Document Ex8m5JdQrQ7ZgYXGZ6J1pL1g0
Lead Industries Association, Inc.
292 Madison Avenue New York, N. Y. 10017 Telephone: (212) 679-6020
July 7, 1969
SUBJECT:
Financial Statement -
January 1 to June 30, 1969
To Board of Directors of Lead Industries Association, Inc.: Dear Sir:
Attached please find the financial statement of the Association for the period January 1 to June 30, 1969.
Sincerely yours.
DMB:so Att:
David M. Borcina Secretary, Treasurer
LI AC 18 66
N 3638
July 3> 1969 t./
LEAD INDUSTRIES ASSOCIATION, INC. BALANCE SHEET June 30 1969 ASSETS
CURRENT ASSETS: CASH: Operating: Checking Account Savings Accounts
Petty Cash Account
$36,722.12 97,131.98
$133,85^.10 200.00
$134,054.10
ACCOUNTS RECEIVABLE:
Travel Advances Air Travel Deposit
Grand Total All Assets
953.88 425.00
1,378.88 $135,432.98
LIABILITIES AND FUND BALANCES
CURRENT LIABILITIES: Accounts Payable FUND BALANCES:
LIA Operating Fund 6/30/69 Health & Safety Fund 6/30/69 f Grand Total All Liabilities & Fund Balances \/
$ 1,098.18
103,184.30 31,150.50
$135,432.98
LiACl&b7
N 3638.01
Page - 2-
IEAD INDUSTRIES ASSOCIATION, IRC. STATEMENT OF RECEIPTS, DISBURSEMENTS & FUND BAIANCES
January 1 - June 30, 1969
RECEIPTS:
1. Assessments: a) Membership b) Pig Lead Sales
2. Interest on Savings 3- Reimbursement for:
a) Battery Film & Literature b) Misc. Publications 4. Miscellaneous Incane
Total All Receipts
LIA OPERATING FUND
1969
1969
ACTUAL
BUDGET
HEALTH & SAFETY FUND
1969 ACTUAL
1969 BUDGET
$54,724. 39 324,154.26
2,510.24
$120,000. 702,000. 8,000.
1,635.50 1,144.48 1,231.00
( 5,000. (
2,000.
$385,399.87 $837,000.
-0-
- *- -0-
DISBURSEMENTS: 1. Administrative - Schedule "A" 2. Prc*a. & Devel. - Schedule "B" Total All Disbursements
CHANGES IN FUND BAIANCES: Fund Balance January 1, 1969 Fund Balance June 30, 1969
$165,729.81 $330,300. $215,499.86 512,550. 34,310.93 75,000. $381,229.67 $842,850. $34,310.93 $75,000.
$ 4,170.20 99,014.10
$103,184.30
($34,310.93) 65*^461.43
$31,150.50
LI*01868
Page - 3 -
LEAD INDUSTRIES ASSOCIATION, INC.
STATEMENT OF ADMINISTRATIVE DISBURSEMENTS
January 1, 1969 - June 30, 1969
SCHEDUIE "A"
DISBURSEMENTS - ADMINISTRATIVE:
ACTUAL DISBURSEMENTS
1. Salaries
$ 98,668.96
2. Payroll Taxes
4,590.26
3. Pension Premium
13,835.50
4. Business Insurance
492.49
5. Group Insurance
1,093.72
6. Rent
9,000.00
7. Travel & Expenses 8. Meeting Expenses 9. Professional Pees
19,309.15 1,869.27 1,970.86
10. Printing & Office Supplies
2,793.48
11. Telephone & Telegram
2,787.00
12. Postage & Express 13. Subscriptions - Books - Periodicals
3,653.30 409.30
14. Furniture & Equipment
164.74
15. Office Services 16. Technical Association Dues 17. Miscellaneous
3,910.99
353.00
827.79
Grand Total
$165,729.81
1969 BUDGET $198,000.
7,500. 18,000.
1,500. 2,500. 16,500. 45,000. 3,500. 5,000. 6,000. 6,000. 7,000.
800. 2,000. 8,000. 1,000. 2,000. $330,300.
LI 401669
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