To union members how and why cares act loan money
Was disbursed and forgiven
- Apr 16 at 11:56 AM
U.S. Department of Labor
Office of Labor-Management Standards
Washington, DC 20210FORM LM-2 LABOR ORGANIZATION ANNUAL REPORT Form Approved
Office of Management and Budget
No. 1245-0003
Expires: 01-31-2025MUST BE USED BY LABOR ORGANIZATIONS WITH $250,000 OR MORE IN TOTAL ANNUAL RECEIPTS AND LABOR ORGANIZATIONS IN TRUSTEESHIP This report is mandatory under P.L. 86-257, as amended. Failure to comply may result in criminal prosecution, fines, or civil penalties as provided by 29 U.S.C. 439 or 440.READ THE INSTRUCTIONS CAREFULLY BEFORE PREPARING THIS REPORT. For Official Use Only 1. FILE NUMBER
033-5702. PERIOD COVERED From 01/01/2021 Through 12/31/2021 3. (a) AMENDED - Is this an amended report: No (b) HARDSHIP - Filed under the hardship procedures: No (c) TERMINAL - This is a terminal report: No 4. AFFILIATION OR ORGANIZATION NAME
TEAMSTERS5. DESIGNATION (Local, Lodge, etc.)
LOCAL UNION6. DESIGNATION NBR
7077. UNIT NAME (if any)
HIGHWAY & LOCAL MOTOR FREIGHT 7078. MAILING ADDRESS (Type or print in capital letters) First Name
KEVINLast Name
MCCAFFREYP.O Box - Building and Room Number Number and Street
14 FRONT STREET, SUITE 300City
HEMPSTEADState
NYZIP Code + 4
11550
9. Are your organization's records kept at its mailing address?Yes Each of the undersigned, duly authorized officers of the above labor organization, declares, under penalty of perjury and other applicable penalties of law, that all of the information submitted in this report (including information contained in any accompanying documents) has been examined by the signatory and is, to the best of the undersigned individual's knowledge and belief, true, correct and complete (See Section V on penalties in the instructions.) 70. SIGNED: Kevin McCaffrey PRESIDENT 71. SIGNED: DANIEL PACHECO SECRETARY-TREASURER Date: Mar 30, 2022 Telephone Number: 516-560-8509 Date: Mar 30, 2022 Telephone Number: 516-560-8509 ITEMS 10 THROUGH 21 FILE NUMBER: 033-570 10. During the reporting period did the labor organization create or participate in the administration of a trust or a fund or organization, as defined in the instructions, which provides benefits for members or beneficiaries? Yes 11(a). During the reporting period did the labor organization have a political action committee (PAC) fund? No 11(b). During the reporting period did the labor organization have a subsidiary organization as defined in Section X of these Instructions? No 12. During the reporting period did the labor organization have an audit or review of its books and records by an outside accountant or by a parent body auditor/representative? Yes 13. During the reporting period did the labor organization discover any loss or shortage of funds or other assets? (Answer "Yes" even if there has been repayment or recovery.) No 14. What is the maximum amount recoverable under the labor organization's fidelity bond for a loss caused by any officer, employee or agent of the labor organization who handled union funds? $190,000 15. During the reporting period did the labor organization acquire or dispose of any assets in a manner other than purchase or sale? Yes 16. Were any of the labor organization's assets pledged as security or encumbered in any way at the end of the reporting period? No 17. Did the labor organization have any contingent liabilities at the end of the reporting period? No 18. During the reporting period did the labor organization have any changes in its constitution or bylaws, other than rates of dues and fees, or in practices/procedures listed in the instructions? No 19. What is the date of the labor organization's next regular election of officers? 10/2024 20. How many members did the labor organization have at the end of the reporting period? 1,620 21. What are the labor organization's rates of dues and fees? Rates of Dues and Fees Dues/Fees Amount Unit Minimum Maximum (a) Regular Dues/Fees N/A per N/A 22.00 126.00 (b) Working Dues/Fees N/A per N/A N/A N/A (c) Initiation Fees N/A per N/A 450.00 900.00 (d) Transfer Fees N/A per N/A .50 .50 (e) Work Permits N/A per N/A N/A N/A STATEMENT A - ASSETS AND LIABILITIES FILE NUMBER: 033-570 ASSETS ASSETS Schedule
NumberStart of Reporting Period
(A)End of Reporting Period
(B)22. Cash $239,721 $243,916 23. Accounts Receivable 1 $15,499 $15,294 24. Loans Receivable 2 $0 25. U.S. Treasury Securities $0 $0 26. Investments 5 $0 $0 27. Fixed Assets 6 $261 $0 28. Other Assets 7 $8,913 $8,613 29. TOTAL ASSETS $264,394 $267,823 LIABILITIES LIABILITIES Schedule
NumberStart of Reporting Period
(A)End of Reporting Period
(B)30. Accounts Payable 8 $56,918 $66,275 31. Loans Payable 9 $0 32. Mortgages Payable $0 $0 33. Other Liabilities 10 $0 34. TOTAL LIABILITIES $56,918 $66,275 35. NET ASSETS $207,476 $201,548 STATEMENT B - RECEIPTS AND DISBURSEMENTS FILE NUMBER: 033-570 CASH RECEIPTS SCH AMOUNT 36. Dues and Agency Fees $1,072,420 37. Per Capita Tax $0 38. Fees, Fines, Assessments, Work Permits $124,636 39. Sale of Supplies $0 40. Interest $448 41. Dividends $0 42. Rents $13,500 43. Sale of Investments and Fixed Assets 3 44. Loans Obtained 9 $149,008 45. Repayments of Loans Made 2 46. On Behalf of Affiliates for Transmittal to Them $0 47. From Members for Disbursement on Their Behalf $0 48. Other Receipts 14 $94,909 49. TOTAL RECEIPTS $1,454,921 CASH DISBURSEMENTS SCH AMOUNT 50. Representational Activities 15 $390,757 51. Political Activities and Lobbying 16 $28,870 52. Contributions, Gifts, and Grants 17 $11,788 53. General Overhead 18 $288,128 54. Union Administration 19 $138,855 55. Benefits 20 $256,734 56. Per Capita Tax $292,273 57. Strike Benefits $0 58. Fees, Fines, Assessments, etc. $0 59. Supplies for Resale $0 60. Purchase of Investments and Fixed Assets 4 61. Loans Made 2 62. Repayment of Loans Obtained 9 $0 63. To Affiliates of Funds Collected on Their Behalf $0 64. On Behalf of Individual Members $0 65. Direct Taxes $43,321 66. Subtotal $1,450,726 67. Withholding Taxes and Payroll Deductions 67a. Total Withheld $228,490 67b. Less Total Disbursed $228,490 67c. Total Withheld But Not Disbursed 68. TOTAL DISBURSEMENTS $1,450,726 SCHEDULE 1 - ACCOUNTS RECEIVABLE AGING SCHEDULE FILE NUMBER: 033-570 Entity or Individual Name
(A)Total Account Receivable
(B)90-180 Days
Past Due
(C)180+ Days
Past Due
(D)Liquidated Account
Receivable
(E)Total of all itemized accounts receivable $7,704 $0 $7,704 $0 Totals from all other accounts receivable $7,590 Totals (Total of Column (B) will be automatically entered in Item 23, Column(B)) $15,294 $0 $7,704 $0 John O'Keefe $7,704 $7,704 SCHEDULE 2 - LOANS RECEIVABLE FILE NUMBER: 033-570 List below loans to officers, employees, or members which at any time during the reporting period exceeded $250 and list all loans to business enterprises regardless of amount.
(A)Loans
Outstanding at
Start of Period
(B)Loans Made
During Period
(C)Repayments Received During Period Cash
(D)(1)Other Than Cash
(D)(2)Loans
Outstanding at
End of Period
(E)Total of loans not listed above Total of all lines above $0 $0 $0 $0 $0 Totals will be automatically entered in... Item 24
Column (A)Item 61 Item 45 Item 69
with ExplanationItem 24
Column (B)SCHEDULE 3 - SALE OF INVESTMENTS AND FIXED ASSETS FILE NUMBER: 033-570 Description (if land or buildings, give location)
(A)Cost
(B)Book Value
(C)Gross Sales Price
(D)Amount Received
(E)Total of all lines above $0 $0 $0 $0 Less Reinvestments (The total from Net Sales Line will be automatically entered in Item 43) Net Sales SCHEDULE 4 - PURCHASE OF INVESTMENTS AND FIXED ASSETS FILE NUMBER: 033-570 Description (if land or buildings, give location)
(A)Cost
(B)Book Value
(C)Cash Paid
(D)Total of all lines above $0 $0 $0 Less Reinvestments (The total from Net Purchases Line will be automatically entered in Item 60.) Net Purchases SCHEDULE 5 - INVESTMENTS FILE NUMBER: 033-570 Description
(A)Amount
(B)Marketable Securities A. Total Cost B. Total Book Value C. List each marketable security which has a book value over $5,000 and exceeds 5% of Line B. Other Investments D. Total Cost E. Total Book Value F. List each other investment which has a book value over $5,000 and exceeds 5% of Line E. Also, list each subsidiary for which separate reports are attached. G. Total of Lines B and E (Total will be automatically entered in Item 26, Column(B)) $0 SCHEDULE 6 - FIXED ASSETS FILE NUMBER: 033-570 Description
(A)Cost or Other Basis
(B)Total Depreciation or
Amount Expensed
(C)Book Value
(D)Value
(E)A. Land (give location) $0 $0 $0 B. Buildings (give location) $0 $0 $0 $0 C. Automobiles and Other Vehicles $94,982 $94,982 $0 $0 D. Office Furniture and Equipment $17,837 $17,837 $0 $0 E. Other Fixed Assets F. Totals of Lines A through E (Column(D) Total will be automatically entered in Item 27, Column(B)) $112,819 $112,819 $0 $0 SCHEDULE 7 - OTHER ASSETS FILE NUMBER: 033-570 Description
(A)Book Value
(B)Total (Total will be automatically entered in Item 28, Column(B)) $8,613 SECURITY DEPOSIT $6,913 INVENTORY - HATS, SHIRTS, ETC. $1,700 SCHEDULE 8 - ACCOUNTS PAYABLE AGING SCHEDULE FILE NUMBER: 033-570 Entity or Individual Name
(A)Total Account
Payable
(B)90-180 Days
Past Due
(C)180+ Days Past
Due
(D)Liquidated Account
Payable
(E)Total for all itemized accounts payable $0 $0 $0 $0 Total from all other accounts payable $66,275 $0 $0 $0 Totals (Total for Column(B) will be automatically entered in Item 30, Column(D)) $66,275 $0 $0 $0 SCHEDULE 9 - LOANS PAYABLE FILE NUMBER: 033-570 Source of Loans Payable at Any
Time During the Reporting Period
(A)Loans Owed at
Start of Period
(B)Loans Obtained
During Period
(C)Repayment
During Period
Cash
(D)(1)Repayment
During Period
Other Than Cash
(D)(2)Loans Owed at
End of Period
(E)Total Loans Payable $0 $149,008 $0 $149,008 $0 Totals will be automatically entered in... Item 31
Column (C)Item 44 Item 62 Item 69
with ExplanationItem 31
Column (D)PAYCHECK PROTECTION PROGRAM $0 $149,008 $0 $149,008 $0 SCHEDULE 10 - OTHER LIABILITIES FILE NUMBER: 033-570 Description
(A)Amount at End of Period
(B)Total Other Liabilities (Total will be automatically entered in Item 33, Column(D)) $0 SCHEDULE 11 - ALL OFFICERS AND DISBURSEMENTS TO OFFICERS FILE NUMBER: 033-570 (A)
Name(B)
Title(C)
Status(D)
Gross Salary
Disbursements
(before any
deductions)(E)
Allowances
Disbursed(F)
Disbursements for Official Business(G)
Other
Disbursements not reported in
(D) through (F)(H)
TOTALA
B
CCAMPIONE , LAURA
RECORDING SECRETARY
C$17,800 $620 $196 $18,616 I Schedule 15
Representational Activities5 % Schedule 16
Political Activities and Lobbying0 % Schedule 17
Contributions1 % Schedule 18
General Overhead0 % Schedule 19
Administration94 % A
B
CPaul JR , CHARLTON
TRUSTEE
C$1,800 $48 $1,848 I Schedule 15
Representational Activities0 % Schedule 16
Political Activities and Lobbying0 % Schedule 17
Contributions1 % Schedule 18
General Overhead0 % Schedule 19
Administration99 % A
B
CCLINQUE , LAWRENCE
VICE PRESIDENT
C$94,775 $11,790 $106,565 I Schedule 15
Representational Activities88 % Schedule 16
Political Activities and Lobbying1 % Schedule 17
Contributions1 % Schedule 18
General Overhead9 % Schedule 19
Administration1 % A
B
CMCCAFFREY , KEVIN
PRESIDENT
C$113,149 $11,950 $1,689 $126,788 I Schedule 15
Representational Activities45 % Schedule 16
Political Activities and Lobbying3 % Schedule 17
Contributions2 % Schedule 18
General Overhead5 % Schedule 19
Administration45 % A
B
CPACHETO , DANIEL
TRUSTEE/BUSINESS AGENT
C$85,196 $70 $16,966 $102,232 I Schedule 15
Representational Activities80 % Schedule 16
Political Activities and Lobbying0 % Schedule 17
Contributions1 % Schedule 18
General Overhead18 % Schedule 19
Administration1 % A
B
CPOGOR , EDWARD J
TRUSTEE
C$2,400 $23 $2,423 I Schedule 15
Representational Activities0 % Schedule 16
Political Activities and Lobbying0 % Schedule 17
Contributions1 % Schedule 18
General Overhead0 % Schedule 19
Administration99 % A
B
CZIPOLI , JOHN
SECRETARY TREASURER
C$89,054 $840 $5,522 $95,416 I Schedule 15
Representational Activities60 % Schedule 16
Political Activities and Lobbying0 % Schedule 17
Contributions5 % Schedule 18
General Overhead5 % Schedule 19
Administration30 % Total Officer Disbursements $404,174 $13,480 $36,234 $0 $453,888 Less Deductions $169,372 Net Disbursements $284,516 SCHEDULE 12 - DISBURSEMENTS TO EMPLOYEES FILE NUMBER: 033-570 (A)
Name(B)
Title(C)
Other Payer(D)
Gross Salary
Disbursements
(before any
deductions)(E)
Allowances Disbursed(F)
Disbursements for Official Business(G)
Other Disbursements not reported in
(D) through (F)(H)
TOTALA
B
CEVANS , TARA
OFFICE MENAGER
N/A$77,018 $77,018 I Schedule 15
Representational Activities0 % Schedule 16
Political Activities and Lobbying0 % Schedule 17
Contributions0 % Schedule 18
General Overhead100 % Schedule 19
Administration0 % A
B
CWHITE , CHARLES
BUSINESS AGENT
N/A$34,676 $420 $6,443 $41,539 I Schedule 15
Representational Activities80 % Schedule 16
Political Activities and Lobbying0 % Schedule 17
Contributions1 % Schedule 18
General Overhead18 % Schedule 19
Administration1 % TOTALS RECEIVED BY EMPLOYEES MAKING $10,000 OR LESS $1,490 $1,490 I Schedule 15
Representational Activities0 % Schedule 16
Political Activities and Lobbying0 % Schedule 17
Contributions0 % Schedule 18
General Overhead0 % Schedule 19
Administration100 % Total Employee Disbursements $113,184 $420 $6,443 $0 $120,047 Less Deductions $29,559 Net Disbursements $90,488 SCHEDULE 13 - MEMBERSHIP STATUS FILE NUMBER: 033-570 Category of Membership
(A)Number
(B)Voting Eligibility
(C)Members (Total of all lines above) 1,620 Agency Fee Payers* Total Members/Fee Payers 1,620 *Agency Fee Payers are not considered members of the labor organization. ACTIVE MEMBERS 1,620 Yes DETAILED SUMMARY PAGE - SCHEDULES 14 THROUGH 19 FILE NUMBER: 033-570 SCHEDULE 14 OTHER RECEIPTS 1. Named Payer Itemized Receipts $68,047 2. Named Payer Non-itemized Receipts $18,085 3. All Other Receipts $8,777 4. Total Receipts $94,909 SCHEDULE 17 CONTRIBUTIONS, GIFTS & GRANTS 1. Named Payee Itemized Disbursements $0 2. Named Payee Non-itemized Disbursements $0 3. To Officers $9,623 4. To Employees $415 5. All Other Disbursements $1,750 6. Total Disbursements $11,788 SCHEDULE 15 REPRESENTATIONAL ACTIVITIES 1. Named Payee Itemized Disbursements $60,231 2. Named Payee Non-itemized Disbursements $0 3. To Officers $290,799 4. To Employees $33,231 5. All Other Disbursements $6,496 6. Total Disbursements $390,757 SCHEDULE 18 GENERAL OVERHEAD 1. Named Payee Itemized Disbursements $78,842 2. Named Payee Non-itemized Disbursements $52,403 3. To Officers $39,103 4. To Employees $84,495 5. All Other Disbursements $33,285 6. Total Disbursements $288,128 SCHEDULE 16 POLITICAL ACTIVITIES AND LOBBYING 1. Named Payee Itemized Disbursements $0 2. Named Payee Non-itemized Disbursements $24,000 3. To Officers $4,870 4. To Employees $0 5. All Other Disbursements 6. Total Disbursements $28,870 SCHEDULE 19 UNION ADMINISTRATION 1. Named Payee Itemized Disbursements $0 2. Named Payee Non-itemized Disbursements $15,160 3. To Officers $109,496 4. To Employees $1,905 5. All Other Disbursements $12,294 6. Total Disbursements $138,855 SCHEDULE 14 - OTHER RECEIPTS FILE NUMBER: 033-570 Name and Address
(A)ROAD CARRIER LOCAL 707 PENSION FUND
14 FRONT STREET
HEMPSTEAD
NY
11550Type or Classification
(B)RELATED ORGANIZATION Purpose
(C)Date
(D)Amount
(E)Total Itemized Transactions with this Payee/Payer Total Non-Itemized Transactions with this Payee/Payer $18,085 Total of All Transactions with this Payee/Payer for This Schedule $18,085 Name and Address
(A)ROAD CARRIER LOCAL 707 WELFARE FUND
14 FRONT STREET
HEMPSTEAD
NY
11550Type or Classification
(B)RELATED ORGANIZATION Purpose
(C)Date
(D)Amount
(E)Total Itemized Transactions with this Payee/Payer $68,047 Total Non-Itemized Transactions with this Payee/Payer Total of All Transactions with this Payee/Payer for This Schedule $68,047 REIMB. SALARY, BENEFIT & TAXES 01/11/2021 $5,996 REIMB. SALARY, BENEFIT & TAXES 02/22/2021 $5,475 REIMB. SALARY, BENEFIT & TAXES 03/03/2021 $5,214 REIMB. SALARY, BENEFIT & TAXES 04/29/2021 $5,996 REIMB. SALARY, BENEFIT & TAXES 05/24/2021 $5,735 REIMB. SALARY, BENEFIT & TAXES 06/21/2021 $5,475 REIMB. SALARY, BENEFIT & TAXES 07/30/2021 $5,736 REIMB. SALARY, BENEFIT & TAXES 08/17/2021 $5,736 REIMB. SALARY, BENEFIT & TAXES 09/22/2021 $5,736 REIMB. SALARY, BENEFIT & TAXES 10/29/2021 $5,736 REIMB. SALARY, BENEFIT & TAXES 11/12/2021 $5,476 REIMB. SALARY, BENEFIT & TAXES 12/08/2021 $5,736 SCHEDULE 15 - REPRESENTATIONAL ACTIVITIES FILE NUMBER: 033-570 Name and Address
(A)CARY KANE LLP
1350 BROADWAY
NEW YORK
NY
10018Type or Classification
(B)ATTORNEY Purpose
(C)Date
(D)Amount
(E)Total Itemized Transactions with this Payee/Payer $60,231 Total Non-Itemized Transactions with this Payee/Payer Total of All Transactions with this Payee/Payer for This Schedule $60,231 LEGAL FEES 01/11/2021 $5,029 LEGAL FEES 02/16/2021 $5,000 LEGAL FEES 03/11/2021 $5,000 LEGAL FEES 04/13/2021 $5,000 LEGAL FEES 05/13/2021 $5,000 LEGAL FEES 06/15/2021 $5,000 LEGAL FEES 07/12/2021 $5,027 LEGAL FEES 08/10/2021 $5,005 LEGAL FEES 09/13/2021 $5,000 LEGAL FEES 10/28/2021 $5,000 LEGAL FEES 11/04/2021 $5,170 LEGAL FEES 12/06/2021 $5,000 SCHEDULE 16 - POLITICAL ACTIVITIES AND LOBBYING FILE NUMBER 033-570 Name and Address
(A)MORGAN, LEWIS & BOCKIUS LLP
1111 PENSYLVANIA AVE
WASHINGTON
DC
20004Type or Classification
(B)LOBBYIST Purpose
(C)Date
(D)Amount
(E)Total Itemized Transactions with this Payee/Payer Total Non-Itemized Transactions with this Payee/Payer $24,000 Total of All Transactions with this Payee/Payer for This Schedule $24,000 SCHEDULE 17 - CONTRIBUTIONS, GIFTS & GRANTS FILE NUMBER: 033-570 There was no data found for this schedule. SCHEDULE 18 - GENERAL OVERHEAD FILE NUMBER: 033-570 Name and Address
(A)948 HOMESTEAD AVENUE LLC
2515 SOUTH ROAD, 3RD F
POGHKEPSIE
NY
12601Type or Classification
(B)LANDLORD Purpose
(C)Date
(D)Amount
(E)Total Itemized Transactions with this Payee/Payer Total Non-Itemized Transactions with this Payee/Payer $12,600 Total of All Transactions with this Payee/Payer for This Schedule $12,600 Name and Address
(A)AMTRUST NORTH AMERICA
PO BOX 6939
CLEVELAND
OH
44101Type or Classification
(B)INSURANCE Purpose
(C)Date
(D)Amount
(E)Total Itemized Transactions with this Payee/Payer Total Non-Itemized Transactions with this Payee/Payer $13,106 Total of All Transactions with this Payee/Payer for This Schedule $13,106 Name and Address
(A)APPLE
401 W 14TH ST
NEW YORK
NY
10014Type or Classification
(B)Electronic Store Purpose
(C)Date
(D)Amount
(E)Total Itemized Transactions with this Payee/Payer $6,000 Total Non-Itemized Transactions with this Payee/Payer Total of All Transactions with this Payee/Payer for This Schedule $6,000 Gift cards for scholarship winners 08/02/2021 $6,000 Name and Address
(A)AT&T
208 S AKARD ST
DALLAS
TX
75202Type or Classification
(B)PHONE company Purpose
(C)Date
(D)Amount
(E)Total Itemized Transactions with this Payee/Payer Total Non-Itemized Transactions with this Payee/Payer $5,697 Total of All Transactions with this Payee/Payer for This Schedule $5,697 Name and Address
(A)CALIBRE CPA GROUP PLLC
NEW YORK
NY
10018Type or Classification
(B)ACCOUNTING FIRM Purpose
(C)Date
(D)Amount
(E)Total Itemized Transactions with this Payee/Payer $5,000 Total Non-Itemized Transactions with this Payee/Payer $21,000 Total of All Transactions with this Payee/Payer for This Schedule $26,000 2020 YEAR END AUDIT and Govt Forms 04/05/2021 $5,000 Name and Address
(A)FRONT STREET EQUITIES, LLC
377 PARK AVE NUE SOUTH
NEW YORK
NY
10016Type or Classification
(B)LANDLORD Purpose
(C)Date
(D)Amount
(E)Total Itemized Transactions with this Payee/Payer $67,842 Total Non-Itemized Transactions with this Payee/Payer Total of All Transactions with this Payee/Payer for This Schedule $67,842 RENT 01/04/2021 $5,654 RENT 02/04/2021 $5,654 RENT 03/01/2021 $5,654 RENT 04/05/2021 $5,654 RENT 05/04/2021 $5,654 RENT 06/01/2021 $5,654 RENT 07/01/2021 $5,653 RENT 08/02/2021 $5,653 RENT 09/03/2021 $5,653 RENT 10/04/2021 $5,653 Rent 11/01/2021 $5,653 Rent 12/02/2021 $5,653 SCHEDULE 19 - UNION ADMINISTRATION FILE NUMBER: 033-570 Name and Address
(A)GLOBAL ELECTION SERVICES
208 E 51ST STE 112
NEW YORK
NY
10022Type or Classification
(B)ADMINISTRATIVE SERVICE Purpose
(C)Date
(D)Amount
(E)Total Itemized Transactions with this Payee/Payer Total Non-Itemized Transactions with this Payee/Payer $15,160 Total of All Transactions with this Payee/Payer for This Schedule $15,160 SCHEDULE 20 - BENEFITS FILE NUMBER: 033-570 Description
(A)To Whom Paid
(B)Amount
(C)Total of all lines above (Total will be automatically entered in Item 55.) $256,734 PENSION ROAD CARRIERS LOCAL 707 PENSION FUND $82,202 PENSION TEMASTERS LOCAL 641 PENSION FUND $25,719 PENSION TEMASTER LOCA L 277 WELFARE FUND $19,211 HEALTH & WELFARE TEMSTER LOCAL 641 WELFARE FUND $21,684 HEALTH & WELFARE ROAD CARRIERS LOCAL 707 WELFARE FUND $105,586 HEALTH & WELFARE BARBARA REDA $2,332 69. ADDITIONAL INFORMATION SUMMARY FILE NUMBER: 033-570 Item 71 Title: THE CHIEF FINANCIAL OFFICER IS THE SECRETARY-TREASURER.
Question 10: ROAD CARRIERS LOCAL 707 WELFARE FUND, EIN: 11-2159859 PLAN# 501. ROAD CARRIERS LOCAL 707 PENSION FUND, EIN: 51-6106510 PLAN# 001. LOCAL 707 SCHOLARSHIP FUND, EIN: 11-2965531. LOCAL 277 PENSION FUND, EIN: 13-5643552 PLAN# 001. THE ABOVE FUNDS ARE LOCATED AT 14 FRONT STREET, SUITE 300, HEMPSTEAD, NY 11550. LOCAL 641 WELFARE FUND, EIN:22-6220289 PLAN# 501. LOCAL 641 PENSION FUND, EIN: 22-6220288 PLAN# 001. THE ABOVE FUNDS ARE LOCATED AT 714 RAHWAY AVENUE, 2ND FLOOR, UNION, NJ 07083. ALL ABOVE PROVIDE HEALTH AND PENSION BENEFITS TO EMPLOYEES OF THE UNION AND ITS MEMBERS.
Question 12: THE UNION BOOKS AND RECORDS ARE AUDITED BY THE INDEPENDENT ACCOUNTING FIRM OF CALIBRE CPA GROUP PLLC, 462 SEVENTH AVENUE, 16TH FLOOR, NEW YORK, NY 10018.
Question 15: TO ENCOURAGE AND PROMOTE UNITY WITHIN THE BROTHERHOOD AND TO ENCOURAGE ATTENDANCE AT UNION MEETINGS AND UNION SPONSORED EVENTS, IT IS THE PRACTICE OF THE LOCAL TO GIVE AWAY UNION PROMOTIONAL ITEMS OF MINIMAL COST TO THE MEMBERSHIP. IT IS NOT PRACTICAL TO SPECIFICALLY IDENTIFY THE RECIPIENTS OF THESE ITEMS. THE COST OF THESE ITEMS ARE INCLUDED ON LINE 53 OF STATEMENT B AND IN SCHEDULE 18, IF APPLICABLE. ON OCCASION, AN OFFICER, EMPLOYEE OR UNION STEWARD WHO RECEIVED COMPENSATION IN SCHEDULES 11 AND 12 MAY RECEIVE ONE OF THESE ITEMS. DUE TO THE DE MINIMUS COST OF THESE ITEMS, THE HAVE NOT BEEN ALLOCATED ON THESE SCHEDULES.
Schedule 1, Row1:
Schedule 1, Row1:
Schedule 9, Row1:
Schedule 9, Row1::::ON 5/29/2021, THE UNION RECEIVED A PAYCHECK PROTECTION PROGRAM LOAN IN THE AMOUNT OF $149,008 FROM Spring Bank. ON 11/24/21, THE LOAN WAS FORGIVEN BY THE SMALL BUSINESS ADMINISTRATION (SBA) WHICH CONVERTED THE LOAN INTO A GRANT IN ACCORDANCE WITH THE CARES ACT.
Schedule 13, Row1:
Schedule 13, Row1::AN ACTIVE MEMBER IS A MEMBER WHO HAS SATISFIED THE REQUIREMENTS OF MEMBERSHIP AND IS STILL EMPLOYED UNDER THE JURISDICTION OF THE LOCAL UNION. THEY PAY FULL DUES AND HAVE VOTING RIGHTS AS LONG AS THEY ARE IN GOOD STANDING AT THE TIME OF THE VOTING.
Schedule 13, Row1:
Schedule 13, Row1::
General Information: SCHEDULE 6, COLUMN E FAIR VALUE: THE LOCAL HAS NO POLICY FOR PERIODICALLY APPRAISING ITS FIXED ASSETS TO DETERMINE THEIR FAIR VALUE. THE BOOK VALUE OF THE LOCALS ASSETS HAS BEEN REPORTED AS A GOOD FAITH ESTIMATE OF THEIR FAIR VALUE. ITEMS 50-54, SCHEDULES 11 AND 12: THE LOCAL PROVIDES CERTAIN OFFICERS AND EMPLOYEES AUTOMOBILE AND OTHER ALLOWANCES TO BE USED FOR THEIR PERFORMANCE OF THEIR UNION DUTIES. DISBURSEMENTS RELATIVE TO THE ALLOWANCES CONSTITUTE EXPENSES THAT REPRESENT 50% OR MORE FORE THE CONDUCT OF OFFICIAL BUSINESS OF THE LOCAL. THESE EXPENSES HAVE BEEN REFLECTED IN COLUMN (E) ON SCHEDULES 11 AND 12 AS APPLICABLE. DETAILED SUMMARY PAGE AND SCHEDULES 14 THROUGH 19: THE LOCAL HAS ALLOCATED EXPENSES AMONG THE 5 FUNCTIONAL CATEGORIES BASED ON ITS UNDERSTANDING OF THE RULES FOR ALLOCATION. IN MOST CASES, ESTIMATES WERE USED TO DETERMINE THE PROPER CLASSIFICATION, BASED ON THE INTERPRETATION OF THE NATURE OF THE EXPENSE. THE ALLOCATIONS ON SCHEDULES 11 AND 12 WERE BASED ON THEIR RESPONSIBILITIES THAT INDIVIDUAL JOB CLASSIFICATION REQUIRES, AS WELL AS AN ESTIMATE OF TIME SPENT ON VARIOUS ACTIVITIES. EXPENSES ARE CLASSIFIED AMONG THE 5 FUNCTIONAL CATEGORIES IN ACCORDANCE WITH LM-2 INSTRUCTIONS. HOWEVER, ALL EXPENDITURES ARE IN FURTHERANCE OF THE LOCALS PURPOSE: TO ORGANIZE WORKERS FOR THE ECONOMIC, MORAL, AND SOCIAL ADVANCEMENT OF THEIR CONDITION AND STATUS. ITEMS 64, DISBURSEMENTS ON BEHALF OF INDIVIDUAL MEMBERS: THE ITEM REFLECTS ONLY DISBURSEMENTS ON BEHALF OF INDIVIDUAL MEMBERS FOR OTHER THAN NORMAL OPERATING PURPOSES. THE UNION EXPENDITURES ARE FOR THE BENEFIT OF ITS ENTIRE MEMBERSHIP, AS INDIVIDUALS ARE NOT NORMALLY SINGLED OUT FOR SPECIAL BENEFITS.Form LM-2 (Revised 2010); (Tech. Rev. 2/2013) Sent from my iPhone
No comments:
Post a Comment