 E. 3rd St., Bethlehem, Pa Phone UN 6-0181 Rendes árak. Pontos kiszolgálás LEGAL LEGAL ANNUAL REPORT of the COUNTY CONTROLLER for the year 1953 To the Honorable, the Judges of the Court of Common Pleas in and fo' the County of Northampton, State of Pennsylvania. Pursuant to the Act of Assembly (May 2, 1929, P. L. 1278 and its amendments), the following report of all receipts and expenditures o the County of Northampton for the year 1953 together with a state ment of the financial condition of the County is respectfully sub mitted herewith. CHARLES H. UNANGS1 County Controllei BALANCE SHEET General Fund, Year 1953 Assets Jen. 5 Jan. 4 Increase *953 1954 Decrease* Cash Available, County Treasurer . .$ 231.587.78 $ 193.019.04 $ 38,668.74* Cash Trust Funds—Returned Taxes 109.40 109.40 Cash Trust Funds-Deposits on County Owned Properties ............ £,293.81 8,694.21 v 515.40* Cash Trust Funds—Tax Claim Bureau 10,632.07 7,428.15 3,203.92* Cash Trust Funds— Properties Sold by T.C.B................ 21,736.48 7,661.98 14,074.50* Total Cash ............................,.$ 273,375.34 $ 216,912.78 $ 56,462.56* Taxes Receivable: Real Estate Taxes—Current Year 1953 46,901.46 33,926.65 12,974.81* Real Estate Taxes—Previous year Real Estate Taxes—Prior Year .. 128,211.50 121,646.86 6,564.64* Tax Liens ............................................ 4,926.13 4,926.13* Total Real Estate Taxes .....$ 180,039.09 $ 155,573.51 $ 24,465.58* Occupation Taxes— Current Year 1953 ....................... 24,898.88 19.009.59 5,889.29* Occupation Taxes— Previous Year 1952 ..................... 4,325.05 4,325.05 Personal Property Tax— Current Year ................................. 860.90 1,110.86 249.96 Personal Property Taxes— Previous Year ................................. Total Taxes Receivable ___8 205,798.87 S 180.í)19.01 $ 25,779.86* Accounts Receivable: Other Accounts Receivable .......... 6,793.19 6,793.19* Total Assets ...........................$ 485.967.40 $ 396,931.79 $ 89.035.61* Liabilities Undistributed Returned Taxes by Treas...................................................$ 109.40 $ 109.40 Deposits on Properties Sold by Treas. 9,209.61 8,694.21 515.40* Undistributed Returned Taxes—T.C.B. 10,632.07 7,428.15 3,203.92* Deposits on Properties Sold by T.C.B. 21,736.48 7,661.98 14,074.50* Reserve for Other Accts. Receivable 6,793.19 6,793.19* Reserve for Uncollected Taxes .............. 205,798.87 180,019.01 25,779.86* Surplus Revenue .......................................... 231,687.78 193,019.04 38,668.74* Total Liabilities ..........................$ 485,967.40 $ 396,931.79 $ 89,035.61* DEBT SERVICE Bonded Debt: .* Credited by Vote of Electors, Jan. 4, 1954 ..................................... $ 2,020,000.00 Less: Amount in Sinking Fund .. 1,693,333.33 Net Bonded Debt Created by Vote of Electors .................................................................. $ 326,666.67 Created by Vote of Commissioners 796,000.00 Less: Amount in Sinking Fund . .$ 270,000.00 Unappropriated Interest Earnings .................................. 46,148.00 316,148.00 Net Debt Created by Action of Commissioners ..................................................... $ 479,852.00 TOTAL NET DEBT ............................................. $ 806,518.67 SUMMARY AND CALCULATION OF DEBT LIMIT Total Taxable Valuation, $208,836,674.00 Commissioners Electors Total Debt Limit 2 Percent ...........................$ 4,176,733.48 $10,441,833.70 $14,618,567.18 Net Debt .................................................... 479,852.00 326,666.67 806,518.67 REMAINING BORROWING CAPACITY .............$ 3,696,881.48 $10.115,167.03 $13,812,048.51 SUMMARY OF RECEIPTS AND DISBURSEMENTS Receipts Cash Balance January 5, 1953 ......................................................... $ 216,687.78 Budget Receipts .................................................................. 1,519,240.32 Total Budget Receipts ....................................... $ 1,735,928.10 Non-Budget Receipts: Temporary Loan from Sinking Fund .................. Temporary Loan from Lafayette Trust Co..........$ 50,000.00 Repayment of Loan by Inst. District .................... 50,000.00 Repayment of Loan by Inst. District Loan Account ....................................................... 50,000.00 Total Non-Budget Receipts ........................................ $ 150,000.00 Total ..................................................................................... $ 1,885,928.10 Disbursements [Budget Disbursements ..................................................... $ 1,557,909.06 Total Budget Disbursements ........................... $ 1,557,909.06 ‘Non-Budget Disbursements : Payment of Loan from Inst. Dist. Acct............*..$ 50,000.00 Temporary Loan to New Assessment Acct.......... 50,000.00 Temporary Loan to Institution District ........ 50,000.00 Total Non-Budget Disbursements ................................. $ 150,000.00 [Cash Balance, January 4, 1954 ............................. 178,019.04 Total .............................................................................. $ 1.885,928.10 Í'.;. ------------------------------SUMMARY OF BUDGET REVENUES AND EXPENDITURES I - Year 1953 I Excess Revenues Anticipated Cash Deficit* Cash from Previous Year ......................$ 210,659.00 $ 216,687.78 $ 6,028.78 /Current Revenue: Miscellaneous Sources ......... 411,194.00 463,809.55 52,615.55 Taxes of Prior Years 65,800.00 60,944.5® 4,855.48* Taxes of Current Levy .......... 987,890.00 994,486.25 6,596.25 Total ...............................................$ 1,675.543.00 $ 1,735,928.10 $ 60.385.10 Balance Unexpended Expenditures Or Over Operation and Maintenance Appropriation Expended Expended General Government: Administrative ...................................$ 501,525.00 $ 456,209.90 $ 45,315.10 Judicial ................................................ 276.795.00 258,195.13 18.599.87 Corrections ......................................... 259,818.00 259.141.94 676.06 Highways ............................................. 28,150.00 9,816.30 18,333.70 Miscellaneous ........................ 179,840.00 124,281.04 55,558.96 Debt Service ..................................... 490,415.00 411,261.78 1,846.38* Unpaid Bills of Prior Years ............... 20,000.00 39,002.97 19,002.97* Total ...............................................$ 1,675,543.00 $ 1,557,909.06 $ 117,633.94------------ ------------ -----------STATEMENT OF BUDGET REVENUES General Fund, Year 1953 Excess Anticipated Realized Deficit* Cash from Previous Year .............................210,659.00 $ 216,687.78 $ 6,028.78 Miscellaneous Sources Other Licenses and Permits ...............$ 194.00 $ 102.50 $ 91.50* Court Costs and Fines: Clerk of Quarter Sessions .............. 20,500.00 20,355.33 144.67* Probation Office (J. J. Taglang) 14,000.00 13.110.88 889.12* Other Fines and Forfeits ...................... 400.00 797.30 397.30 Rent Buildings ........................................... 300.00 70.00 230.00* Liquid Fuels Tax ..................................... 220,000.00 240,812.37 20,812.37 Treasurer ..................................................... 1.800.00 1,648.20 151.80* Tax Claim Bureau .................. 8,500.00 12,531.85 4,031.85 Recorder of Deeds .........................•••• 40,000.00 46,529.07 6,529.07 Recorder of Wills ................................. 10,500.00 10,735.50 235.50 Sheriff .......................................................... 13,000.00 14,578.31 1,578.31 Prothonotary ............................................. 29,000.00 30,009.61 1,009.61 Clerk of Courts (Quarter Sessions) .. 3,000.00 2,729.45 270.55* Clerk of Orphans Clerk .................. 10,000.00 10,622.79 622.79 County Prison (Carpet Account) .... 16,000.00 20,033.50 4,033.50 County Prison (Heat Account) .......... 5,000.00 7,100.00 2,100.00 Refunds ........................................................ 3,000.00 3,641.37 641.37 Gifts & Grants (Housing Authorities) 3,000.00 4,185.16 1,185.16 Other Miscellaneous Revenues .......... 2,000.00 15,241.36 13,241.36 Penalties and Interest from Taxes: Real Estate—1953 (Current Levy) 825.00 1,571.69 746.69 Real Estate—1952 (Previous Year) 2,000.00 1,506.60 493 40* Occupation—1953 (Current Levy) 200.00 392.58 192.58 Occupation—1952 (Previous Year) 400.00 547.78 147.78 Personal Prop.—1953 (Cur. Levy) 10.00 31.11 21.11 Personal Prop.—1952 (Prev. Year) 10.00 1.35 8.65* Returned Taxes 1,500.00 1,893.19 393.19 MAGYAR ZENS a bethl hemi WGPA—1100 rá zenekara játszik és délután fél dió-állomásról minden vasárnap déli 12 órától fél 1 ig Máté Pista 2-től 2 óráig Tóth János zenekara játszik, Mikisits Feri énekel. A munkanélküliek számának csökkenését . remélik TETŐJAVÍTÁS Uj talők — Minden kivitelben Lefolyó csövek Galvanizálva, rézből, rozsda mentes acélból, alumíniumból Kémények Ujra-téglázás, újjáépítés és lebontás. FÉMLEMEZ MUNKÁK Az ön fizető képességének megfelelő feltételek. Uj tetők 36 havi részletre. Forduljon hozzánk kötelezettség nél küli költségvetésért és szakszerű tanácsért. SAM N. GALLEGOS 35 EAST RASBERRY STREET Telefon UN 6-6131 A Pennsylvania State Employment Service múlt héten közzétett januári jelentése sz rint kilátás van arra, hogy a munkások iránti kereslet a legközelebbi hónapokban emelkedni fog. Januárban ugyan nagyobb volt a munkanélküliség, mint bármely télen 1950 óta, de a jelek szerint, meghaladta tetőpontját. ‘‘A munkanélküliek számának apadása várható, — mondja John Billman district manager, — kivált ha az idő kedvező lesz. Szezonszerü elbocsájtások A becslések szerint a -Lehighvölgyben tízezer személy volt munkanélkül január közepén, de e számban benne foglaltatik ezer építőipari munkás, akiket a kedvezőtlen időjárás tett munkanélkülivé, valamint ezer textilipari munkás, akiket az évnek ebben a szakában szokásos munka-redukció miatt bocsájtottak el időlegesen. Hillman jelentése szerint az elbocsájtások januárban elérték a legmagasabb fokot és lassan csökkenőben vannak. A február 1 1 -ikével végződött héten a Lehigh és Northampton megyékben beadott munkanélküli segélyigénylések száma a legkisebb volt az 1953 december 1 7-vel végződött hét óta. Az ezen héten beadott segély-igénylések száma (9354 volt, vagyis 1 400-zal kevesebb, mint január közepén és a legalacsonyabb ebben az évben. A Lehighvölgyben januárban 98,350 ember volt ipari üzemi munkában, szemben az 1953 januári 104,200-zal. Múlt év de- I cemberében a munkában lévők száma 100,400 volt. CZAPKÓ JÓZSEF ÓHAZAI SZABÓMESTER 725 E. Fourth St. Bethlehem, Pa. Phone UN 6-5043 Elvállal és szakszerűen készít minden szabó szakmába tartozó munkát. — Uj öltönyök, felöltők, télikabátok készítését. Javítási munkákat, tisztitást és vasalást. SOUTH BETHLEHEM KEDVELT ÉS NÉPSZERŰ SZABÓSÁGA! Exonerated Occupation Tax .......... SO.00 74.03 24.05 Exonerated Personal Prop. Tax .. 5X0 1.S7 3 OS4 Advertising and Oiher Costs .............. 6,000.00 1,205.16 4.591.82* Sales—Northampton Heritage Books 1,649.50 1,649.50 Total Miscellaneous Sources . .8 411.194.00 $ 463,809.55 $ 52,615.55 Taxes of Prior Years Excess Received from Tax Collectors: Anticipated Realized Deficit* Rea. Estate—1952 .........................$ 35,000.00 $ 30,466.18 ? 4,533.82* » Occupation—1952 ............................. 12,000.00 10,788.04 1,211.93* Personal Property—1952 .................. 500.00 32 51 467 49* Returned Tax—1952- ......................... 9,000.00 8,505.93 494 07* Returned Tax—1951 ......................... 4,000.00 6,274.03 2 274 03 Returned Tax—1950 ......................... 900.00 501.12 398.88* Returned Tax—1949 ......................... 500.00 319.68 180 32* Returned Tax—1948 & Prior Years 1,500.00 1,990.38 490.38 Liened Taxes ....................... .............. Exonerated Occupation Taxes ... 2,000.00 1,432.53 567.47* Exonerated Personal Prop. Taxes 300.00 634.12 334.12 Personal Property Taxes—Estates 100.00 100.00* Total Prior Years' Taxes ...........? 65,800.00 $ 60,944.52 $ 4,855.48* Taxes of Current Levy Real Estate — 1953 ..........................$ 744,888 94 $ 737,312.89 X 7,576.05* Real Estate — 1953 Additions ___ 100.00 130 61 30 61 Occupation — 1953 72,901.08 71,019.98 1,881 08* Personal Property —1953 ................ 170,000.00 186,022.77 16,022.77 Total Taxes of Current Levy $ 987,890.00 $ 994,486.25 $ 6,596.25 BUDGET APPROPRIATIONS AND EXPENDITURES Year 1953 Unexpended Over _ _ „ Appropriation Expended Expended* General Government — Administrative Commissioners ...................................$ 44,450.00 $ 42,254.08 $ 2,195.94 Commissioners’ Solicitor ................. 7,220.00 7,302.60 82 60* Court House ......................................... 55,100.00 51,440.75 3,659.25 Elections—Registration of Voters 36,500.00 39,878.52 3,378.52* Elections — Undistributed .............. 16,200.00 12,990.86 3,209.14 Elections — Primary ..................... 20,050.00 20,023.81 23.19 Elections — General ....................... 21,875.00 22,076.16 201.16* Tax Assessment ................................. 77,900.00 78,418.36 518.36* Weights and Measures ...................... 3,930.00 3,698.87 231.13 Treasurer ............................................... 17.380.00 17,079.04 300.93 Tax Office — Commissioners __ 7,180.00 4,733.62 2,446.38 Tax Collectors — City Treasurers 33,700.00 19,740.06 13,959.94 Tax Collectors — Districts ......... 29,300.00 20,576.45 8,723.55 Tax Claim Bureau .......................... 29,500.00 23.174.39 6,325.61 Controller ............................................... 31,310.00 27,790.75 3.51925 Recorder of Deeds ..r........................ 40,250.00 38,846.79 1.403.21 Photostat Department ...................... 3,200.00 2,223.35 976.65 Miscellaneous ....................................... 26,480.00 23,931.46 2,518.54 Total General Government Administrative .............................$ 501,525.00 $ 456,209.90 $ 45,315.10 General Government — Judicial * Register of Wills ...............................$ 11,555.00 $ 11,364.90 $ 190.10 Sheriff ..................................................... 29,350.00 27,723.88 1,626.12 Coroner ....................... 6,850.00 6,974.06 124.06* Prothonotary ........... 26,480.00 23,001.44 478.56 Clerk of Quarter Sessions .............. 17,310.00 16,768.66 541.34 District Attorney ....................................... 40,690.00 38,763.74 1.926.26 Law Library ............. 5.900.00 4,987.41 912.59 Orphan’s Court ................................... 12,160.00 12,514.00 354.00* Courts ....................................................... 106,300.00 97,684.95 8,615.05 Justices and Aldermen ......................... 10,200.00 8,236.44 1,963.56 Constables ............................................. 10,000.00 7,175.65 2,824.35 Total General Government Judicial ...........................................$ 276,795.00 $ 258,195.13 $ 18,599.87 Total General Government Administrative .......... 501,525.00 456,209.90 45,315.10 Total General Government ...$ 778,320.00 $ 714,405.03 $ 63,914.97 Corrections Probation and Parole' .....................$ 11,578.00 $ 11,622.38 $ 44.38* Juvenile Detention Home .............. 18,890.00 18,161.38 728.62 Mainten. of State and Penal Inst. 76,000.00 76,062.42 62.42* County Jail ........... 153,350.00 153,295.76 54.24 Total Corrections ......................$ 259,818.00 $ 259.141.94 $ 676.06 Highways Roads and Bridges ............................$ 23,400.00 $ 7,851.32 $ 15,548.68 Roads and Bridges (Inter-County) 4,750.00 1,964.98 2,785.02 Total Highways ..........................$ 28.150.00 $ 9,816.30 $ 18,333.70 Miscellaneous Office of Supt. of Schools ..............$ 4,850.00 $ 4,948.25 $ 98.25* Compensation and Liability Ins. .. 2,400.00 2,247.15 152.85 Veteran Affairs ................................... 18,995.00 19,593.22 598.22* Military Contributions ...................... 8,000.00 6,397.00 1,603.00 Allentown-Bethlehem-Easton Airport Authority .......................... 20,000.00 20,000.00 Historical and Civic Asso.................. 1,500.00 1,500.00 Agricultural ......................................... 7,500.00 6,854.02 645.98 Twin County Agricultural Asso. •• 750.00 750.00 Blue Valley Farm Show, Inc. .... 750.00 750.00 Township Supervisors Asso. 250.00 197.72 52.28 Tax Refunds ......................................... 500.00 515.17 15.17* Other Refunds ........... 50.00 7.36 42.64 Sec’y of Co. Assn, of School Boards 300.00 300.00 Supreme Court — Justice Chidsey 2,800.00 2,657.70 142.30 Supreme Court — Salary of Sec. 2,800.00 2,800.00 Civilian Defense ................................. 5,000.00 3,811.48 1,188.52 Contributions to Retirement Fund: Secretary’s Salary .............................. 1,000.00 1,000.00 Maintenance of System .................. 300.00 55.44 244.56 Contribution to Fund ...................... 43,000.00 28,300.00 14,700.00 Actuary and System .......................... 800.00 1,800.00 . 1,000.00* Interest ..................................................... 5,000.00 5,000.00 Miscel. (Other Improvements) .. 17,295.00 17,295.00 Bicentennial—Historian’s Expenses 10,000.00 8,016.39 1,983.61 Flood Control ..................................... 1,000.00 1,000.00 Federal Social Security .................. 25,000.00 7,830.14 17,169.86 Total Miscellaneous ..»..........$ 179,840.00 $ 124,281.04 $ 55,558.96 Debt Service Interest on Bonds ..............................$ 114,915.00 $ ;i4,915.00 $ Principal on Bonds ..........*............. 293,500.00 293,500.00 Salary of Coupon Clerk .................. ' 705.00 2,830.00 2,125.00* Other Expenses ............. 295.00 16.78 278.22 Total Debt Service ..................$ 409,415.00 $ 411,261.78 $ 1,846.78* Unpaid Bills of Prior Years........... 20,000.00 39,002.97 19,002.97* Miscellaneous ....................................... 179,840.00 124,281.04 55,558.96 Highways................................... 28,150.00 9,816.30 18,333.70 Corrections ............................................. 259,818.00 259,141.94 676.06 Total General Government * . 778,320.00 714,405.03 63,914.97 Total ................... $ 1,675,543.00 $ 1,557,909.06 $ 117,633.94 BOND AND SINKING FUND BALANGE SHEET Jan. 1 Jan. 1 Increase 1953 1954 Decrease* ASSETS Cash — Sinking Fund Account ............$ 402,885.02 $ 409,573.00 8 6,687.98 Cash — Coupon Account ......................... 5,172.50 937.55 4 234.95* Future Taxation for Retirement of Bonds .................... 1,146,166.67 852,666.67 293,500.00* Investments ................................................... 1,600,000.00 1,600,000.00 Total .................................................$ 3,154,224.19 $ 2,863,177.22 $ 291,046.97* LIABILITIES Bonds Payable ............................................$ 3,147,000.00 $ 2,816,000.00 $ 331,000.00* Outstanding Interest Coupons .............. 5,172.50 937.55 4,234.95* Unappropriated Interest Earnings __ 2,051.69 46,239.67 44,187.98 Total .................................................$ 3,154,224.19 $ 2,863,177.22 8 291,046.97* STATEMENT OF RECEIPTS AND DISBURSEMENTS Year 1953 Bond & Sinking Coupon Receipts Fund Account Total Interest on Bank Balances ..................$ 4,096.31 $ 4,086,31 Biztosítsa jövőjét —Vegyen us. Savings Bondokat! interest on investments ......................... 40,000.00 40 000 00 General Fund Appropriation .................. 131,000.00 $ 36,602.83 167,602 63 Liquid Fuels Tax ..................................... 162,500.00 78,312.37 240,812.37 Total Receipts ..............................$ 337,595.31 8 114,915.00 $ 452,51! 31 Cash Balance, January 3, 1953 .......... 402,885.02 5,172.50 408,057.52 Totals ...............................................$ 740,481.33 8 120,087.50 8 860,568.83 Disbursements Bonds Retired ...........................................8 331,000.00 $ 331,000.00 Interest Coupons Paid ........................... 8 118,649.95 118,649.95 Cash Transferred to General Fund .. 8 500.00 500.00 Total Disbursements ................8 331,000.00 $ 119,149.95 8 450,149.95 Cash Balance. January 2, 1954 .............. 409.481.33 937.55 410,418.88 Totals ...............................................s 740,481.33 8 120,087.50 8 860,568.83 EMPLOYEES’ RETIREMENT FUND BALANCE SHEET JANUARY I, 1954 ASSETS Interest Credited to Reserve Account ........................................................ L475.29 Total Assets ............................................................................................$ 493,904.03" LIABILITIES Members’ Annuity Reserve Account (Active) ............................................$ 32,590.04 County Annuity Reserve Account (Active) ......................................... 27,043^52 Retired MeiVibers Reserve Account .................................................... ’. ’ 57[615.78 County Annuity Reserve Account (Prior Service) ................................ .$ 379,054.69 Total Liabilities ..................................................................................$ 496,904.03 STATEMENT OF RECEIPTS AND DISBURSEMENTS EMPLOYEES' RETIREMENT FUND Receipts Members’ Contributions ..................................................................................$ 34 683.21 County Contributions (Current Service) ............*................................... 27[?Oo!oo : County Contributions (Prior Years Service) ......................................... 14Í10ÍL00 Interest Received on investments .............................................................. Interest Received on or from Appropriations ......................................... 5,000.00 k , ~T.otal Receipts ................................ $ 81,468.21 Cash Balance, January 1, .1953 ...................................................................... 10,042.46 $ 91,510.67 j Disbursements Retired Payments ..............................................................................................* 2,337.68 Contributions Refunded ................................................................................ 1 834 43 Contributions Refunded — C.A.R.A. Prior Service ............................. 6Í909.77 Death Benefits Paid Under Option No. 1 ............................................... Total Disbursements .........................................................................$ 11,081.93 Cash Balance. January 1, 1954 .................................................................... 80,428.74 $ 91,510.67 — INSTITUTION DISTRICT UALAN0E SHEET Increase _ Assets Jan. 3,' 1953 Jan. 2, 1954 Decrease* Cash Available .........................................$ 43,963.67 $ 55,992.54 $ 12,028.87 Cash—Petty Cash Account .................... 300.00 400.00 100.00 Cash—Trust—Maintenance of Children Total Cash .....................................$ 44.263.67 $ 56,392.54 $ 12,128.87 Taxes Receivable Real Estate Taxes—Current Year 1953 $ 25,254.65 $ 21,590.72 $ " 3,663.93* Real Estate Taxes—Previous Year 1952 Real Estate Taxes—Prior Years .......... 2,630.27 4,000.96 1,370.69 Total Real Estate Taxes ..........$ 27,884.92 $ 25,591.68 $ 2,293.24* Occupation Taxes—Current Year 1953 13,407.12 12,097.56 1,309.56* Occupation Taxes—Previous Year 1952 2,328.95 2,328.95 Occupation Taxes—Prior Year .......... • ————— - •• Total Taxes Receivable ...........8 41,292.04 8 40,018.19 8 1,273.854 Total Assets .................................8 85,555.71 8 96,410.73 8 10,855.02 Liabilities Trust Fund—Maintenance of Children Reserve for Uncollected Taxes ..........8 41,292.04 8 40,018.19 8 1,273.85* Cash—Petty Cash Account .................. 300.00 400.00 100.00 Cash Available ........................................... 43,963.67 55,992.54 12,028.87 Total Liabilities .........................8 85,555.71 8 96,410.73 8 10,855.02 STATEMENT OF RECEIPTS AND DISBURSEMENTS Receipts Budget Revenues Miscellaneous Sources ........................................ .8 125,414.12 Taxes Prior Years .............................................................. 30,344.60 Taxes Current Levy ............................................................. 514,500.83 Total Cash Revenue ..............................................8 670,259.55 j • Fund Cash Balance, January 3, 1953 .............................. 43,963.67 Total ........................................................................ $ 714,223-22 Disbursements , Budget: General Administration ........................................ 8 32,846.99 County Home Administration ......................................... 7,950.63 County Home ......................................................................... 259 721.00 County Farm ............................................................................ 18,616.01 Maintenance in Other Institutions ................................ 101,742.00 Home Relief .............................................................................. 109 829.12 Contribution to Retirement Fund .................................... 7,000.00 Interest on Bonds .................................................................. 28,275.00 Payment of Principal on Bond Issue ............................ 80,000.00 Roads ......................................................... 200.00 Unpaid Bills of Prior Years ............................................ 4,971.66 Social Security ........................................................................ 1,978.27 Total .............................................................................$ 653,130.68 Temporary Loan to Institution Dist. Bond Dept. .. 5,000.00 Transferred to Petty Cash Account ................................ 100.00 Cash Balance. January 2, 1954 ................................. 55,992.54 Total ............................................................................ $ 714,223.22 SUMMARY OF BUDGET OPERATIONS Excess Revenues Anticipated Realized Deficit* Cash from Previous Year ......................8 57,000.00 $ 43,963.67 $ 13,036.33* Miscellaneous Sources ............................. 75,800.00 125,414.12 49,614.12 Taxes of Current Levy—1953 .............. 520,462.00 514,500.83 5,961.17* Taxes of Prior Years .........."i.................. 21,950 00 30,344.60 8.394.60 Total Revenues .........................8 675,212.00 8 714,223.22 8 39,011.22 Balance Unexpended or Over Expenditures Appropriation Expended Expended* General Administration ..........................8 53,100.00 $ 32,846.99 $ 20,253.01 County Home Administration .............. 6,360.00 7,950.63 1,590.63* County Home ................... 212,600.00 259,721.00 47,121.00* County Farm ............................................. 24,300.00 18,616.01 5,683.99 Maintenance in other Institutions ___ 95,600.00 101,742.00 6,142.00* Home Relief ................................................. 138,350.00 109,829.12 28,520.88 Contribution to Retirement Fund ___ 7,000.00 7,000.00 Interest on Bonds ....................................... 28,275.00 28,275.00 Payment to Sinking Fund— To Cover Principal ......................... 80,000.00 80,000.00 Roads .............................................................. 2,000.00 200.00 1,800.00 Unpaid Bills of Prior Years .................. 10,000.00 4,971.66 5,028.34 Social Security ............................................. 8,000.00 1,978.27 6,021.73 I Contingencies ............................................... 9,627.00 9,627.00 j Total Expenditures ..................8 675,212.00 $ 653,130.68 8 22,081.32 r* j