Audit - 1957
THE FREE PUBLIC LIBRARY OF THE CITY OF SALINA
Salina J ICanS8S
REPORT Ot~ EXAMINATION
Decetm>er 31, 1957
.
1ŒMNEDY AND COE
Certified Public Accountants
Salina - Kansas
C. N. Hoffman, Jr.
Mrs. J. J. Donelan
Henry Ebedurc1t
Her sclM 1 Logan
Mrs. Donald AlBeod
F. J. Brettle
Mr.. J. J. Doue lan
_.v. J.... S. .Elliott
THE FREE PUBLIC LIBRARY OF THE CITY OF SALINA
Sa 1 ina. Kansas
LIBRARIAN
Jerome Cushma.n
OFFICERS
. . . . . . . . . . . . . . . . . . . . . . . . .
President
. . . . . . . . . . . . . . . . . Vice President
......
.............."..
.................... """"
BOARD OF DIRECTORS
Treasurer
Secretary
Mrt;. J. Hartin Hall
C. N. ßoff~an, Jr.
Herschel Logan
Ralph 1!. Exline
EXHIBIT "Af'
Schedule 1
Schedule 2
THE FREE PUBLIC LIBRARY OF TtlE CITY OF SALINA
Sa 1 iWi, Kansas
INDEX
COMMENTS. . . . . . . . . . . . . . . . . . . . . . . .
STATEMENT OF RECEIPTS, DISBURSEMENTS J MiD
ßÂUNCES OF CASH. . . . . . . . . . . . , . . . .
Cash Balance. . . .
............
Unencumbered Cash Balance
. . . .
.....
IDU
Page
Number
1 to 4
;; to 6
1
8
KENNEDY AND CaE
CERTIFIED PUBLIC ACCOUNTANTS
SALI NA. KANSAS
May 14, 1958
The Board of Directo¡'I$,
The Free Public Library of the City of Salina,
Salina, Kansas.
C.en t lemen :
W. have exarained the financial books and ¡ecords of The Free Public Library of the
City of Saltna, Sa11na. Kansas, for the pørlod January 1 to ]!>ecember :31, 1957,
inclusive. The report of such examination 1s herewith subillittted.
SCOPE OF EXAMINATION
The examination ""as pel:fooned 1n accordance with the requirements 01 the Minimum
Standá.rd Audit PrognlIJ:t app¡-oved by the State Municipal Account:lng Board.
RECEIPTS, DISBURSEMENTS, AND BALANCES OF CAS]!
A 8tattment of the receipts J disbursements, and balances of The Free Public. Library
of the City of Salina for the yeu 1951 is sbownunder Exhibit "Art.
The! library treasurer received a total of $58,465.05 in appro~'ri4t1.ons frO!l1 the
City of Salina durb\g the year 1957. This a:uOUQt was verified by correspondence
with the city clerk.
Ftne. are .uesaed for fanure to return book. within tho time limit and for clacage
to and 108. of book., and IIIe1DIMrahip fees are collected frOat nonresidents. These
coUectiona are ordinarily 1n very 8ull .-oUl1~. a&1d t"ecelpts sore GOt 1..ued for
a.ach collection. Fine and. aeabership fee eoUections of $1,6'°.41 were remitted
by tbe librar1an to the library trea.urer except that $5.00 was retained by the
l1bt'arun. The 4I8Ount retainecJ increa.ed the a80unt of cash Oll hand from $49.00
at the be¡lnning of the year to $54.00 at Þaceœber 31,1951. Four r~lttances
we~e --de by the librarian to the tre.surer cJurin& the year. In our previous
t'eports we have re'cocaended that such rece1pta be rea1tte4 within five .says of the
8nd of the 1ftOBth 10 which the c:olle<:UOQs vere aa~.
Checks which cleared through the bank. dud.uS the perl.od were exa.iRed .a to elate,
payee. payee endorae..nt, signature, and bank C4Ucellatton.
All prenuabere4 warrant check for8. usecl during the year were accounted. for.
Cla1.ai vouchers patd durio.g the. period were coapared on a test bash with 1nvoices
and. with the amount. of the warrant checks haued in payment thereof a. recorded
in the warrant register. The vouchers were exaœined for legality and propriety of
expenditure. It was noted that several of the vouchers were not signed OT approved
and that some expenditures were made for which no formal voucher was available.
CÞ.SH BAlANCES
The tre$surer's bank balance and the librarian's cash balance at D~cember 31, 1957,
are shown under Schedule 1. The bank balance was teconciled to the balance con-
firmed by the bank, and the cash on hand was counted.
The treasurer did not iUaintaln 4 record of disbursements ss is reqûi.ced 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 llLl) it is
unlawful to make payaent out of or to create &0. índebtedness ¡¡.gainst any fund in
excess of money actually on hand in the treasury to the credit of the fund. Be-
C8\.iSe of the iw&dequacy of the l:ecords it was i1npractical to dt/!te.r<ftinœ the exte...1t
of noncompliance w1th the Cash Basi. Law during the year, bo~;ver, noncompliance
was evident from an exa,¡nination of the bank statell1ents which sbowed that the bank
account was overdra."IItU during the period fi.prH 1 to April 3, 1951.
Under the provisions of the Budget Law (C.S. 1949. 79~¿93> to 1937) it is unlQ~-
ful to make payment out of or to create an indebtednees again&t any fund in excesa
of the amount provided for that fund by the annual budget.
The following stat~ment shows a coaparison of actual revenue, expenditures, and
balances ~itb a~ount8 anticipated by the budget:
Actual
~dget
Amount
(Over)
or Under
Budget
L'DencuœbeTed cash balance
Revenue year 1957
J'rosa taxation
Fro. other sources
January 1, 1951
$
457.33
$
194.95
($262..38)
58,465.05
1,875.47
58,465.05
-6.500.00
(375.47)
Total
$60,797.85
$60,160.00
<$637.85)
Expenditure. (6ee following co.putation)
60,000.12
60,160.00
159.88
Unencusbered Cash Balance December 31, 1951
i
7~7 .l1
L-....... - "',
(S197.73)
The above .ute_at .how that there 'W48 CO8pliance with the Budget Law.
The follc~Di atate~nt shoW$ the eo~putat!on of the expenditures of the General
Fund fo~ the year 1957:
Casb disbursements tor tho year 19>7
peduct - Indebtedness at DdcemGer 31, 1956, paid
and included in 19>7 cash diabur8~t8
$59..239.94
42 .45
~ - Indebtedne.. created during 1957 ",-bich wa.
not p41d at December 31, 19S7
$59,197.49
802.63
Expenditures foe Year 1951
~Jl~U
The 8a!1OUQt of the 1:n4ebtedne.8 created dud.as the year 1951, which 'Wa. uapald at
Deceëer 31, 1951, va8 deterntine4 1>}' exøtiut1on of clat. vouchers paid during the
IIíOnth of January, 1958. ancl by refer_ce to the .!nute. of the bo,ar4 of directors.
~mmçUM8ERID CASH BlJANCE
Schedule. l shows the coraput.ation of the unencuæbereci cash balanc~~ at Ðe.cember 31,
1957.
I~SmlANCR~AND FÞ¡~ITY BOND!
A .~ry of ilUlSt'ance and fld4l1ty bOU<I eoviltrage ÐeeEWlber 31 ~ 1 5 ï, iG at; 10 Uc,s:
Covet:'a~e
Amount
Property tnsured
JGilding
80t141n& contents
..... coateat:a
IoUer
Karau.t Pr..cott
Wi.. art collectt...
Fi. U.ty bead
Beary 8. ..budt
Flee and ext.u4ed coverasew
F11'e _41 supple8aratal coveraae*
Fir4! IU14 aupp181lelltal covea.-
Botler ..pl081oa
$76"SOO.OO
40,000.00
1,000.00
S,OOO.oo
l'1.re..4.upple8eGtal covera.e
1,556.00
4,000.00
.. 80% co ta... AD<:8
 boad for the t..euurer 1n the 8Nunt a.pec:1fte4 by the library board is required
uader the provisions of G.S. 1955, Supp. 12.1226. such bond to be approved by
the Board of City eo.t.M1onara. The lllinutaa of the l{btar, bootrd dated .1une 30,
1942, authori.... « boa4 1a the aDIIOuat of ~,OOO.OO which 18 the MOImt of the bøn4.
previously posted b, the tru.urer. The trea.urer'. boad v.a approved b, the
Board of City Co8a1..1oo.r8 00 JUDe 28,1943.
The fidelity bond of the treasurer was renewed by a continuation ,::ertif1cate issued
by the surety company. The eff<ct of the continuation certif:lcate 1s to extend
the period to which the amount of the bond is applicable and does not provide
$4.000.00 of COverage foe each term. A bond is t'equired by statute and it is
apparently intended that a separate coverage of the full arnoWlt be provided for
each term, dnd we are of the opinion that this requirement cannot be satisfied by
a continuation certificate.
GENERAL
The purchase order and claim voucher system in use by the library does not meet
the requirements of systems pcescrlbed for use by Kansas Municipalities because
a record 18 not maintained to show the amounts of indebtedness created.
The .Lnutes of the meetings of the board of directors were ex&nlned for matters
pertaining to the audit.
CERTIFICATE
In our opinion. subject to the foregoing cO$oents, the 4ccocnpanying exhibit and
related schedules present fairly the cash PO6ition of The Free ]:Jubl1c Library of
the City of Salina as of Decembee 31, 1957, and the Hnancial transactions for the
period January 1 to December 31. 1957.
j
Respectfully subæitt,ed,
KENNEDY AND CÙ::,
t:. .::\. ~~ ~l C.P.A.
Lice.nseð Municipal Public Accountant
in charge of and actJ.vely engaged On
this audit.
$a 1 in~ ) X..ul:.la8
THE FREE PUBLIC LIBRARY OF Tim CITY OF SALINA
Exhibit itA"
STA T£MINT OF RECEIPTS. DISßURSEMENTS, AND 81\ LA NCES OF CASH
January 1 to December )1, 1957
Cash Balance Januar~ 1~ 1957
Receipts
Appr'opr1at1ous from the City of Salina
Fines and membership fees
Sal. of equipment
Tot.! Receipts
D 1 s In.,,:- .. e WIen t IT>
Salaries and wagea
Librarian
C.lJtalQger
Children'& lib~ðr1an
Reference librarian
Circulation Hbrarf.A1\
A8eistaDt circulation librarisn
Cuetodian
Boolflteeper
TreasU1:'er
Student assistants
Books
Parlec11ul.
B1a41qa
a.corct. &Act piCbar..
Ilea t . H,p t: . ... 1M ter
.,.lapb.ou
luf.l.iD.& _ad equ1paeat -útnaace
I'unalture aa4 futuro
Off1ce'" library...,11..
.Jaa1t:Qr euppU...
Trav.U.aa ....s.
"""rÄ1,. ~....
AucJtt1q
Social 8*CUr1ty tax
¡.sur_c.
Post offiuÞX rea.t
Saf. depos1tbcnt raat
w..ee 1 lane.où.$
$5.004.00
1.596.00
3,204.00
3.396.00
3,396.00
::,laO.OO
3,2()4.01]
180.00
50.CO
7.734.û?.
Øubtotala Carrt" !'4n"wrcl
$58,465,,05
1,690..47
185 .:.22.
$29.85f~.Ü9
12 ,255 .~)4
981.;~6
1,625..82
1,296.82
865.43
39a.~~6
1,982.1.9
l,20S.83
1,335.56
l1o.:n
784.32
204.00
400.00
654.8%
508.57
24.00
3.80
569..9!.
$55,070.8'
$
499.78
60.340.52
$60.840.30
$60,840.30
THE FREE PUBLIC LI8RARY OF THE CITY OF SALINA
SJ.line. J(4US.a.
~,1t "A" (Contd.)
STATEMENT OF RECEIPTS. DISBURSEMENTS. AND BALANCES OJ!' CASH
January 1 to Dùcember 31, 19S7
Subtotals Brought Forward
Disburse~ents (Contd.)
Museu;u expense
Salaries and wages
Curator emer1tua
Curator
Assistants
Supplies
Art objects
Telephone
Equip'~nt
Insurance
Misce llaneous.
$ 599.00
1,200.00
1,114.66
Total Disbursements
Cash Balance DGcember 31, 1957
$55,070.89
;2 .913.66
88.99
168 .,42
149.S8
747.11
19.,43
81.¡a6
$60,840.30
_59,2.39.94
t, 1 &';í(i 3(,
" ;>=~,b""",~~,,"
THE FREE PUBLIC LIBRARY OF THE CITY OF SALINA
SalinA, Kansas
Schedule 1
CASH BALANCE
Decembar 31, 1957
~urer's Cash ßalanc~
National Bank of America, Salina. !,mSi;1$
~1,.546. 3&
Librar1an'£ Ca$b 8alance
Library change fund
54.DO
Total Caab Balance Dec~er 31. 1957
~6yO.3~
THE FREE PUBLIC LIBRARY OF THE CITY OF SALINßI
Salina, Kansas
UHE~UMBERED CASH BALANCE
Decembec 31, 1957
Treasur.,rf!\ c.&&b balance Decmabcr 31, 1957
Deduct. Outgt¿tQding indebtedneu unpaid at
ÐeCe-¡¡tbE:r 31, 1951
Treeaurerf& unencumbered cash balance December 31, 1957
Librarian's cash balance December 31, 1957
total Unencumbered Cash Balance Decøaba.r 31, 1951
~
Schedu 1e .i..
$1.546.36
so;; .63
~,-.~--.- " "-.
$
743.13
54.00
~91 .12