Verhovayak Lapja, 1950 (33. évfolyam, 1-12. szám)

1950-03-01 / 3. szám

S-.TK OLDAL Verhovayak Lapja 1950. március 1. 1950 január havában utalt betegsegélyek SICK BENEFITS PAID TO MEMBERS IN JANUARY 1950 (.Folytatás a 7-ik oldalról) 53. ) Joseph Toth 36.56 54. ) Mrs. Stephen Czako, Jr. 53.70, Alex Szucs 48.70 57.) Joseph Kurucz 37.70, Gustave Takacs 20.56, George Tarnak 32.00 59.) Mrs. Amelia Molnár 24.00 63.) William L. Ando 24.00 64.) Stephen Janik 29.70, Theodore Vecsey 32.00 68. ) Samuel Ando 27.42 69. ) Mrs. Joseph Simko 33.14 70. ) Andrew Dobovicski 43.42, John Fazekas 21.70 73.) Joseph Black 25.14, Gabor Szeker 35.42 76.) Julius Banyai 28.56, Autón Hudi 49.14, Robert Mate 34.28, Gabor Papp 35.42 81.) Mrs. John Kozej 13.70 85. ) Joseph R. Gall 63.98, Mrs. Eli­zabeth Kovács 28.56 86. ) Frank Magyar 34.28 88.) Rosario Baroni 45.70, Géza Bo­­dis 8.00, Sylvester Brochetti, Jr. 28.56, Frank Ferrence 36.58, Mrs. John fol­iar 14.28 90.) Peter Berta 14.28, Mrs. Emery Filko 27.42, Mrs. Kalman Kancsal 31.98, Mrs. William J. Wehinger 36.56 91.) Emery Kreiner 81.53, Mrs. Emery Nagy 41.56, Joseph Pinczes 14.85, Mrs. John Stimac 15.00 96.) Alexander Kish 14.85, Mrs. Frank Krivan 59.42 98.) John Buki 56.55 106. ) William Toth 34.28 107. ) Louis Cservenka 24.09-111.) Elei: Nimsz 19.42, Mrs. Henry Weitzel 36.56 114.) Mrs. Theresa Krista 27.42 116.) John A. Bacsó 45.70 (Folytatás a Pik oldalon) ANNUAL STATEMENT JANUARY — DECEMBER, 1949 I. Balance from Prev. Year Monthly Dues ............................................. Interest on Mortgage Loans ................... Int. on Mbr. Certif. Loans ..................... Interest on Bonds ....................................... Dividends on Stocks ................................. Int. on Bank Deposits ............................. fnt. on Real Estate Loans ..................... Home Office Bldg. Income ..................... Miscellaneous Income .............................. Profit on Sale or Mat. of Bonds ........... Amortization Increase ......................,........ Reserve Transfer ...................................... Deposits to Trust Fund ......................... Trust Fund — Over 1% Inc...................... Handling Charges — Cash Surr........... Hdlg. Charges — Certif. Loans ........... Total Income .......................... TOTAL Death Benefit Claims ........................ Add. Accidental Death Ben. .......... Matured Endowments ........................ Cash Surrenders .................................. Other Legal Expenses ........................ Home Office Bldg. Disb..................... Hungarian Hall Disb........................... Investment Expenses ..............,........ Loss on Sale or Mat. of Bonds .... Depreciation of H.O. Bldg. R.E........ Decrease by adj. of R.E. Owned ..... Amortization/ Decrease .................... Loss of Savings Acct. Asset ............ Monthly Dues Refunds ...................... Accrued Bond Interest ...................... Sickness and Accident Claims ...... Permanent Disability Claims ............ Medical Examinations ...................... Miscellaneous Expenses .................... Trust Fund Paid Deposits ................ Over 1% Lnc. to Exp. Fund ............ Premium Reserves ............................ Commissions ..........*............................... Field Supervisors Salaries .............. Field Super. Travel Expense ........ Office Employees Salaries .............. Collection of Dues ............................ Advertising, Printing, Sta............... Actuarial and Auditing Exp............ Reserve Transfer ............................... Inspection of Risks ............................ Salaries — Officers and Trustees . Travel and Other Expenses ........... Insurance Dept. Fees ...................... States Unemployment Tax .............. Social Security Federal Tax ............ Other State Taxes ............................ Branch Office Rentals ................... Home Office Rental .......................... Gen. Office Maintenance Exp. ..... Postage, Teleg., Tele., Express .... Donations Acct..................................... American Hungarian Fed................... VerhCivay Fund .................................... Official Publication ........................... Furniture and Equipment ............... Bureau and Ass’n Dues and Assess. Books, Newspapers, Periodicals .... Insurance ............................................ Sports Activities ................................ Depreciation of Machinery *........... Mortuary Fund 8,577,308.00 Disability Fund 453,133.61 Trust Fund 100,224.49 Junior O. Fund 814,711.96 Junior O. Exp. Fund Expense Fund 3.305.05 TOTAL 9,043,683.11 854,283.27 2,015.70 17,593.00 232,196.18 1,790.96 621.38 469.99 37,850.56 15.05 8,355.42 1,323.15 22,709.50 II. INCOME 186,263.12 ------.-13,867.89 2,644.83 104.51 10.94 163,330.84 29,488.38 260,7 94.94 337.46 24,508.53 14.07 137.25 29,934.36 415.65 12.40 125.80 1,624.14 3.134.25 361.70 v. 1,179,224.16 200,131.01 32,694.64 188,328.15 29,916.43 266,040.83 9,756,532.16 653,264.62 132,919.13 III. DISBURSEMENTS 374,642.73 — 5,500.00 25,054.27 62,100.63 100.00 19,124.00 996.41 3,492.51 335.21 4,928.24 2,000.00 4,797.77 655.06 3,524.50 7,641.35 16 147,691 3,700 . 216 90 133 80 36 46 00 00 00 26,48 1,624 TOTAL DISBURSEMENTS ........ 514,892.68 151,714.26 28,275.36 35,910.50 29,662.59 270.167.56 1,039,622.95 BALANCE ................... ......... 9.241,639.48 501,550.36 104,643.77 967.129.61 253.84— S21.68 10,814,395.38 1,003,040.11 1,425.00 7,64356 27575 )5 481 67 388 89( 68 00 50 14 2,09073 22,709 29,916.43 137.50 1,457.50 .100.00. 28 17.60 626.00 9,926.65 2,291.63 571.62 6.500.00 8,190.59 1.201.00 200.00 159.41 5.997.00 23,254.50 8,208.37 2,047.50 55,117.37 60,959.48 11,967.00 3,107.80 50 267.25 28.980.00 10,672.25 3,354.84 697.01 2,650.61 31.72 l,i 86.00 10.920.00 3,147.48 4.908.77 255.00 1,000.00 1,000.00 10,091.74 5.460.90 656.90 . 421.71 444.88 1.386.12 7.658.45 1,494,160.55 2,015.70 17,930.46 273,217.43 1,790.96 725.89 469.99 37,850.56 140.85 3,369.49 1,471.34 22,709.50 29,934.36 1,624.14 3,549.90 374.10 1,898.335.22 269.345.88 11,845,018.33 377,662.73 5.500.00 25.054.27 69,744.19 2.200.00 19.124.00 ’ 996.41 3,492.51 610.96 ,4,928.24 2,000.00 5,412.10 655.06 4,106.99 8,574.02 147,691.46 3.700.00 6.839.00 90.00 26.481.50 1,624.14 2,090.73 33,181.15 19.500.00 2.619.12 61,617.37 * 69,150.07 13.168.00 3,307.80 22.709.50 267.25 28.980.00 19,672.25 3,354.84 697.01 2,650.61 31.72 1.786.00 10.920.00 3,147.48 4,908.77 255.00 1,000.00 1.060.00 10,091.74 5,460.90 656.90 421.71 444.88 1.386.12 7,658.45 JOHN SZALANCZY, National Treasurer JOHN SABO, National Auditor

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