Audit - 1959
-'
THE FREE PUBLIC LIBRARY OF THE CITY OF SALINA
Salina, Kansas
REPORT ON EXAMINATION
December 31, 1959
KENNEDY AND COE
Certified Public Accountants
Salina - Kansas
THE FREE PUBLIC LIBRARY OF THE CITY OF SALINA
Salina, Kansas
LIBRARIAN
Jerome Cushman
OFFICERS
Mrs.J.MartinHall..................."""
President
R. J. Newman
..........................VicePresident
F.J.Brettle............................
Secre tary
Dr. S. C. McCrae
. . . . . . . . . . . . . . . . . . . . . . . . . .
Treasurer
BOARD OF DIRECTORS
Mrs. J. Martin Hall
1o. II, ) I
n.
R. J. Newman
Mrs. Joha Riddle
F. J. Brettle
Mrs. Albert Schwartz
Dr. S. C. McCrae
Ralph Exline*
*Ex officio
EXHIBIT "A"
Schedule 1
Schedule 2
THE FREE PUBLIC LIBRARY OF THE CITY OF SALINA
Salina, Kansas
INDEX
COMMENTS.........................
STATEMENT OF RECEIPTS, DISBURSEMENTS, AND BALANCES
OF CASH - GENERAL FUND. . . . . . . . . . , . . . . . .
Cash Balance - General Fund
. . . . . . . . . . . . . . .
Unemcumbered Cash Balance
. . . . . . . . . . . . . . . .
INDEX
Page
Number
1 to 4
5 to 6
7
8
KENNEDY AND
COE
CERTIFIED PUBLIC ACCOUNTANTS
SALINA. KANSAS
June 23, 1960
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 31,1959,
inclusive. The report of such examination is herewith submitted,
The examination was performed in accordance with .the requirements of the Minimum
Standard Audit Program approved by the State Municipal Accounting Board.
SCOPE OF EXAMINATION
A statement of the receipts, disbursements, and balances of the general fund of The
Free Public Library of the City of Salina for the year 1959 is shown ur",lêI ;'>;.11 ibit
"A". The library board made its own tax levy for the year 1958 and budgei. fOl the
year 1959 under the provisions G.S. 1959, Supp. 12-1215.
RECEIPT~ISBURSEMENTS AND BALANCES OF CASH - GENERAL FUND
Receipts of the proceeds from the tax levy from the Saline County, Kansas, Treasurer
were verified by an examination of the county treasurer's records and consisted
of the following:
1958 tax
1958 sales tax
1957 tax and prior years
$61,661.28
3,237.63
823.59
Total Receipts from County Treasurer
.2&.5.722.50
A summary of the particulars concerning The Free Public Library of the City of
I
Salina tax levy for the year 1958 is as follows:
Total levy per original tax rolls
Received from county treasurer
$62,383.03
6]:.1..661.28
Balance in county treasurer's hands
December 31, 1959
$
721.75
285.08
~o11~~by County Treasurer
December 3l, 1959
L 436.6l
Fines are assessed for failure to return books within th¿ time limit and for damage
to and loss of books, and membership fees are collected from nonresidents. These
collections by the librarian are ordinarily in vèry small amounts and receipts are
not issued for each collection. Such collections amounted to $2,160.96 for the
year 1959 of which $2,158.96 was remitted to the library treasurer. The $2.00
unremitted by the librarian is included in cash on hand at December 31, 1959. 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 prenumbered war-
rant check forms used during the year were accounted for. Claim vouchers paid
during the period were compared on a test basis with invoices and ~,ith the amounts
of the warrant checks issued in payment thereof as recorded in the warrant regis ter.
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. The treasurer's bank balance
and the librarian's cash balance at December 31, 1959, are shown under Schedule 1.
The bank balance was reconciled to the balance confirmed by the bank, and the cash
on hand was counted.
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 fun;; \l
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 deterrnine the extent
of compliance or noncompliance with the Cash Basis Law during the year.
Under the provisions of the Budget Law (G.S. 1949, 79-2935 to 293l) it is unlaw-
ful 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 a comparison of actual general fund revenue, ex-
penditures, and balances with amounts anticipated by the budget:
Total
Amount
(Over)
or Under
Actual Budget Budget
$ 1,295.09 $ 535.35 $ (759.74)
65,722.50 64,432 . 65 (1,289.85)
2,209.83 1,500.00 (709.83)
$69,227.42 $66,468.00 ($2,759.42)
66,413.71 66,468.00 54.29
Unencumbered cash balance January 1, 1959
Revenue
From taxation
From other sources
Expenditures (see following computation)
Unencumbered Cash Balance December 31, 1959 $ 2.813.71
$
($2.813.71)
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 1959:
Cash disbursements for the year 1959
Deduct - Indebtedness at December 31, 1958,
paid and included in 1959 cash disbursements
$66,423" 13
41.09
Add - Indebtedness created during 1959 which
was not paid at December 31, 1959
$66,382.04
Expenditures for Year 1959
31. 67
$66.413,71-
The amount of the indebtedness created during the year 1959, which was unpaid at
Deceaber 31, 1959, was determined by examination of claim vouchers paid during the
month of January, 1960, and by reference to the minutes of the board of directors.
Schedule 2 shows the computation of the unencumbered cash balance at December 31,
1959.
RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH - BROCK COLLECTION FTT1;:J[ì
The library board accepted gifts during the year 1958 for the purchase of the C.
E, Brock country store and blacksmith shop collection. The fund for the most part
was also expended during the year 1958, however there were certain expenditures
made during the year under review as outlined in the following statement.
Following is a summary of the transactions of this fund during the year.
Cash Balance January 1, 1959
$882.06
¡
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,
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Receipts
--
Disbursements
Repairs and maintenance
Storage
$882.06
$1l8.29
77 .00
Total Disbursements
195.29
$686.77
Cash Balance December 31, 1959
The above balance of $686.77 was on deposit in the Planters State Bank, Salina,
Kansas. This amount was confirmed by correspondence with the depository.
INSURANCE AND FIDELITY BONDS
Cover age
Amount
Property insured
Building
Building contents
Museum contents
Boiler
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
Margaret Prescott
Wise art collection
Brock Memorial collection
Fidelity bond
Treasurer of the Salina
Public Library
Fire and supplemental coverage
1,556.00
5,000.00
5,000.00
*
80% coinsurance
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 present fairly the cash position of The Free Public Library of
the City of Salina as of December 31, 1959, and the financial transactions for the
period January 1 to December 31, 1959.
Respectfully submitted,
KENNEDY AND COE,
/~
Licensed Municipa Public
in charge of and actively
this audit.
C.P.A.
Accountant
engaged on
4.
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, 1959
Cash Balance January 1, 1959
Rec~ipts
Ad valorem property taxes
Residue sales tax
Fines and membership fees
Miscellaneous
Total Receipts
Disbursements
Salaries and wages
Librarian
Children's librarian
Reference librarian
C~rculation librarian
Assistant circulation librarian
Custodian
Bookkeeper
Student assistants
Books
Periodicals
Travel
Bindings
Water
Light and heat
Telephone
Building maintenance and repair
Janitor supplies
Office and library supplies
Audit ing
Furniture and equipment
Insurance
Records and prints
Memberships and dues
Post office box rent
Safe deposit box rent
Freight and drayage
Advertising
Social security
Miscellaneous
$7,260.00
3,840.00
4,200.00
4,200.00
2,700.00
3,420.00
300.00
9,842.29
$62,484.87
3,23/.63
2,160.96
48.87
$35,762.29
13,838.31
1,190.90
114.92
3,449.02
61.70
1 , 680 . 10
391. 43
515.42
211.75
1,202.98
500.00
757.95
584.59
1,131.63
262 . 00
18.00
4.95
13.65
66.10
828.61
512.92
Exhibit "A"
$ 1,336.18
67,932.33
$69,268.51
THE FREE PUBLIC LIBRARy OF THE CITY OF SALINA
Salina, Kansas
Exhibit "A" (Contd.)
STATEMENT OF RECEIPTS, DISBURSEMENTS> AND BALANCES
OF CASH - GENERAL FUND
January 1 to December 31, 1959
Museum expenses
Salaries and wages
Curator
Assistants
Supplies
Museum objects
Telephone
Equipment
Freight and drayage
Miscellaneous
$ 50.00
2,104.53
$ 2, l5f,.53
23.72
220.00
149.55
63.81
47090
64.40
Total Disbursements
Cash Balance December 31, 1959
$66,423013
$ 2.845.38
TIlE FREE PUBLIC LIBRARY OF THZ CITY OF SALINA
Salina, Kansas
CASH BALANCE - GENERAL FUND
December 31, 1959
Treasurer's Cash Balance
Farmers National Bank, Salina, Kansas
$2,787,38
Librarian's Cash Balance
Library change fund
58.00
Total Cash Balance December 31, 1959
~~845 . 38
Schedule 1
THE FREE PUBLIC LIBRARY OF THE CITY OF SALINA
Salina, Kansas
UNENCUMBERED CASH BALANCE
December 31, 1959
Treasurer's cash balance December 31, 1959
Deduct - Outstanding indebtedness unpaid at
December 31, 1959
Treasurer's unencumbered cash balance December 31, 1959
Librarian's cash balaQce December 31, 1959
Total Unencumbered Cash Balance December 31, 1959
Schedule 2
$L,787,38
31.67
-C_.->
$2,755,71
58.00
$2.813.71