Bethlen Naptár, 1971 (Ligonier)
Jelentés a Bethlen Otthonról
66 BETHLEN NAPTAR BALANCE SUMMARY TOTAL DISBURSEMENTS, January 1 - December 31, 1969...$307,636.49 BALANCE January 1, 1969 - December 31, 1969 Balance January 1, 1969 _________________________________$ 35,279.64 Income, January 1 - December 31, 1969 ___________________ 335,503.33 Total Income, January 1 - December 31, 1969 ........................$370,782.97 Disbursements, January 1 - December 31, 1969 .......................-307,636.76 $ 63,146.21 Transfer from General Fund to Savings Account (Bela Bacsó Bequest) ................................................................... 25,000.00 $ 88,146.21 Transfer from Savings Account to General Fund and then as loan to Bethlen Freedom Press, Inc...................- 10,000.00 $ 78,146.21 INCOME: First Quarter January _________ $ 32,480.58 February ___________ 20,312.96 March ______________ 20,371.43 Total ___ $ 73,164j96 Second Quarter April __ .$ 23,491.85 May _____________ 24,364.30 June ___________________ 24,081 j2i9 Total___________4 71,937.44 Third Quarter July ..................................$ 24,901.48 August .......... 22,089.45 September ____ 23,933.57 Total ............... $ 70,924.50 Fourth Quarter October __________ $ 27,691.96 November ............... 59,481.08 December________ 32,303.39 Totail................................,$lili9,476.43 TOTAL INCOME, January 1 - December 31, 1969 ...............$335,503.33 DISBURSEMENTS: First Quarter January .............. j$ 32,405.00 February __________ 17,449.50 March _____________ 18,252.86 Total .................... .$ 68,107.36 Second Quarter April ______________4 21,528.42 May_______________ 21,996.33 June __ 20,339.82 Total __ 4 63,864.57 Third Quarter July .................... $ 26,322.51 August ____________ 24,282.60 September ........... 24,257.23 Total .............................$ 74,862.34 Fourth Quarter October ....... 4 26,120.04 November ..... 49,181.07 December _________ 25,501.38 Total ....... $100,802.49