Document 6Bv01z7er817OJ0zYpEY67k6E
EXHIBIT A
REPORT OF THE SECRETARY-TREASURER
April 12, 1977
Dollar amounts rounded from tabular details ($000)
INCOME & EXPENSE June 1. 1976 - March 31. 1977 - 10 Months (83%)
Income - Membership Fees - Other
$2,768 605
$3,373
Expense - Operations - Project
$2,409 201
2,610
Percent of Budeet
-------- 6-----
100.655% 123.469% 104.105%
82.359% 39.029% 75.872%
ASSETS (As of March 31. 1977)
Cash
Investments
Miscellaneous
$ 26 6,572
7
$6,605
CMA 037224
r MANUhACTUHINC CHEMISTS ASSOCIATION hi A 1 i.MLN 1 OF MNANU VI. rusl 1 ION
March 31, 1977
lAUSCE SHEET Assets
Cash
i
National Savings A Trust - CovercisL Account
National Savings A Trust - Payroll Account
Imprest Funds
Investments Bank Certificate* of Deposit Bank Kepurchase Agreements U. S. Government Securities II. S. Government Agency Securities Corporate Securities
Deposits & Advances U. S. Government Printing Office Aamrlcan Airlines Postage Keter Travel Advances
$ 19,178 6,000 800 $ 25,978
$ 500,000 325,000
2,967,469 202,500
2.577.250
6,572,219
$ 500
425
4,566
1.544
7.035
$6,605,232
Liabilities D. C. Use Tan
Liabilities A Fund Balances
$ 915
Reserve
Deferred Compensation o
93,750
2
> Fund Balances
o u
Restricted (Schedule I (e))
$4,045,046
"4 Unrestricted - From Previous Fiscal Years $1,702,560
K)
- Current Fiscal Year
762,961
2,465,521
6,510.567
Ol $6,605,232
INCOME 6 EXP fr; N S K
INCOME Memberships Dues & Entrance Fees
Income from Investments
Publications Sales
* Meeting & Special Funds (Schedule I (d))
Overhead Reimbursement Subscribed Projects (Schedule I (d))
Miscellaneous
Total Income
$2,766,262 33b 620 76, 799
$ 73,229
116.436
164.66)
21
$3,373,169
EXPENSE (Schedule III Management Technical - General Technical - Chestrec Public Relations Government Relations Staff Services
Total Expense
Income less Expense
4,
FOOTNOTE: *Net Income on Completed Projects
$ 629,446 717,55) 250,03J 463,609 294,946 254,bl7
$2,610,206
$ 762,461
-- --
CMA 037226
SCHEDULE I
RESTRICTED PUMPS & MEETIHC ADVANCES
Hon-Budgeted Funds & Meet Inga Meetings, Workshops 6 Symposia Tank Car Mileage Compensation Vinyl Chloride Reaearch Vlnylldene Chloride Monomer Reaearch Styrene Monooter Reaearch Acrylonitrile Monomer Reaearch Trichloroethylene Reaearch Ethylene Dicblorlde Reaearch Chlorobenzenes Reaearch Phosgene Safety Research Fluorocarbons Research Allyl Cloride Research Epicblorohydrin Research Phthalate Eatera Reaearch Loss Data Bank Project NBS/duPont Study Bensene Study Cheaical Industry Trade Advisor
Total - Hod-Budgeted Fuads & Meetings
Advance Membership Dues
Plastics Croup Financial Package
Total
Balance June 1. 1976
<>
$ 86,435 60,548 106,620 247,085 178,940
432,139 347,153 104,763
9,860 81,698 1,505,076 118,694 127,274 31,817 4,613
5,841
$3,448,556
$
$ 118,542
$3,567,098
Receipts (b>
Current Fiscal Year
Expenditures (C)
Trans fers To Income
<d>
$ 259,350 836
156,267 44,800 198,425 189,649 117,750 65,360
15,780 1,372,994 108,680 127,660 4,000
1,000 58,450 15,000
$2,736,001
10,000
$ 60,000 $2,806,001
A
$ 188,213 57,061 1,042 79,605
136,155 258,396 268,235
62,183 -
41,817 948,260
75 75 18,323 675 1,000 20,708
$2,081,823
$
$ 56,564
$2,138,387
$ 73,228 -
7,634 10,147 4.497 6,569 6,233
5,351 4,986 3,190 56,926 3,540 3,540 2,945
-
880 -
$ 189,666
$-
$-
$ 189,666
March 31, 1977
Balance March 31. 1977
(e>
$ 84,344 4,323
254,211 202,133 236,713 356,82 3 190,435 102,589
4,874 52,471 1,872.884 223,759 251,319 14,549
3,938
-
57,570 133
$3,913,068
$ 10,000
$ 121,978
$4,045,046
auuusr rauoaut
Eaoloyeei
OPERATING EXPENSE Salaries 4 Related Expense Retirement Plan 6 Group Ins. Hosp. Ins. 4 Health Plan (5)Legs 1 Pees 4 Expense CoasultantaAlnveatment Serv.
Audit Rent 4 Preaelses Expense '(l)Tsxes 4 Insurance Supplies 6 Gen. Office Exp. Furniture 4 Equipment
Printing Telephone 4 Telegraph Poatage Travel 4 Entertainment Heeling Expense
Periodicals, Books, etc. Organizational Memberships Coat Ingency
Operating Expense Totals
n, inn
MANAGEMENT
EXPENSE 12
BUDGET
TECHNICAL
GENERAL
CHEMTKEC
EXPENSE
BUDGET EXPENSE
BUDGET
24 7
PUBLIC RELATIONS GOV'T RELATIONS
EXPENSE 12
BUDGET
EXPENSE 10
BUDGET
STATE SEHVICIS
EXPENSE 14
UHlM;i i
IDEAL To DA IK
ID HUN HIS
EXPENSE
blJU.I 1
79 78
$261,191 $266,806
56,997 44,881
4,061
4,250
229,404 215,000
* 4,167
1,500 18.041 10,644
4,721 2,281
2,175 18,211 10,242
6,875 2,042
$401,156 $411,257
78.491 69,516
9,164 10,111
5,000
8,111
--
-
26,400 18,279 24,195
2,747
.
26,625 19,100 26.167
5,500
$108,648 $108,lib
26,081 18,258
1,098
1,000
--
-
-a
6,297 85,758
2,167 2,599
_
6,675 72,816
4,075 2,500
$195,156 $197,790
42,191 31,218
4,152 -
4,917 -
'*
-
16.430 9,758
19,409 74
17,192 10,458 16,425
20S
$160,011 $187,399
14,188 2,898
26,625 3,581
27,860 20,833
--
.
10,858 7,811 8,208 952
.
11.525 8,375 9,575 1,667
$160,HJ $164,124
29,806 27,500
4,898
5,833
_
--
__
28,008 10,829 10,417
138
29,083 11,017
7,550 500
$1,286,299 $1 ,337,492
268,156
220,000
26,273
29,916
262,464
264,166
- 4,167
1,500 106,034 141, 111
71,119 8, 793
2,375 I09,UV 132,208
70.66? 12,41 7
4,551 5,425 3,249 9,280 8,796
4,167 5,125 3,167 6,667 11,000
_
14,431 20,163 16,804
272
811 17,100 25,000 21,667
750
1,048 15,202
195 217
-
1,000 16,667
1.000 1.250
*
4,767 7,425 44, m 18,201
80
4,167 6,833 40,000 20,811
BJ
646 7,141 8,440 11,222 2,481
667 6,500 8,311 12,500 4,581
_
5,658 l ,862
805 -
1,111 6,108 1,8 33 1 ,08 J
-
1l,014 55,482 78, th87 56.551 11.629
12,167 58,313 79. m 64,000 16,416
560 1,805 2,712
500 2,500 4,167
1,116 2,139
*
1,667 2,311
422
500
1,269
1,500
5.987
6,66?
1,921
1,500
1 1 .495
12.334
79
81
919
811
801 1,91?
162 125
6,105
7,791
--
-'
--
-
2, 717
4,167
$629,448 $612,166 $620,977 $648,181 $250,011 $211,940 $164,411 $154,457 $289,948 $310,749 $254,617 $257,589 $2,409,4 34 $2,,437,282
PROJECTS Technical (4) Air Quality
Trade Advisor Occupational Health ' lister Resources Muit 1-Cn--lt tee/Trans portst ion Huiti-Comalttee/Publications
$ 50,362 $125,000 15,000 30,000 - 8.333 21,500 26,250 - 4,500 9,714 80,000
$ $0. 30 2 $ 125,000
15,000
30,000
_ 8, iJi
21,500
26,250
4,500
9,714
80,000
Public Relations Cr--imity Relations
Consumer information Environmental Quality Internal Publications (2) Toxic Subacancea Control Legislation Media Relations College A Hi School Teacher Awards Education Exhibits Education Publications
$ 21,199 $ 23,733
11,636 37,208
22,674 24,808
20,631 21,667
4,615
3,854
4,733
7,083
5.407 13,750
2,557
3,333
5,740 15.417
21,199 II .636 22,674 20,637
4,615 4, 733 5,407 2,557 5,740
2 3, 7 33 37.208 24,808 21,667
3,854 7,083 13,750 1,313 15,417
Government Relations (1) Equal Employment Advisory Council
$ 5,000 $ 4,167
5,000
4,167
Project Totals
$$
$ 96,576 $274,083 $
$
$ 99,198 $150,853 $ 5,000 $ 4,167 $
$
$ 200.774 $ 429,103
COMBINED TOTAL
$629,448 $632,166 $717,553 $922,464 $250,033 $233,940 $463,609 $505,310 $294,948 $314,916 $754,617 $257,589 $2,.610.208 $2 .866,385
*Budget Amendments (I) by Board of Directors June 9 1976, provides a contribution of $S,QG(f to the Equal Employment Advisory Council tor 19?t> (2) approved by President July 30, 1976, provides for "iuxic Substances Control Legislation AdvertIsing/Cowaunlcations" 4,62!) (3) by Board of Directors September 14, 1976, Increases provision for Liability Insurance by $36,750 (4) by Board of Directors October 12, 1976, provides for Hydrocarbon Emissions Control Cost Analysis $95,000, end Oxident Level Control Study $54,500 (5) by Executive Committee March 8, 1977, provides for legal services pertaining to legislative development on Energy Conservation $10,000