Bethlen Naptár, 1972 (Ligonier)

Nagy Lajos: Jelentés a Bethlen Otthon életéről

82 BETHLEN NAPTÁR BALANCE SUMMARY FULL YEAR January 1, 1970 - December 31, 1970 INCOME: January ...................................................................................... $ 31,090.41 February .................................................................................... 36,804.86 March ......................................................................................... 30,601.78 April ........................................................................................... 27,671.79 May ............................................................................................. 25,627.07 June ............................................................................................. 26,917.34 July ............................................................................................. 31,613.61 August ......................................................................................... 24,220.21 September .................................................................................. 35,119.55 October ....................................................................................... 33,493.40 November .................................................................................. 28,820.03 December .................................................................................. 38,387.46 $370,367.51 Interest on Savings Account, Jan. 1 - Dec. 31, 1970 ..................... 1,567.43 TOTAL INCOME, Jan. 1 - Dec. 31, 1970 ........................................$371,934.94 DISBURSEMENTS: January ...................................................................................... $ 40,621.05 February .................................................................................... 25,097.73 March ......................................................................................... 24,944.79 April ........................................................................................... 32,797.37 May ............................................................................................. 27,337.43 June ........................... 30,784.03 July ............................................................................................. 36,686.31 August ......................................................................................... 33,200.47 September .................................................................................. 32,078.74 October ....................................................................................... 38,630.98 November .................................................................................. 34,566.35 December ........................................................................................... 48,125.91 TOTAL DISBURSEMENTS, Jan. 1 - Dec. 31, 1970 ................. $404,871.16 Balance January 1, 1970 ......................................................................... $ 78,632.59 Cash Income, Jan. 1 - Dec. 31, 1970 ................................................ 371,934.94 $450,567.53 Disbursements, Jan. 1 - Dec. 31, 1970 .............................................. -404,871.16 BALANCE AS OF DECEMBER 31, 1970 ................................... $ 45,695.37 Balance in Checking Account, December 31, 1970 ..................... $ 21,602.83 Balance in Savings Account, December 31, 1970 .......................... 24,093.54 BALANCE AS OF DECEMBER 31, 1970 ....................................... $ 45,696.37

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