NOTE. Net assets owned but not reduced to cash, or the equivalent, are not included in this balance sheet. Current liabilities amounting to $80,528.19 due and payable after Apr. 1, 1943. Statement of receipts and disbursements NOTE.-Contra items are designated . (a) Figures shown in bold type indicate deductions. Statement of receipts and disbursements-Continued ALLOCATION OF GROSS AND NET ASSETS BY FUNDS ALLOCATION OF LIABILITIES BY FUNDS Surplus over liabilities.. 27, 651, 422. 78 25, 700, 090. 95 812, 449. 18 $593, 644.96 $52, 661. 48 $162,870.01 $4, 032. 53 $20, 646.89 $37,424.04 $267,602.74 GENERAL GRIEVANCE COMMITTEE ASSESSMENTS The following report will show General Grievance Committee assessments that were levied by officers of said committees, and collections completed during the months of January, February, and March, 1943. No report of any assessment is made until all lodges have remitted and have been credited. |