Audit - 1956
'"
THE FREE PUBLIC LIBRARY OF THE CITY OF SALINA
Salina, Kansas
REPORT ON EXAMINATION
December 31, 1956
KENNEDY AND COE
Certified Public Accountants
Salina - Kansas
4
THE FREE PUBLIC LIBRARY OF THE CITY OF SALINA
Salina, Kansas
LIBRARIAN
Jerome Cushman
OFFICERS
C. N. Hoffman, Jr.
. . . . . . . . . . . . . . . . . . . . . . . . President
Mrs. J. J. Donelan
.....................
Vice-President
Henry Eberhardt. . . . . . . . . . . . . . . . . . . . . . . . . . Treasurer
Herschel Logan
. . . . . . . . . . . . . . . . . . . . . . . . . . Secretary
BOARD OF DIREcci'ClxS
Mrs. Donald Amend
C. N. Hoffman, Jr.
Miss Irene Bjurstrom
Herschel Logan
Mrs. J. J. Donelan
Jason Yordy
Rev. James S. Elliott
Ralph F. Exline
EXHIB IT "A"
Schedule 1
Schedule 2
THE FREE PUBLIC LIBRARY OF THE CITY OF SALINA
Salina, Kansas
INDEX
COMMENTS. . . 0 0 0 . 0 0 0 . . . . . 0 . . . . .
STATEMENT OF RECEIPTS, DISBURSEMENTS, AND BALANCES
OF CASH - GENERAL FUND. . . . . . 0 0 . . 0 0 0
Treasurer's Cash Balance 0 . . 0 . . 0 . 0 0 0 0 0 . . 0
Treasurer's Unencumbered Cash Balance - General Fund. 0
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Ma y 1, 1957
To the Board of Directors,
The Free Public Library of the City of Salina,
Salina, Kansas.
Gentlemen:
We have examined the financial books and records of The Free Public Library of the
City of Salina, Salina, Kansas, for the period January 1 to December 31, 1956,
inclusive. The report of such examination is herewith submitted.
SCOPE OF EXAMINATION
The examination was performed in accordance with the requirements of the Minimum
Standard Audit Program approved by the State Municipal Accounting Board.
RECEIPTS, DISBURSEMENTS, AND BALANCES OF CASH
All of the receipts and disbursements of The Free Public Library of the City of
Salina for the year 1956 were cleared through the General Fund. A statement of
such receipts, disbursements, and balances is shown under Exhibit "A".
The library treasurer received a total of $54,359.02 in appropriations from the
City of Salina during the year 1956. This amount was verified by the city clerk.
Fines are assessed for failure to return books within the time limit and for damage
to and loss of books and membership fees are collected from nonresidents. These
collections are ordinarily in very small amounts and receipts are not issued for
each collection. Fine and membership fee collections of $1,623.13 were remitted
by the librarian to the library treasurer except that $40.00 Vi'as retained by the
librarian. The amount retained increased the amount of cash on hand from $9.00 at
the beginning of the year to $49.00 at December 31, 1956. Four remittances were
made by the librarian to the treasurer during the year. In our previous reports
we have recommended that such receipts be remitted within five days of the end of
the month in which the collections were made.
Checks which cleared through the banks during the period were examined as to date,
payee, payee endorsement, signature, and bank cancellation.
All pre-numbered warrant check forms used during the year were accounted for.
Claim vouchers paid during the period were compared on a test basis with invoices
and with the amounts of the warrant checks issued in payment thereof as recorded
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in the warrant register. The vouchers were examined for legality and propriety of
expenditure. It was noted that several of the vouchers were not signed or approved
and that Some expenditures were made for which no formal voucher was available.
TREASURER r S CASH BALANCE
The treasurer's bank and cash balances at December 31, 1956, are shown under
Schedule I. The bank balances were reconciled to balances confirmed by the banks,
and the cash On hand was counted.
The treasurer did not maintain a record of disbursements as is required under
G. S. 1955, 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. Be-
cause of the inadequacy of the records it was impractical to determine the extent
of noncompliance with the Cash Basis Law during the year, however, noncompliance
was evident from an examination of the bank statements which showed that the bank
account was overdrawn during the period July 19 to July 24, 1956.
Under the provisions of the Budget Law (G. S. 1949, 79-2935 to 2937) it is unlaw-
ful to make payment out of or to create an indebtedness against any fund in eXCC'Bf;
of the amount provided for that fund by the annual budget.
The following statement shows a comparison of actual revenue, expenditures, and
balances with amounts anticipated by the budget:
Unencumbered Fund Balance January 1, 1956
Amount
(Over)
or Under
Actual Budget Budget
$ 923.93 $ 728.98 ($194.95)
Revenue Year 1956
From taxation
From other sources
54,359.02
1 , 623 . 13
Unencumbered Fund Balance December 31, 1956
$
457.33
54,359.02
1,500.00 (123.13)
$56,588.00 ($318.08)
56,588.00 139.25
L ($457.33)
Total
$56,906.08
Expenditures (see computation below)
56,448.75
The above statement shows that there was compliance with the Budget Law.
..
The following statement shows the computation of the expenditures of the General
Fund for the year 1956:
Cash Disbursements for the Year 1956
$56,842.67
Deduct - Indebtedness at December 31, 1955, paid
and included in 1956 cash disbursements
436.37
$56,406.30
Add - Indebtedness created during 1956 which was
not paid at December 31, 1956
42.45
Expenditures for Year 1956
$56.448.75
The amount of the indebtedness created during the year 1956, which was unpaid at
December 31, 1956, was determined by examination of claim vouchers paid during the
month of January, 1957.
TREASURER'S UNENCUMBERED CASH BALANCE
Schedule 2 shows the computation of the treasurer's unencumbered cash balance at
December 31, 1956.
INSURANCE AND FIDELITY BONDS
A summary of insurance and fidelity bond coverage December 31, 1956, is as follows:
Coverage
Amount
Property insured
Building
Building contents
Museum contents
Boiler
Margaret Prescott
Wise art collection
Fidelity bond
Henry H. Eber~ardt
Fire and extended coverage*
Fire and supplemental coverage*
Fire and supplemental coverage
Boiler explosion
$76,500.00
40,000.00
2,000.00
5,000.00
Fire and supplemental coverage
1,556.00
4,000.00
*
80% co-insurance
A bond for the treasurer in the amount specified by the library board is required
under the provisions of G. S. 1955, Supp. 12-1226, such bond to be approved by
the Board of City Commissioners. The minutes of the library board dated June 30,
1942, authorized a bond in the amount of $4,000.00 which is the amount of the bond
previously posted by the treasurer. The treasurer's bond was approved by the
Board of City Commissioners on June 28, 1943.
The fidelity bond of the treasurer was renewed by a continuation certificate issued
by the surety company. The effect of the continuation certificate is to extend
the period to which the amount of the bond is applicable and does not provide
$4,000.00 of coverage for each term. A bond is required by statute and it is
apparently intended that a separate coverage of the full amount be provided for
each term, and we are of the opinion that this requirement cannot be satisfied by
a continuation certificate.
GENERAL
The purchase order and claim voucher system in use by the library does not meet
the requirements of systems prescribed for use by Kansas Municipalities because
a record is not maintained to show the amounts of indebtedness created.
The minutes of the meetings of the board of directors were examined for matters
pertaining to the audit.
CERTIFICATE
In our opinion, subject to the foregoing comments, the accompanying exhibit and
related schedules fairly present the cash position of The Free Public Library
of the City of Salina as of December 31, 1956, and the financial transactions for
the period January 1 to December 31, 1956.
Respectfully submitted,
KENNEDY AND COE,
(.,. ~ ~ Q, .oJ
Licensed(Municipal Public
in charge of and actively
this audit.
C.P.A.
Accountant
engaged on
THE FREE PUBLIC LIBRARY OF THE CITY OF SALINA
Salina, Kansas
STATEMENT OF RECEIPTS, DISBURSEMENTS, AND
BALANCES OF CASH - GENERAL FUND
January 1 to December 31, 1956
Treasurer's Cash Balance January 1, 1956
Receipts
Appropriations from the City of Salina
Fines and memberships
Total
Disbursements
Salaries and wages
Librarian
Cataloger
Children's librarian
Reference librarian
Circulation librarian
Assistant circulation librarian
Custodian
Bookkeeper
Treasurer
Student assistants
Books
Periodicals
Bindings
Records and pictures
Heat, lights, and water
Telephone
BUilding and equipment maintenance
Furniture and fixtures
Office and library supplies
Janitor supplies
Traveling expense I
Memberships and dues
Audit ing
Social security tax
Insurance
Post office box rent
Safe deposit box rent
Miscellaneous
$4,800.00
1,500.00
2,880.00
3,180.00
3,180.00
1,800.00
3,120000
180.00
25.00
5,862.52
Sub-totals Carried Forward
$54,359,,02
1 , 623 , 13
$26,527.52
10,082,8/+
998.70
1,587.08
1,283.62
889.76
323.89
5,525.75
2,515.52
643.38
70.53
651.55
148.50
350.00
549.15
498.19
24.00
3.30
548.54
$53,221.82
..
Exhibit "A"
$ 1,360.30
55,982.15
$57 , 342 .45
$57, 342 . 45
THE FREE PUBLIC LIBRARY OF THE CITY OF SALINA
Salina, Kansas
Exhib it "A" (Contd.)
STATEMENT OF RECEIPTS, DISBURSEMENTS, AND
BALANCES OF CASH - GENERAL FUND
January 1 to December 31, 1956
Sub-totals Brought Forward
Disbursements (Contd.)
Museum expense
Salaries and wages
Curator emeritus
Curator
Assistants
Supplies
Museum objects
Telephone
Equipment
Insurance
Moving cost of liThe Smoky Hill Historical
Museum"
Misce llaneous
$ 600.00
1,128000
708.15
Total
Treasurer's Cash Balance December 31, 1956
--'=='~-="""====='"-"
$53,:?2L82
2,436.15
145.13
223.04
88.35
126.09
10.00
375,18
216.91
$57, 342 .45
56, 842 . 67
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THE FREE PUBLIC LIBRARY OF THE CITY OF SALINA
Salina, Kansas
Schedule 1
TREASURER'S CASH BALANCE
December 31, 1956
Cash in Bank
National Bank of America, Salina, Kansas
Farmers National Bank, Salina, Kansas
Planters State Bank, Salina, Kansas
$
450.78
Cash on Hand
Library change fund
49.00
Treasurer's Cash Balance December 31, 1956
$499.78
1/
1-=-
THE FREE PUBLIC LIBRARY OF THE CITY OF SALINA
Salina, Kansas
TREASURER'S UNENCUMBERED CASH BALANCE - GENERAL FUND
December 31, 1956
Treasurer's Cash Balance December 31, 1956
Deduct - Outstanding indebtedness unpaid
at December 31, 1956
Unencumbered Cash Balance December 31, 1956
$499.78
42 .45
-"--
$457.33
Schedule 2
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