Bethlen Naptár, 1982 (Ligonier)

Bethlen Home Financial Report

1982 263 Bethlen Home Youth Fund Summary For the Year Ended December 31» 1980 Casn Balance, January 1, 1980 $ 1,863.69 Cash Received: Contributions: H. R. F. A. Individuals Sale of Almanacs Sale of Bodes Advertising Income Miscellaneous Income 16,00C.00 ____12^ Beginning Cash Balance and Cash Received Cash Disbursements: Almanac Expenses Meeting Expense Transfer to Building Fund Cash in Bank - Checking, December 31, 1980 16,013.25 5,356.16 1,025.49 115.00 40.87■ 22,550.77 $ 24,414.46 506.88 190.05 10,000.00 10.696.93 $___13.717.53 Bethlen Home Retirement Center Fund Summary For the Year Ended December 31, 1980 Cash Received: Apartment Equity Maintenance and Insurance $25,000.00 125.00 Total $25,125.00 Cash Disbursements: Construction Costs - Unit #2 Architect Fees - Master Plan $ 22,000.00 1.356.25 23,356.25 Cash in Bank - Checking, December 31, 1980 $1.768.75 Archive Fund Summary Various Contributions Received $710.00 Cash in Bank - Savings, December 31* 1980 $710.00

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