Verhovayak Lapja, 1950 (33. évfolyam, 1-12. szám)
1950 / Verhovay Journal
August 16, 1950 Verhovay Journal Sick Benefits Paid to Members in June, 1950 (Continued from page 8) 133.) Alexander Balog 35.42, Frank Fekete 42.28, John Kopeezky 27.42 136. ) Alexander Takacs 22.90 137. ) Frank Bodnar 59.42 138. ) Julius Vajda 9.14 141.) Mrs. William Kaldy 37.70, Alexander Pocza 36.56, Mrs. Martha Pocza 15.00 143.) Emery Majancsik 13.18 145.) Andrew Horvath 10.28, John Lutz 11.44, John Sirotnyak 62.84 152. ) George Lemak 18.34 153. ) Mrs. John Massar 35.42 157.) Mrs. John Kondrat 27.42 159. ) John M. Krisztián 30.84 160. ) Joseph Orbán 11.42, Louis Szabó 20.56 163. ) Paul Marko 40.00 164. ) Andrew Dobis 52.56, John Drienka 36.60, Louis Fodor, Jr. 18.28, Joseph Janik 11.42, Anton Szeles 8.02, Michael Zavatkay 37.70 166.) Stephen Piriczki 21.74 168.) Alexander Cseh 34.28, Mrs. Joseph Navratil 35.42 170. ) Louis' Kulcsár 9.14 171. ) Edward Kosa 22.88 172. ) Mrs. William M. McKee 30.00 174. ) John Burzon, Jr. 33.14, Joseph Cibolya 121.14, Mrs. Raymond Hayes 15.00, Joseph Kish 17.14, Mrs. Elizabeth Madar 80.00, Julius Regenye 33.14, Mrs. Helen Sarokas 15.00, Andrew Takach 40.56, Julius Vaskó 36.56 175. ) Stephen György 22.88, Andrew Matyi 39.98 176. ) Julius Burkus 58.28 Distribution of Assets According to Funds Senior O. Trust F. Junior O. TOTAL R. E. H. O. Bldg. Less Reserve 132,674.61 14,555.20 118,846.68 10.292.33 512,576,89 8,936,538.a7 34,798.44 198,527.86 65.917.82 22.975.34 132,674.61 14,555.20 148,846.68 10.292.33 524,396.57 10,011,974.41 34,798.44 259,442.48 74,238.05 22.975.34 R. E. Hung. Hall .............. Mtge Loan A/C .............. ' Branch R. E..................... I.oans and Liens ............................. _ 11,819,68 987,228.20 Bond A/C ..................................... Stock A/C .............................. 88,207,64 Cash A/C .............................................. Savings A/C .................. 10,407.32 8,320.23 50,507.30 Machinery Less Reserve . . TOTAL: ................................ $10,077,703.74 $106,935.19$1,049,555.18 $11,234,194.11 JOHN SZALANCZY, National Treasurer. JOHN SABO, National Auditor. PAGE 9 177.) Joseph Fedran 28.56 180.) Mrs. Joseph Lukacs 34.28, Charles Olajos 48.00, Mrs. Julius Soltész 32.00 186. ) Andrew Illés 8.00 187. ) Mrs. Joseph Doroghazi 18.28, Mrs. Stephen László 35.42, Mrs. Joseph Nyers 16.57 189.) Mrs. Stephen Keyekes 40.00, Andrew Keszeg 46.84, Emery Kosso 25.14, Leamon Stiffler 10.32 194.) Mrs. John Kovács II. 19.46 197.) Nicholas Levay 36.56, Joseph Marosi 75.40, Elizabeth Miller 14.84, Mrs. Louis Muchi 21.70 201.) Michael Simzisko 26.28 204.) Peter Burányi 17.16 208. ) Izsa Lorincz 33.14 209. ) John Konya 69.70 213. ) John Lukach 34.84 214. ) Frank Aurer 20.56, Mrs. Stephen K. Kovach 37.70, Nándor Muller 34.32 , Stephen Sallay 48.00 215. ) John Polanyi 2.28, Charles Vukits 29.70 216. ) John Falman 6.84, Mrs. John Hacker 15.00, John Szőke 36.56 218.) Joseph Balazs 34.28 220. ) Mrs. John Soltész 16.76 221. ) Nicholas Boronkai 28.58 (Continued on page 12) Statement for the Month of MAY, 1950 Mortuary Disability Trust Junior O.Junior O. Expense TOTAL Fund Fund Fund Fund Exp. Fund Fund I. Balance from Prev. Month 9,510,551.44 520,180.17 111,202.56 1,014,527.63 21,886.50 7,482.78 11,185,831.08 Monthly Dues .......................................... Interest on Mortgage Loans ................... Int. on Mbr. Certif. Loans ..................... Interest on Bonds ...„.................................. Dividends on Stocks ............................... Interest on Bank Deposits ....................... Int. on Real Estate Loans ..................... Home Office Bldg. Income ..................... Profit on Sale or Mat. of Bonds ............. Deposits to Trust Fund ......................... Handling Charges — Cash Surr........... Hdlg. Charges — Certif. Loans .......... Employees and Officers Soc. Sec. Deductions ......................... Employees and Officers With. Tax Deductions ....................... Miscellaneous Income .............................. 68,599.38 694.21 168.20 19,082.79 333.04 242.82 123.48 3,139.50 2,633.43 II. INCOME 14,543.25 -----.-243.75 13,477.04 12.35 1,083.75 2,450.60 3,012.86 88.00 .70 18,018.44 370.50 4.50 164.2-5 1,161.85 15.00 117,088.71 694.21 180.55 20,410.29 333.04 242.82 123.48 3,139.50 2,633.43 3,012.86 458.50 5.20 164.25 1,161.85 15.00 Total Income 95,016.85 11,543.25 3,256.61 14,573.14 2,539.30 19,734.54 149,663.69 TOTAL 9,605,568.29 534,723.42 114,459.17 1,029,100.77 m. DISBURSEMENTS 24,425.80 27,217.32 11,335,494.77 Death Benefit Claims .......... 33,685.92 Matured Endowments ............. 4,250.00 Cash Surrenders ................................ 8,647.11 Home Office Bldg. Disb....................... 3,361.35 Investment Expenses .......... 892.32 Monthly Dues Refunds .......................... 263.50 Sickness and Accident Claims ..... Permanent Disability Claims ..... Medical Examinations .................... Paid Trust Deposits .........1.............. Premium Refunds ....................... Commissions ...................................... Collection of Dues ........................ Inspection of Risks ......................... Office Employees Salaries ........... Salaries — Officers ......................... Travel and Other Expenses .......... Branch Office Rentals ................. Home Office Rental ........................ Gen. Office Maintenance Exp........ Office Machinery Maint.........-..... Advertising, Printing, Sta.............. Postage, Tcleg., Tele., Express ... American Hungarian Fed................. Verhovay Fund ................................. Official Publication ......................... Other Legal Expenses .................... Furniture and Equipment ............. Books, Newspapers, Periodicals ..... Insurance ........................................... Actuarial and Auditing Exp.......... Sports Activities ........................... 17,656 400 47 00 45.00 7,523.98 1,78900 48.53 230.31 25.00 1,181.13 697.39 51600 2,049.91 4,915.86 8.30 4,921.81 2,000.00 544.65 155.50 910.00 47.99 42.45 857.93 1,286.10 83.33 83.33 977.66 175.00 20.00 1.00 110.11 791.66 '75.00 33,685.92 4,250.00 10,436.11 3,361.35 892.32 312.03 17,656.47 400.00 586.00 7,523.98 230.34 3,231.07 5,643.25 8.30 4,921.81 2,000.00 544.65 155.50 910.60 47.99 42.45 857.93 1,286.10 83.33 83.33 977.66 175.00 20.00 1.00 110.11 791.66 75.00 TOTAL DISBURSEMENTS BALANCE .............. 51,100.20 18,101.47 7,523.98 2,067.87 1,903.52 20,603.62-101,300.66 9,554,468.09 516,621.95 106,935.19 1,027,032.90 22,522.28 6,613.70 11,234,194.11 JOHN SZALANCZY, National Treasurer JOHN SABO, National Auditor