Verhovayak Lapja, 1951 (34. évfolyam, 1-12. szám)
1951-08-01 / 8. szám
6-IK OLDAL Verhovayak Lapja 1951. augusztus 1. 1951, május havában utalt betegsegélyek SICK BENEFITS PAID TO MEMBERS IN MAY, 1951 (Folytatás az 5-ik oldalról) 73.) John Orbán 35.42, Mrs. Elizabeth Pavlik 29.70, Julius Pécsi 34.28, Gabor Szeker 64.62, Emery Takacs 71.98 76.) Julius Banyai 18.88, Mrs. John J. Fodor, Jr. 15.00, Stephen Szemes 9.14 78.) John Kuspal 34.28, Mrsr Anna Malazich 34.28 81.) John Borso 34.28 84. ) Joseph Kusnyer 34.28 85. ) Elizabeth Corey 36.56, Stephen Danyi 17.14, John Demeter 34.28, Mrs. Louis Kueera 42.28, Alexander Szabó 49.14 86. ) Albert Takach 21.70 87. ) Mrs. Joseph Goller 35.42, Kalman Varga 45.70 88. ) Mrs. Lena Alberti 35.42, Fiorente Avi 40.00, Mary Baroni 32.00, Mario Bassetti 30.28, Joseph Chobody 16.00, Frank Ferrence 24.02, Joseph Goulish 40.00, Michael Lukacs 71.98, Mrs. Samuel Najpauer 36.56, Mrs. Clara Vicini 24.00 89. ) Ida palmi 40.00, Charles Kun 21.70, George K. Toth 35.42 90. ) Mrs. Kenneth W. Martin 30.84, Stephen Milkovics 34.28, Joseph Sikler 34.28, John Struhar 12.56, Stephen Toth 6.84 91. ) Joseph Bordás 33.14, Mrs. Ralph Lewis 15.00, Mrs. Stephen Mezo 37.70, Mrs. Paul Molnár 35.42, Mrs. Joseph Papp 64.00, John Prack 22.84 96.) Mrs. Rose Abram 69.70, George Pall 48.00 98.) Joseph Kozo 83.42, Joseph Wolf 34.28 100.) Mrs. Stephen Bernath 42.28, Joseph Szalai 35.42 106. ) Michael Kopervacz 30.84 107. ) Louis Cservenka 34.28, Joseph Farkas 56.00, John Fulesi 84.56, Stephen Topolyi 122.28 108. ) Mrs. Andrew Debrovszky 34.28, Joseph Dobos 82.28, Mrs. Alexander Doka 32.00, John Fedor 28.56, Geza Kohut 35.42, Joseph A. Szalay 29.70 114.) Joseph Valent 22.84 116. ) Simon D. Garrto 8.00 117. ) Mrs. Leslie Gönczi 34.28 119. ) Mrs. Joseph Chechery 6.34, Joseph Csicsery, Sr. 33.14, Frank Szabó 56.00 120. ) Mrs. Helen Levandoski 27.42 121. ) Michael Baligh 38.84, Joseph Szabó 67.42, Alexander Varga 48.00 123.) Julius Argyilan 25.14, Steven Gazi 15.42 (Folytatás a 7-ik oldalon) Distribution of Assets According to Funds \ * Senior Order Trust Fund Junior Order TOTAL R.E. H.O. Bldg. Less Reserve Mtge Loan A/C .. Branch R.E............. Loans and Liens . Bond A/C ........... Stock A/C ........... Cash A/C .............. Savings A/C ........ Machinery Less Reserve ................... 127,694.06 ■268,077.59 • 11,027.10 527,631.31 9,694,234.33 34,288.17 80,846.63 35,777.94 15,316.89 94,098.00 7,919.33 8,403.63 15,838.95 1,130,012.71 33,102/41 127,694.08 268,077.59 11,027.10 543,470.26 10,918,345.04 34,288.17 121,868.37 44,181.57 15,316.89 TOTAL ............................ JOHN SZALANCZY, National Treasurer $10,794,894.02 $110,420.96 $1,178,954.07 $12,084,269.05 JOHN SABO, National Auditor Statement for the Month of May, 1951 i. Balance from Prev. Month Monthly Dues _____________________... Int. on Mortgage Loans ........................ Int. on Mbr. Certif. Loans __________ Interest on Bonds __________________ Dividend on Stocks .................................... Interest on Bank Deposits ................._... Int. on Real Estate Loans ...................... Home Office Bldg. Income .................. Profit on Sale or Mat. of Bonds ............ Hdlg. Charges — Cash Surr................. Hdlg.. Charges — Certif. Loans ........... Deposits to Trust Fund ........................ Employees and Officer# Soc. Sec. Deductions ......s................. Employees and Officers Withholding Tax Deductions _____ Total Income ...................................r TOTAL ........................................ Death Benefit Claims .......................... Matured Endowments ........................... Cash Surrenders ___________________ Home Office Bldg. Disb........................... Investment Expenses ............................... Actuarial and Auditing Expenses ........... Monthly Dues Refunds ............................. Accrued Bond Interest .......................... Sickness and Accident Claims ____.-.__ Permanent Disability Claims .................. Paid Trust Deposits ________________ Dividends ......................................._........ Premium Refunds __________________ Commissions ................................................ Medical Examinations ............................ Collection of Dues .................................. Insurance Department Fees ................... Inspection of Risks ________________ Office Employees Salaries ___________ Salaries — Officers ...............!................. Travel and Other Expenses .................. Branch Office Rentals ............................ Home Office Rental ............................... Gen. Office Main. Expense _________ Office Mach. & Other Equip. Main. __ Adv., Printing, Sta. ............................. Postage, Teleg., Tele., Express ............ American Hungarian Federation ____ Verhovay Fund ....................................... Official Publication ............................... Other Legal Expenses ______________ Books, Periodicals, Newspapers ........... Insurance, Except on Real Estate ........... Soc. Sec. Federal Tax ..........................._ Collector of Internal Revenue April Withheld Taxes ..................... 33,965.91 13,023.90 1,513.77 12,248.87 4,815.10 10,270,559.00 576,227.47 111,871.44 IU, b I S B ü R S E M E N T S 34,059.56 — 1,165,032.00 18,063.69 3,000.00 7,162.69 5,148.06 876.00 191.66 292.46 268.47 128.42 16,844 200 92 00 1,450.48 928.00 105.43 35.12 414.84 1,571.78 38.00 761.95 286.50 Mortuary Fund 10,186,593.09 Disability • Fund 563,203.57 Trust Fund 110,357.67 Junior O. Fund 1,152,783.13 Junior O. Exp. Fund 13,248.59 Expense Fund 15,848.45 57,291.40 1,338.53 125.80 21,280.46 341.73 92,07 28.65 3,239.84 229.43 II. INCOME 13,023.90 ------11,154.50 4,763.30 25,061.14 • / 10.62 1,083.75 ' 333.75 ' ' ' * 51.50 .30 312.00 3.50 1,180.02 168.80 * 1,764.96 27,310.40 2.968.82 440.00 6,312.25 99.62 13.90 5.175.82 2,200.00 1,487.00 155.50 910.00 80.29 22.35 1,885.61 1,307.87 83.33 83.33 1,119.22 175.00 25.00 125.39 444.04 1,764.72 TOTAL 12,042,034.50 111,294.24 1,338.53 136.42 22,697.96 341.73 92.07 26.65 3,239.84 229.43 363.50 3.80 1,180.02 168.80 1,764.96 142,877.95 43,158.85 12,184,912.45 34,059.56 3,000.00 8,090.69 5,148.06 876.00 191.66 397.89 268.47 16,844.921 200.00 1,450.48 163.54 414.84 4,540.60 478.00 7,074.20 99.62 13.90 5,175.82 2,200.00 1,487.00 155.50 910.00 80.29 22.35 2,172.11 1,307.87 83.33 83.33 1,119.22 175.00* 25.00 125.39 444.04 1,764.72 TOTAL DISBURSEMENTS ...— 51,127.32 17,044.92 1,450.48 1,483.39 2,658.23 26,879.06 100,643.40 BALANCE ......................... 10,219^4.31.68 559,182.55 110,420.96 1,163,548.61 15,405.46 16,279.79 12,084,269.05 JOHN SZALANCZY, National Treasurer