William Penn, 1957 (40. évfolyam, 1-12. szám)
1957-01-02 / 1. szám
PAGE 8 January 16, 1957 William Penn I Flood City News | MBranch 8-V Johnstown, Pa.I I By Stephen Petruska | í2farS!-2,a3rSi-as.asiSr2i&3-(aa-s.-a3iS<a'iS>.Sf*? Branch 8-V of the William Penr. Fraternal Association held its regular monthly meeting December 16, 1956, at Mrs. Dusza’s Hall, Sixth Avenue and Chestnut St. Thirty-six members were present and the meeting' was called to order by president Stephen Lengyel. The minutes of the November meeting were read by Alexander Sabo, controller, which the members accepted and approved. President Lengyel appointed Mrs. Stephen Petruska, Jr. and Sigismund Molnár to affix their signatures. The treasury report was then read and approved. The proceeds of the Quarter Century Club banquet will be announced at the January meeting. Frank Dudash Sr. and Mrs. Mary Dopriak were called upon to make a report on the activities of the ‘‘Friends for Hungarian Relief.” Mr. Dudash reported that the first truck load • of clothes was assorted and packaged with the assistance of Ellis Strozak, then weighed and loaded. Over two thousand pounds were shipped through the Ward Trucking Firm. Mrs. Mary Dopriak reported that to date one thousand thirty dollars had been raised, the latest contribution being one hundred dollars from the local office of the Metropolitan Life Insurance Co. A motion was brought on the floor for the election of officers for the coming year of 1957. With the resignation of president Lengyel, Michael Faczan was appointed chairman and Frank Dudash Sr. recording secretary. Mr. Dudash was nominated for the presidency and. unopposed, was elected to the office. Mrs. Mary Dopriak was reelected vice president. Alexander Sabo remained as controller. Mrs. Michael Faczan and John Angyal were elected auditors, Mrs. Anna Szuch and Mrs. Faczan were appointed sick visitors. The new officers were sworn in by former president Lengyel. The meeting was then adjourned. 'Jf. Andrew Havrilla, brother of Michael Havrilla, captain of the William Penn Cement Finishers Bowling Team of Branch 8-V and employed in the Johnstown office of the PSES for the past two years, has been assigned as an interviewer on Naval Transports which are to bring Hungarian Refugees to The United States. Mr. Havrilla is one of the four PSES employees who have volunteered. All speak Hungarian. Officer GERALD KURTZ Gerald Kurtz, member of Branch 8-V, was elected president of the Flood City Lodge 86, Fraternal Order of Police. Patrolman Kurtz was unopposed for the post. He succeeds Detective Rayman Bender who held the top post since 1954. We deeply regret the death of I Mrs. Andrew’ Dudash, one of the oldest and dearest members of Branch 8-V, Johnstown, Penna., who passed away December 27, 1956. Mrs. Dudash is survived by two sons, Frank of 385 Beatrice Avenue, and John at home, 491 Sheridan Street. LAPSED FROM EXTENDED — OCTOBER 1956 14. V. Latos John; 15. V. Galassi Mrs. Peter; 31. V. Nagy Alexander; 43. V. Gregg William K.; 46. V. Kalman Karoly; 130. V. Chado William A., Jr.; 138. V. Domonkos Olga; 141.. V. Magyar Michael L.; 272. V. Gaydosh Anna M.; 466. V. Torok István. Total 10 STATEMENT FOR THE MONTH OF NOVEMBER, 1956 ^ ^ i —————— Life Benefit Disability Pension Combined Department Department Department Departments I. Ledger Assets—October 31, 1956 II. Income 23,926,257.83 1.017,258.60 231,233.63 25,174,750.06 Monthly Dues ................................... 155,634.75 13,314.05--.--168.948.90 Monthly Dues — Single Premium 1,499.86--•---.--1,199.86 Interest on Bonds, _____________ 47,618.89--.---1,120.59 48,739.18 Dividend on Stocks .......................... 879.93 —.— 5.30 885.23 Interest on Mortgage Loans ............ 4,153.64 —.—--.--4.153.64 Real Estate Income .......................... Interest on Certificate Loans and 4,S8S.50--. --4,888.50 Liens . .....................— 4.79 —-V--4.79 Interest on Bank Deposits ............ 200.83--. ---200.83 Interest on Real Estate Loans ___ 155.24 —.—--.--155.24 Profit on Sale or Maturity of Bonds 17,377.22 —.—--.--17.377.22 Profit on Sale or Maturity of Stocks 300.00 —.— —.— 300.00 Miscellaneous Income ...................... 5.25 —.— —.— 5.25 Service Charges — Loans ........... 3.60 —.—--.---3.60 Trust Fund Deposits .................... Employees and Officers Withhold-7,858.88--• --7,858.88 ing Tax Deduction — November 5,404.80 —.— 5,404.80 New Jersey Employees Tax Cont. Supplementary Contracts Without 4.67--. ---4.67 Life Contingencies.......................... Employees and Officers 1.000.00 1,000.00 Soc. Sec. Tax Deduction — Nov. 306.28 —.— —.— 306.28 City of Pittsburgh Wage Tax 49.48 —.— —.— 49.18 Employees Hosp. Deductions ......... 194.05 —.—--.--194.05 Pension Fund Deposits ................. —.— S76.20 876.20 Total Income 247,840.66 13,314.05 , 2.002.09 263,156.80 Total.............. 24.174,098.49 1,030,572.65 233,235.72 25,437,906.86 III. Disbursements Death Benefit Claims __________ 56,358.47--.--56.358.47 Matured Endowments ..................... 27,100.00 —.— —.— 27,100.00 Cash Surrenders .............................. 24.032.08 24,032.08 Refunds to Members .........._........... 2,126.18--.----.--2,126.18 Real Estate Expenses ...................._ 2,447.06--.----.--2,447.06 Other Investment Expenses ........... 2,222.35--.----.---9 990 35 Rent .................................................... 1.906.22 1.906.22 Salaries and Wages .......................... 17,029.60--.---.---17,029.60 Leeal Fees and Expenses ............... 291.66--.---._ 291.66 Medical Examination Fees _______ 965.83--.--___ 965.83 Inspection Report Fees .................. 171.40--.--____ 174.10 Monthly Dues Refunds .................. 667.31 19.60 _ ____ 686.91 Accrued Bond Interest .................. 272.21--.--. __ 272.21 Accrued Stock Dividend ................ 7.5 8--.-__ _- 7.58 Actuarial and Auditing Expenses 678.33--.--> . 678.33 Traveling Expenses ....................... 1,877.56--.-__ _ 1,877.56 Advertising ....................................... 625.50 Postage ............................................. 509 00 509.00 Express ............................................... 3.66 74K 91 3.66 Telephone .... 748.91 Printing .......................................... 2 OS,9 r, 2 2.08,8.52 Stationery .............. 255.55 255.55 Cost or Depreciation of Furniture and Equip........................................ 682.42--.---682.42 Books and Periodicals .................... 57.92--.--57.92 Insurance, except on Real Estate 2,195.22--.--2,195.22 Sundry General Expenses _______ 69.95--.--69 95 Office Machinery Maintenance j*. L> & O. Equip. Main......................... 1,384.45--.---1,384.45 Field Expense Allowance _______ 1,827.68--.---1,827.68 Field Conferences ............................ 729.45--.--729.45 Official Publication ......................... 2,120.39--.--2,120.39 Donations ...................................... _ 83.33--.--83 33 American Hungarian Federation .... 250.00 250.00 Social Security Federal Tax .......... 699.40--.-___ 699.40 Hospitalization for Employees ....... 196.80--.-_____ 196.80 Trust Fund Paid Deposits ... 10.044.00 . ___ 10,044.00 Commissions ....... 10,643.37 —.— __ _____ 10,643.37 Collection of Dues ... 15,338.49 —.— , , ___ 15,338.49 Statistical Service Fees ................. 425.00 —.— ___ 4 25.00 Insurance Premiums ....................... 22.40 —.— ___ 22.40 U.S. Director of Internal Revenue Withholding Tax — October ....... 5,280.22 —.— 5.280.22 Sick Benefit Claims ... . —.— 11,568.23 11,568.23 Hospitalization Claims .................... —.— 150.00 150.00 Pension Fund Payments .............. —.— 1,229.94 1.229.94 Pension Fund Contr. Returned .....--•----.--583.00 583.00 Interest Paid on Pension Fund Contribution Returned .............. 14.82 14.82 Total Disbursements ..... 194,438.47 11,737.83 " 1.827.76 208,004.06 BALANCE — November 30, 1956 23,979,660.02 1,018,834.82 231,407.96 25,229.902.89 JULIUS E. SOMOGYI JOHN SABO National Treasurer National Auditor