Bethlen Naptár, 1964 (Ligonier)
A Bethlen Otthonból
100 BETHLEN NAPTÁR Mérleg 1963 junius 30-án Áthozat 1962 junius 30-ról .....................................................................$ 3,711.08 Bevétel 1962-63. költségvetési évben ................................................... 145,689.15 Összes bevétel................................................................................................$149,400.23 Kiadás 1962-63. költségvetési évben ..................................................... 140,171.52 Maradvány 1963 junius hó 30-án..........................................................$ 9,228.71 CLASSIFIED REPORT BUILDING FUND July 1, 1962 — June 30, 1963 A. Income Individual contributions ............................................................................$ 7,992.25 Donations of churches and organizations ......................................... 3,455.15 Special contributions: Laurel Foundation ............................................................................ 5,000.00 Richard M. Scaife ............................................................................. 2,992.50 Cordelia Scaife May ........................................................................ 10,200.00 Hungarian Reformed Federation of America ............................ 25,000.00 Washington (D. C.) and Cleveland drives .................................. 4,819.02 Mrs. Vera Darko, bequest ............................................................. 500.00 In Memóriám donation ..................................................................... 157.50 Loans .............................................................................................................. 36,000.00 Miscellaneous .............................................................................................. 1,400.25 Total income,.................................................................................................$ 97,516.67 B. Disbursements Cambria Engineering and Contracting Co..........................................$ 61,425.06 Supervision (Stephen Gy. Szabó) Architect’s fee ........................... 1,985.64 John Hall, Inc. (14 bathrooms) .......................................................... 16,955.00 Interest on loan ........................................................................................ 13,447.89 Meetings, literature, administration .................................................... 1,032.08 Miscellaneous .............................................................................................. 166.80 Total disbursements....................................................................................$ 95,012.47 Balance Balance as of June 30, 1962 ................................................................$ 1,426.95 Income, 1962-63 .......................................................................................... 97,516.67 Total income..................................................................................................$ 98,943.62 Disbursements, 1962-63 ............................................................................ 95,012.47 Balance as of June 30, 1963 .$ 3,931.15