Verhovayak Lapja, 1950 (33. évfolyam, 1-12. szám)

1950-05-03 / 5. szám

8-IK OLDAL Verhovayak Lapja May 3, 1950 1950 március havában utalt betegsegélyek SICK BENEFITS PAID TO MEMBERS IN MARCH 1950 (Folytatás a 7-ik oldalról) 168.) Alex Bohar 33.14, Louis Ko­vács 12.56, Mrs. Joseph Navratil 25.14 171. ) Edward Kosa 32.00 172. ) Mrs. Joseph Danka 33.14 174. ) Mrs. Armand Garofoli 15.00, Gáspár Ivankovics 21.70, Edmund G. Kallay 12.56, Louis Kovács 35.42, Mrs. Elizabeth Madar 48.00, Joseph S. Penkala 14.84, Joseph Szarka 66.28, Andrew J. Toth 32.00, Stephen Toth 45.70, Michael Zajac 51.42 175. ) Stephen György 67.42, Mary Mayer 41.14 177.) Steven Arway 35.42 180.) Mrs. Julius Soltész 32.00 186. ) Andrew Lukacs 38.84 187. ) Anthony Butkovic 12.00, John Chepiye 25.14, Joseph Devus 9.14, Mrs. Stephen László 22.84, Andrew Orsi 32.00, Mrs. John Vivőd 43.42 189.) George Adam 76,56, Leamon Stiffler 32.00 194.) Mrs. John Kovács II 33.14 197.) Joseph Marosi 54.84, Mrs. Elizabeth Seypura 27.42, Joseph Sorg 36.56, Joseph Torma 41.14 200. ) Gabriel Horvath 20.56, Mrs. Louis Kenez 26.28 201. ) Michael Simzisko 76.56 204.) John Borsos 34.28, Peter Bu­rányi 45.70, Stephen Schmidt, Jr. 58.28 208. ) Gedeon Torok 35.42 209. J Joseph Fischl 10.28, Nicholas Toth 14.36 213. ) John Lukach 10.85 214. ) Mrs. Charles Forro 9.14. Mrs. Stephen K. Kovach 57.14, Nándor Muller 30.84, Aladar Orosz 30.84 215. ) Stephen Besonhofer 29.70, Mrs. Elizabeth Kuntz 24.00 218.) Joseph Balazs 35.42, Joseph Kish 25.14 220. ) Gabriel Geczy 30.84, Mrs. John Soltész 55.98 221. ) Nicholas Boronkai 32.00, James Kapoli 10.28 222. ) Arthur Refosco 32.00 226.) Mrs. Julia Balogh 35.42, Mi­chael Dudás 33.14, Michael Kolesza­­rik 34.28 230.) Susan Yurcso 35.42 237.) Charles Kos 25.14, Mrs. Eli­zabeth Rumics 28.56' 239.) Mrs. Andrew Baricsko 20.56, Mrs. Julius Bino 25.14, John Kruy 16.00, Martin László 26.28, Mrs. Mar­tin László 33.14, Mrs. Bertalan Szi­­nyai 27.42 247.) Stephen Balogh 33.14, ••Joseph (Folytatás & P ik oldalon) Distribution of Assets According to Funds Senior O. Trust F. Junior O. TOTAL K. E. H. O. Bldg. Less Reserve ........... 132,866.79 R. E. Hung. Hall 15,555.20 Mtge Loan A/C ....................................... 152,128.83 Branch R. E. ................................... 11,005.82 Loans and Liens ................................. 511,018.61 Bond A/C .................................................. 8,862,446.16 . Stock A/C .................................................. 34,798.44 Cash A/C ................................................CL 137,337.58 Savings A/C ............................................. 65,617.54 Machinery !L*Ss Reserve ...........;.....-..... 22,975.34 TOTAL: ................................. 9,945,750.31 JOHN SZALANCZY, National Treasurer. 88,207.64 2,393.41 13.253.97 11,111.53 953,690.43 40,150.85 132 15 152 11 522. 9,904 34 179 78 22 866.79 ,555.20 ,128.83 ,005.82 130.14 344.23 798.44 881.84 ,871.51 ,975.34 103,855,02 . 1,001.952.81 11,054,558.14 JOHN SABO, National Auditor. Statement for the Month of February, 1950 Mortuary Disability Trust Junior O.Junior O. Expense TOTAL Fund Fund Fund Fund Exp. Fund Fund Balance from Prev. Year ................... 9,361,538.05 515,491.76 102,748.00 970,320.93 19,647.42 7,586.80 10,977,332.96 Monthly Dues ............................................. Interest on Mortgage Loans ................... Int. on Mbr. Certif. Loans ..................... Interest on Bonds ...................................... Dividends on Stocks ................................. Int. on Bank Deposits ............................. Int. on Real Estate Loans ..................... Home Office Bldg. Income ..................... Deposits to Trust Fund ... ..................... Handling Charges — Cash Surr........... Hdlg. Charges — Certif. Loans ........... Employees and Officers Soc. .Sec, Deductions .. Employees and Officers With. Tax Deductions 79,320.87 659.72 237.73 12,590,33 333.04 16.15 19.54 3,689.50 II. IN C O 31E 16,869.40 ------, 287.40 1.674.61 14,447.44 35.65 1,165.42 3,646.24 68.50 .90 20,633.82 330.00 5.50 184.29 1,341.25 134,917.77 659.72 275-38 14,043.15 333.04 16.15 19.51 3,689.50 1,671.61 393.50 6.10 184.29 1. ' 1,341.25 Total Income ..................96. 866.88 16,869.40 1,962.01 15,648.51 3,715.64 22,194.86 157,557.30 TOTAL 9,458,404.93 532,361.16 104,710.01 985,969.14 III. DISBURSEMENTS 23,363.06 30,081.66 11,134,890.26 * / Death Benefit Claims ................ 23,778.57 Matured Endowments ............................... 3,500.00 Cash Surrenders ......................................... 6,938.09 Home Office Bldg. Disb............................ 1,107.79 Investment Expenses ............................... 13.39 Sickness and Accident Claims ............. .........— Paid Trust Deposits •— Monthly Dues Refunds ............................. 540.17 Accrued Bond Interest ............................. 463.75 Premium Refunds ................................-...... ........•— Commissions ......................................... .......•— Collection of Dues .................................. .......■— Medical Examinations ............................. .........— Inspection of Risks ................................... .......•— Office Employees Salaries ..................... Salaries — Officers ................................. Travel and Other Expenses .................. Insurance Dept. Fees ............................... Branch Office Rentals ........................... Home Office Rental ................................. Gen. Office Maintenance Exp................. Office» Machinery Maint........................... Advertising, Printing, Sta...................... Postage, Teleg., Tele., Express ........... American Hungarian Fed.......................... Verhovay Fund .......................................... Official Publication ................................... Other Legal Expenses ............. Books, Newspapers, Periodicals ............. Insurance .................................................... Actuarial and Auditing Exp................... Sports Activities .*.................................... Social Security Federal Tax ................... Collector of Internal Revenue — Jan. Withheld Taxes ............ 12,19790 5595 834.99 1,844.32 13.04 154.08 818.38 1,758.13 979.29 7,553.77 75.00 590.01)----.— 5.35-----.— 5,653.78-----------.— 2,000.00----.— 788.64----.— 315.00-----.— 128.00 —-—{■— 910.00----.— 44.47----.— 146.57 495.58 1.426.77-----.— 1,202.31----83.33----.— 83.33----.— 915.89----.— 175.00----69.59 —.— 283.21----.— 340.50-----.— 325.00-----.— 315.30 23,778.57 3,500.00 8,782.41 1,107.79 13.39 12,497.90 854.99 563.21 463.75 154.08 2,576.51 8,538.06 665.00 5.35 5,653.78 2,000.00 788.64 315.00 128.00 910.00 44.47 , 146.57 1.978.30 1.202.31 83.33 83.33 915.89 175.00 69.59 283.21 340.50 325.00 315.30 1,082.89 1,982.89 TOTAL DISBURSEMENTS .......... 36,341.76 12,553.85 854.99 2,011.44 2,368.25 26,201.83 80,332.12 BALANCE ............................ ===== 9,422,063.17 519.807.31 103,855.02 983,958.00 20,994.81 3.S79.8Í.11,054,558.14 JOHN SZALANCZY, National Treasurer JOHN SABO, National Auditor

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