Audit - 1953
THE FREE PUBLIC LIBRARY OF THE CITY OF SALINA
Salina, Kansas
REPORT ON EXAMINATION
December 31, 1953
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KENNEDY AND CaE
Certified Public Accountants
Salina - Kansas
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THE FREE PUBLIC LIBftA.h¡Y OF THE CITY OF SALINA
Salina,
Kansas
OFFICEHS
Loran Slaughter. . . . . . . . . . . . . . . . . . . . . . .
President
Miss Helen Carlin. . . . . . . . . . . . . . . . . . . .
Vice-President
HenrYEberhardt...................... .
Treasurer
Peter MaCdonald.......................
Secretary
BOARD OF DIRECTORS
Loran Slaughter
Miss Helen Carlin
Herschel Logan
l'4rs. V. C. Webb
Peter M. Mscdonald
Miss Irene Bjurstrom
Rudolph Barta
Ward Barcafer
EXHIBIT itA"
Schedule 1
Schedule 2
THE FREE PUBLIC LIBRARY OF THE CITY OF SALJ:IiJA
Salina, Kansas
IND EX
COMt4ENTS . . . . . . . . . . . . . . . . . . . . . .
STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES: OF
CASH - GENERAL FUND. . . . . . . . . . . . . . . .
Treasurer's Cash Balance. . . . . . . . . . .
Statement of Fund Balance - General Fund . . . . . . . . .
INDEX
Page
Number
1 to 5
6
7
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June 14, 1954
To the Board of Directors,
The Free Public Library of the City of Salina,
Salina, Kansas.
Gentlemen:
In accordance with your instructions, we have examined the financial books and
records of The Free Public Library of the City of Salina covertng the period from
January 1 to December 31, 1953, inclusive. The report of such examination is here-
with submitted. A copy of this report has been submitted to the governing body
of the City of Salina.
SCOPE OF EXAMINATION
The examination was performed in accordance with the g;eneral and specific required
provisions of the Minimum Standard Audit Program approved by the State Municipal
Accounting Board.
COMMENTS
STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH - GENERAL FUND, Exhibit
itA It. The operating receipts and disbursements of The Free Public Library of the
City of Salina are cleared through its General Fund. Exhibit itA" reflects the
receipts and disbursements during the period and the balances at the beginning
and closing dates of that period.
The library treasurer received a total of $40,092.00 in appropriations from the
City of Salina during the year 1953. This amount was verlfied with the city
clerk.
During the period the librarian remitted to the library treasurer, fines, member-
ship fees, rentals and refunds in the amount of $1,334.63. Fines are assessed by
the library for f,a11ure to return books within the time limit, membership fees
are collected from rural subscribers, and rentals are collec~ted for the use of
certain books classified as pay shelf books. Such collections made at the lib-
rary are ordinarily in very small amounts. Receipts are not ie:sued for each col-
lection. These remittances were not made immediately after the end of the month.
in which the collections were made. It is again recommended that these items
be remitted to the treasurer within five days after the end. of the applicable
month.
Checks issued during the period were examined as to number, pE~ee, payee endorse-
ment, signatures and bank cancellation, and were compared with the record of
checks issued.
Claim vouchers paid during the period were test checked with invoices and with the
amounts of the warrant checks issued in pa,yment thereof"
TREASURER'S CASH BALANCE, Schedule 1. Under this schedule is presented the bank
balances at December 31, 1953. These balances were reconciled to bank balances
confirmed by the depositories.
The treasurer maintained no record of disbursements as is required under G. S.
1953, Supp. 12-1226.
COMPLIANCE WITH CASH BASIS AND BUDGET LAWS. Under the provisions of the cash
basis law (G. S. 1949, 10-1101 to 1122) it is unlawful to make payment out of or
to create an indebtedness against any fund in excess of money actually on hand
in the treasury to the credit of the fund. Because of the inadequacy of the
records maintained it is impractical to determine compliance with the cash basis
law during the year. However on March 18 and 19, 1953, checks were issued in
excess of the cash in the bank which resulted in a violation of the cash basis
law.
Under the pro vis ions of the budget law (G. s. 1949, 79-293:; to 2937) it is un-
lawful to make payment out of or to create an indebtedness against any fund in
excess of the amount provided for that fund by the annual budget.
The following statement shows the computation of the expenditures of the General
Fund for the year 1953:
Cash Disbursements for the Year 1953
$40,872.83
Less - Indebtedness December 31, 1952, included
in 1953 cash disbursements
448.47
$40,424.36
Add - Indebtedness created during 1953 but not
paid before December 31,1953
183.20
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Expenditures for Year 1953
~40,607 .56
The amount of the indebtedness created during the year 19~;3, which was unpaid
December 31,1953, was determined by examination of claim v~uchers paid during
the month of January, 1954, and an unpaid claim voucher dated November 18, 1953~
which is to be paid when merchandise is received.
The following statement shows a comparison of actual revenu~, expenditures and
balances with those anticipated by the budget:
2.
Unencumbered Fund Balance - December
31, 1953
Amount
(Over)
Pe:, or Under
Actual Budget Budget
;$ 477.93 ;$ $ (477.93)
40,092.00 40,092.00
1,373.13 800.00 ( 573 .13 )
$41,943.06 $40,892.(;0 ($1,051.06)
40,607.56 40,E>92.00 284 .44
~ 1,335.~~ $ (~~.L115 .50)
Unencumbered Fund Balance - January
1, 1953
Revenue - Year 1953
From Taxation
Other Revenue
Total
Expenditures (Per computation above)
The above statement shows that there was compliance with the budget law.
STATEMENT OF FUND BALANCE - GENERAL FUND, Schedule 2. This ¡;tatement shows the
computation of the Unencumbered General Fund balance at Dece~)er 31, 1953.
BARTLETT FUND
The Bartlett Fund represents the unexpended balance of funds originating from a
bequest made by Jennie V. Bartlett, deceased, plus interest received on the invest-
ments of the fund.
There was no change in the fund during the current year.
$276.90 at December 31,1953, is represented by:
The fund balance of
Cash in Bank - National Bank of America,
Salina, Kansas
Due from Gene ral Fund
~)l47 .46
129.44
Fund Balance - December 31, 1953
$276.90
The bank ba1ance'was confirmed by the depository.
The amount due from the General Fund represents the interest for the years 1947,
1948 and 1949 on investments of the Bartlett Fund deposited to the credit of the
General Fund in the amount of $162.50 less expenditures of the Bartlett Fund paid
from the General Fund bank account during the year 1949 in the amount of $33.c6.
INSURANCE AND FIDELITY BONDS
A summary of insurance and fidelity bond coverage December 31,1953, is as fol-
lows:
Coverage
Amount
red
ntents
ents
Fire and Extended Coverageò<'
Fire and Supplemental
Fire apd Supplemental
Boiler Explosion
$76,500.00
40,000.00
2,000.00
5,000.0(:
=rhardt
4,000.00
*
80% Co-insurance
,asurer in the amount specified by the library board is required
os of G. S. 1953, Supp. 12-1226, such bond to be approved by the
TInissioners. The minutes of the libra~T board dated June 30,
a bond in the amount of $4,000.00 which is the amount of the
osted by the treasurer. The treasurer's bond was approved by
Commissioners on June 28,1943.
of the treasurer was renewed upon its expiration by a continu-
issued by the surety company. The effect of the continuation
~xtend the period to which the amount of the bond is applicable
ie $4,000.00 of coverage for each term. A bond is required by
lpparently intended that a separate coverage of the full amount
::h term and we are of the opinion that this requirement cannot
continuation certificate.
GENERAL
and claim voucher system in use by the library does not meet
¡f such systems prescribed for use by KsLD.Bas Municipalities.
L t is evident that purchase order claim YOucher forms are not
)y the vendor until a considerable time s.fter the merchandise
y the library. In many instances 1 there was no claim voucher
invoices. No record is maintained which if'1ñi ,..,+""... ~""~ --_u ,. .
CERTIFICATE
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In my c.pinion, BUÌJ,ject to the foregoing comments, the accompanying exhibits and
related. schedules reflect the financis.l eondition uf TÌlr;ò Free Public Li1n'ary of
the City :;f Salina as of December 31, 1953, an:l the result of its operations for
the period from January 1 to December 31, 1953.
Respectfully submitted,
KENNEDY AND COE,
f JLu_~-^ ~ ~ ~~ r.J C.P.A.
Licensed Municipal Public Accountant
in charge of and actively engaged on
this audit.
THE FREE PUBLIC LIBRARY OF THE CITY OF SALINA
Salina, Kansas
STATEMENT OF RECEIPTS, DISBURSEMENTS AND
BALANCES OF GASH - GENERAL FUND
Janua:C'j 1 t,n D~>'rnì)\:\' 31) 1::.'53
Tr3asurel^' s Cash Balance - Janua.y,j' 1, 1953
Receipts
Appropriation from the City of Salina
Fines, Memberships and Rentals
~1is cellaneous
$4C,092.00
1,334.63
38.50
Total
Disbursements
Salaries and Wages
Librarian
Cataloger
Children's Librarian
Reference Librarian
Circulation Librarian
Museum Curator
Custodian
Treasurer
Student Assistants
Books
Periodicals
Binding
Heat, Lights and Water
Telephone
Building and Equipment Maintenance
Furniture and Equipment
Office and Library Supplies
Janitor Supplies
Museum Expense
Traveling Expense
Memberships and Dues
Printing
Auditing
Social Security Tax
Recorda
Insurance
Post Office Box Rent
Bank Deposit Box Rent
Freight and Delivery
Miscellaneous
$4,620.00
840 . 00
1,929.50
2,700.00
2,640.00
2,046.00
2,700.00
50.00
6,116.01
$23,641.51
7,868.05
1,080.00
1, 01¡9 .1+5
574.53
170.15
550.37
889.27
1,189.01
64.33
750.00
531.95
107.50
124.37
229.25
317.82
766.85
493.12
22.00
3.00
8.77
441.53
Total Disbursements
Treasurer's Cash Balance - December 31,1953
Exhibit "A"
$ 1) 05~' .84
41,465.13
$42,520.97
40,872.83
4> 1~648.14
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THE FREE PUBLIC LIBRARY OF THE CITY OF SALINA
Salina, Kansas
Schedule 1
TREASURER'S CASH BALANCE
December 31, 1953
Cash in Bank
National Bank of America, Salina, Kansas
Farmers National Bank, Salina, Kansas
Planters State Bank, Salina, Kansas
$1,u)4.E:4
2,672.36
ß 079 .06)
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Treasurer's Cash Balance - December 31,1953
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THE FREE PUBLIC LIBRARY OF THE CITY OF SALINA
Salina,
Kansas
STATEMENT OF FUND BALANCE - GENERAL FUND
December 31, 1953
Treasurer's Cash Balance - December 31, 1953
Less - Outstanding Indebtedness unpaid at December
31, 1953
Amount Due the Bartlett Fund (See page 3 of
report)
$183.20
129.44
General Fund Balance - December 31,1953
Schedule 2
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312.64
$1,335.50