Bethlen Naptár, 1964 (Ligonier)
A Bethlen Otthonból
BETHLEN NAPTÁR 101 REPORT OF THE BUILDING FUND FROM ITS BEGINNING Income Year Disbursements $ 25,711.39 ......................................... 1959 ......................................... $ 20,240.86 43,236.75 ........................................... 1960 21,963.10 110,672.66 ........................................... 1961 113,162.71 270,877.25 ........................................... 1962 288,584.38 49,747.61 ..................... first six months of 1963 ..................... 52,363.46 $500,245.66 ......................................... Total ......................................... $496,314.51 Balance Income......................................................................$500,245.66 Disbursements ...................................................... 496,314.51 Balance. $ 3,931.15 CLASSIFIED REPORT Income Contributions from individuals, churches and organizations.........$ 49,493.89 Contributions from general fund of Bethlen Home ..................... 6,000.00 Contributions from foundations ............................................................. 53,551.77 Contribution from Hungarian Reformed Federation of America 50,000.00 Loan from Hungarian Reformed Federation of America ........... 340,000.00 Miscellaneous .............................................................................................. 1,200.00 Total income..................................................................................................$500,245.66 Disbursements Construction (Cambria Engineering & Contracting Co.).................$394,696.09 Construction equipment (John Hall, etc.) ............................................ 22,213.32 Architect’s fee ............................................................................................. 46,087.00 Meeting, literature, administration .......................................................... 12,813.47 Interest on loan ........................................................................................ 20,504.63 Total disbursements....................................................................................$496,314.51 Balance Income.....................................................................$500,245.66 Disbursements ...................................................... 496,314.51 Balance. .$ 3,931.15