Audit - 1973
THE CITY OF SALINA
Saline County, Kansas
REPORT ON EXAMINATION
December 31, 1973
WOODS & DURHAM
Certified Public Accountants
Salina, Kansas
Schedule 1
Schedule 2
Schedule 3
Schedule 4
Schedule 5
Schedule 6
Schedule 7
Schedule 8
Schedule 9
Schedule 10
Schedule 11
Schedule 12
Schedule 13
Schedule 14
Schedule 15
Schedule 16
Schedule 17
Schedule 18
Schedule 19
Schedule 20
Schedule 21
Schedule 22
THE CITY OF SALINA
Saline County, Kansas
INDEX
Accountant's Report. . . . . . . . . . . . . . . . . . . . .
Comparison of Cash Balances with Encumbrances. . . . . . . . . . .
Classified Statement of Receipts, Disbursements, and Balances
of Cash, Composition of Ending Cash Balance. . . . . . . . . . .
Reconciliation - Cash Disbursements with Expenditures. . . .
Comparison of Actual Revenue with Budget Estimates. . . . . . . .
Detail Licenses, Fees and Permits - General Operating :~und . . . .
Comparison of Actual Expenditures with Budget Estimates. . . . . .
Detail of General Operating Fund Expenditures, by Department,
Compared with Budget Estimates. . . . . . . . . . .. . . .
Statement of Receipts, Expenditures, and Unencumbered Fund
Balance - Non-Budgeted Funds. . . . . . . . . . . .' . . . . . .
Statement of Bonds of Indebtedness, Temporary Notes and
No- Fund Warrant;s ..... . . . . . . . . . . . . . . . .
Reconciliation of Fiscal Agency Balance. . . . . . . . . . . . . .
Insurance Coverage. . . . . . . . . . . . . . . . . . . . . . . .
Fidelity Bonds. . . . . . . . . . . . . . . . . . . . . . . . . .
Statement of Investments by Funds. . . . . . . . . . . . . .
Comparison of Depository Security with Balances on Deposit. . . .
Municipal Court - Summary of Assessments, Disbursements, and
Uncollected Cash Balance. . . . . . . . . . . . . . . . .
WATER AND SEWAGE FUND
Comparative Balance Sheet. . . . . . . . . . . . . . . . . . . . .
Comparative Income Statement. . . . . . . . . . . . .
Comparative Unappropriated Surplus. . . . . . . . . . . . .
Comparative Operating Expenses Statement. . . . . . .
Receipts, Expenditures and Fund Balance - Consolidated. . . . . .
Comparison of Reserve Balances with Ordinance Requirements. . . .
Comparative Plant and Property Statement. . . . . . . . . . . . .
Page
Number
1
2
3- 4
5
6- 9
10
11-17
18-31
32-38
39-40
41
42
43
44
45
46
47-48
49
50
51-53
54-55
56
57-58
WOODS
&
DURHAM
~1ißd fi>uJl« .rlæounlanß
!}Ja/ina
, ø~ in C@ay ~,,~~
æek.it
605 W. NORTH STREET
P. O. BOX 1324
TELEPHONE - AREA 913, TAYLOR 5-5494
SALINA, KANSAS, 67401
June 13, 1974
The Mayor and
The Board of City Commissioners
The City of Salina
Saline County, Kansas
We have examined the financial records of The City of Salina, Saline County,
Kansas, for the year ended December 31, 1973. Our examination included all
funds except The Firemen's Relief Association, The Municipal Band Board, The
Saline County-City Building Authority, The Joint City-County Board of Health,
and The Salina Airport Authority.
-
Our examination was performed in accordance with the Minimum Standard Audit
Program for Municipalities, and in accordance with generally acl:epted audit-
ing standards and accordingly included such tests of the accounting records
and such other auditing procedures as we considered necessary under the cir-
cumstances.
Included in this report, in a separate section, are statements showing the
financial position and results of operation of the Water and Se~~age Fund.
Additional records are maintained in conformity with accounting methods gen-
erally applicable to commercial utilities. Because the scope of our examin-
ation did not include the verification of the assets of the WatE!r and Sewage
Fund, other than cash, we are unable to express an opinion on Sehedules 16
through 22 of the special section of this report covering the Water and Sew-
age Fund.
In our opinion, subject to the above comments covering those Schedules 16
through 22 of the Water and Sewage Fund, the accompanying schedules present
fairly the cash position of The City of Salina, Kansas, at Dece~mber 31, 1973,
and the financial transactions for the year January 1 to December 31, 1973,
in conformity with accounting practices generally followed by municipalities
applied on a basis consistent with that of the preceding year.
WOODS & DURHAM
CiØ:kÞ -¡.J / ,-/ú ~
//
CL/ L1,! â/ 6!-¿:..~U
Certified Public Accountant in charge
of and actively engaged on this audit.
1.
.
N
THE CITY OF SALINA
Saline County, Kansas
COMPARISON OF CASH BALANCES WITH ENCUMBRANC~S
December 31, 1973
Schedule 1
Unencumbered 1973 Unencumbered Add Cash
Fund Balance Add Deduct Fund Balance Encumbrances Balance
Fund '-'_"7') Receipts Expenditures 12-31-73 12-31-73 12-31-73
"'-"'-'.J
BUDGETED FUNDS ,
General Operating $ 50,454.88 $2,370,636.02 $2,366,878.45 $ 54,212.45 $ 28,901. 01 $ 83,113.46
'. Noxious Weed 1,016.61 6,320.99 6,065.56 1,272.04 - 1,272.04
Firemen's Pension 43,995.87 120,370.74 68,969.43 95,397.18 - 95,397.18
Policemen's Pension 48,398.76 51,686.37 26,511.23 73,573.90 - 73,573.90
Tree Maintenance 5,729.39 4,416.44 7,341. 94 2,803.89 - 2,803.89
Bond and Interest 179,634.38 1,106,712.54 1,081,780.17 204,566.75 - 204,566.75
Flood Works and Levee 3.78 27,738.86 26,144.70 1,597.94 - 1,597.94
Social Security 19,778.41 163,729.22 160,206.50 23,301.13 - 23,301. 13
Emp10yees'Retirement 4,468.20 125,990.61 118,443.23 12,015.58 - 12,015.58
Sanitation 76,662.68 244,721. 99 226,295.95 95,088.72 14,153.24 109,241. 96
Parking Meter 86,274.31 85,779.18 97,544.52 74,508.97 8,500.00 83,008.97
Special Gasoline Tax 41,467.63 317 , 794. 00 303,843.00 55,418.63 1,178.15 56,596.78
Golf Course 1,728.53 50,672.94 49,756.97 2,644.50 - 2,644.50
Water and Sewage 810,830.33 1,671,300.09 1,443,712.04 1,038,418.38 64,715.52 1,103,133.90
Construction - Street Resurfacing 46,263.99 97,020.75 - 143,284.74 - 143,284.74
NON-BUDGETED FUNDS
Construction 121,824.10 449,854.59 390,092.57 181,586.12 333.00 181,919.12
Clearing Accounts 19,071.95 49,455.85 48,332.75 20,195.05 - 20,195.05
Central Garage 48,562.21 182,298.64 179,695.10 51,165.75 209.12 51,374.87
Cemetery Endowment 21,662.54 150.00 - 21,812.54 - 21,812.54
Civil Defense 5,445.62 27,972.21 30,992.59 2,425.24 - 2,425.24
Mausoleum Trust - - - - - -
Mausoleum Endowment 16,845.17 - - 16,845.17 - 16,845.17
Street Machinery 24,518.38 937.01 - 25,455.39 - 25,455.39
\Ambulance 11,023.27 40,402.82 48,106.96 3,319.13 - 3,319.13
Community Renewal Program - - - - - -
Special Reserve 33,158.72 - - 33,158.72 - 33,158.72
Federal Revenue Sharing Trust 203,120.00 553,903.49 461.100.72 295.922.77 177.826.50 473.749.27
TOTALS $1.921.939.71 $7.749.865.35 $7.14l.8l4.3~ $2.529.990.68 $295.816.54 $U~5.807 . 22
THE CITY OF SALINA
Saline County, Kansas
CLASSIFIED STATEMENT OF RECEIPTS. DISBURSEMENTS. AND
BALANCES OF CASH. COMPOSITION OF ENDING CASH BALANCE Schedule 2
January 1 to December 31, 1973
Cash and 1973 Cash and
Investments Cash Cash Investments
Fund 1-1-73 Receipts Disbursements 12-31-73
BUDGETED FUNDS
General Operating $ 147,139.38 $2,370,636.02 $2,434,661. 94 $ 83,113.46
Noxious Weed 1,016.61 6,320.99 6,1065.56 1,272.04
Firemen's Pension 43,995.87 120,370.74 68,969.43 95,397.18
Policemen's Pension 48,398.76 51,686.37 26, :511. 23 73,573.90
Tree Maintenance 5,729.39 4,416.44 7,341. 94 2,803.89
Bond and Interest 179,634.38 1,106,712.54 1,081,:780.17 204,566.75
Flood Works and Levee 3.78 27,738.86 26,144.70 1,597.94
Social Security 19,778.41 163,729.22 160,206.50 23,301.13
Emp1oyees'Retirement 4,468.20 125,990.61 118 ,l~43. 23 12,015.58
Sanitation 76,662.68 244,721. 99 212,142.71 109,241. 96
Parking Meter 93,213.96 85,779.18 95,984.17 83,008.97
Special Gasoline Tax 47,736.25 317 , 794.00 308,933.47 56,596.78
Golf Course 1,728.53 50,672.94 49,/'56.97 2,644.50
Water and Sewage 825,241. 60 1,671,300.09 l,393,Lf07. 79 1,103,133.90
Construction - Street
Resurfacing 46,263.99 97,020.75 143,284.74
NON-BUDGETED FUNDS
Construction 121,824.10 449,854.59 389,7'59.57 181,919.12
Clearing Accounts 19,071. 95 49,455.85 48,332.75 20,195.05
Central Garage 50,680.12 182,298.64 181,603.89 51,374.87
Cemetery Endowment 21,662.54 150.00 21,812.54
Civil Defense 6,081.27 27,972.21 31,628.24 2,425.24
Mausoleum Trust
Mausoleum Endowment 16,845.17 16,845.17
Street Machinery 24,518.38 937.01 25,455.39
Ambulance 11,023.27 40,402.82 48,106.96 3,319.13
Community Renewal
Program
Special Reserve 50,000.00 16,841. 28 33,158.72
Federal Revenue Sharing 203.120.00 553.903.49 283.274.22 473.749.27
TOTAL FUNDS $2,065.838.59 $7,749,865.35 $6.989,.896.72 $2,825.807.22
3.
THE C ITY 0 F SAt INA
Saline County, Kansas
CLASSIFIED STATEMENT OF RECEIPTS. DISBURSEMENTS. AND
BALANCES OF CASH. COMPOSITION OF ENDING CASH BALANCE
January 1 to December 31, 1973
Per
Bank
Deposits
in Transit
COMPOSITION OF CASH BALANCE
Planters State Bank
First State Bank and Trust Co.
First National Bank and Trust
Co.
National Bank of America
Petty Cash
Cash on Hand
Investments
TOTAL
$821,290.95
210,879.22
594,857.77
676,481. 59
1,604.46
631.19
$80,976.17
Outstanding
Checks
$233,231. 79
150,1000.00
225,000.00
1,293.36
Schedule 2
(Cont' d.)
Reconciled
Balance
$
669,035.33
210,879.22
445,488.96
451,481. 59
311.10
1,188.90
1.047,422.12
$2.825,807.22.
4.
THE CITY OF SALINA
Saline County, Kansas
RECONCILIATION - CASH DISBURSEMENTS WITH EXPENDITURES
January 1 to December 31, 1973
Schedule 3
Cash
Disbursements Outstanding Claims Expenditures
~ Schedule 2 12-31-73 12 - 3 L - 72 Schedule 1
BUDGETED FUNDS
General Operating $2,434,661. 94 $ 28,901. 01 $ 96,684.50 $2,366,878.45
Noxious Weed 6,065.56 6,065.56
Firemen's Pension 68,969.43 68,969.43
Policemen's Pension 26,511. 23 26 , 511. 23
Tree Maintenance 7,341. 94 7,341. 94
Bond and Interest 1,081,780.17 1,081,780.17
Flood Works and Levee 26,144.70 26,144.70
Social Security 160,206.50 160,206.50
Emp10yees'Retirement 118,443.23 118,443.23
Sanitation 212,142.71 14,153.24 226,295.95
Parking Meter 95,984.17 8,500.00 6,939.65 97,544.52
Special Gasoline Tax 308,933.47 1,178.15 6,268.62 303,843.00
Golf Course 49,756.97 49,756.97
Water and Sewage 1,393,407.79 64,715.52 14 ,L¡,ll. 27 1,443,712.04
Construction - Street
Resurfacing
NON-BUDGETED FUNDS
Construction 389,759.57 333.00 390,092.57
Clearing Accounts 48,332.75 48,332.75
Central Garage 181,603.89 209.12 2,117.91 179,695.10
Cemetery Endowment
Civil Defense 31,628.24 635.65 30,992.59
Mausoleum Trust
Mausoleum Endowment
Street Machinery
Ambulance 48,106.96 48,106.96
Community Renewal Program
Special Reserve 16,841. 28 16,8'+1.28
Federal Revenue Sharing 283,274.22 177,826.50 461,100.72
TOTAL FUNDS $6,989,896.72 $295,816.54 $143,898.88 $7,141,814.38
=
5.
THE CITY OF SALINA
Saline County, Kansas
COMPARISON OF ACTUAL REVENUE WITH BUDGET ESTIMATES
January 1 to December 31,1973
GENERAL OPERATING FUND
Current tangible taxes
Current tangible taxes - Airport
Industrial
Current intangible taxes
Delinquent tangible taxes
Delinquent intangible taxes
State cigarette tax
State liquor enforcement tax
State sales tax
State highway maintenance
Licenses, fees and permits
Municipal courts - fines
Franchise taxes
Office space rental
Auditorium rentals
Rent Community Theater
Concessions - Oakda1e Park
Concessions - Swimming Pool
Concessions - Lakewood Park
Concessions - Lakewood Park - boat rentals
Memorial Park Stadium
Interest from investments
Engineering fees
Impounding fees
Removal and burial fees
Grave marker permits
Title transfer fees
Admissions - Swimming Pools
Administrative services - Other depart-
ments
Fire protection outside city limits
Fire protection outside city limits -
Schilling Manor
Street cut repairs
Concrete sawing
Upkeep services
Weed cutting services
Plats and rezoning fees
Sale of commodities
Sale of ordinance books
Sale of salvage
Sale of lots
Miscellaneous sales and services
Miscellaneous services - County
Services fees
Actual
$1,210,650.69
9,535.69
133,426.08
23,689.76
80.23
67,895.09
18,626.75
59,236.24
5,496.62
76,488.87
127,711. 73
255,720.57
360.00
2,555.00
495.00
27.50
179.12
2,460.00
21,254.22
20,000.00
4,774.00
6,340.00
95.00
25.00
12,088.13
24,925.64
17,450.91
54,150.00
4,733.07
809.75
16.88
7,786.00
1,534.50
3,677.75
226.00
210.00
3,800.00
3,150.37
8,460.00
14,963.00
Budge1~
$1,221,110.02
8,302.50
121,000.00
17,000.00
1,000.00
69,000.00
18,000.00
59,240.00
70,515.00
170,000.00
245,000.00
360.00
4,500.00
50.00
3010.00
2,600.00
900.00
100.00
12,000.00
37,000.00
5,000.00
7,000.00
100.00
20.00
16,000.00
24,000.00
18,600.00
55,400.00
5,000.00
600.00
20.00
6,000.00
860.00
3,500.00
300.00
400.00
2,000.00
4,000.00
8,760.00
Schedule 4
Actual
(Over) Under
Budget
$ 10,459.33
(1,233.19)
(12,426.08)
(6,689.76)
919.77
1,104.91
(626.75)
3.76
(5,496.62)
(5,973.87)
42,288.27
(10,720.57)
1,945.00
(495.00)
22.50
120.88
140.00
900.00
100.00
(9,254.22)
17,000.00
226.00
660.00
5.00
(5.00)
3,911. 87
(925.64)
1,149.09
1,250.00
266.93
(209.75)
3.12
(1,786.00)
(674.50)
(177.75)
74.00
190.00
(1,800.00)
849.63
300.00
(14,963.00)
6,
THE CITY OF SALINA
Saline County, Kansas
COMPARISON OF ACTUAL REVENUE WITH BUDGET ESTIMATES
January 1 to December 31, 1973
Actual
GENERAL OPERATING FUND (Cont'd.)
Sale of real estate
Public address system
Contributions by employees (KPERS)
Reimbursement of expenditures
Rewards
Transfer from Special Gasoline Tax
Fund
Surplus from discontinued funds
Adjustments prior years encumbrances
$
1,000.00
345.00
3,214.88
6,572.92
151,220.00
3,178.06
$2,370,636.02
NOXIOUS WEED FUND
Current tangible tax
Delinquent tax
Sales tax
$
5,930.29
110.69
280.01
$
6~0.99. $
FIREHEN'S PENSION FUND
Current tangible tax
Delinquent tax
Sales tax
Contribution by employees
Membership and dues fees
Interest
$
100,040.90
1,206.11
3,019.10
14,692 .13
1,412.50
120,370.74
$
POLICEMEN'S PENSION FUND
Current tangible tax
Delinquent tax
Sales tax
Contribution by employees
Membership and dues fees
Interest
$
34,399.75
743.73
1,885.42
13,244.97
1,412.50
$
51,686.37
TREE MAINTENANCE FUND
Current tangible tax
Delinquent tax
Sales tax
$
3,770.07
179.36
467.01
$
4,416.44
Budget
$
2,500.00
600.00
11,000.00
50.00
153,180.00
$2,382,867.52
$
5,979.75
50.00
280.00
6,309.75
$
100,870.98
400.00
3,019.10
16,000.00
40.00
1,375.00
$
121,705.08
$
34,687.94
200.00
1,885.12
16,000.00
40.00
1,375.00
54,188.06
$
$
3,802.09
50.00
467.00
$
4,319.09
Schedule 4
(Cont'd.)
Actual
(Over) Under
Budget
$
1,500.00
255.00
(3,214.88)
4,427.08
50.00
1,960,00
(3 .178.06)
$ 12,231.50
$
49.1¡6
(60.69)
(.01)
(1l.24)
$
$
830.08
(806.11)
1,307.87
40.00
(37.50)
$
l,334.31¡
$
288.19
(543.73)
(.30)
2,755.03
40.00
(37.50)
$
2,501. 69
$
32.02
(129.36)
(.01)
$
(97.35)
7.
THE CITY OF SALINA
Saline County, Kansas
COMPARISON OF ACTUAL REVENUE WITH BUDGET ESTIMATES Schedule 4
January 1 to December 31, 1973 (Cont'd.)
Actual
(Over) Under
Actual Budget~ Budget
BOND AND INTEREST FUND
Current tangible tax $ 531,626.66 $ 536,0l¡4.36 $ 4,417.70
Delinquent tax 21,111. 25 7,000.00 (14,111. 25)
Current special assessments tax 383,431. 81 396,309.50 12,877.69
Delinquent special assessments tax 64,738.61 15,000.00 (49,738.61)
Interest from investments 22,700.76 12,000.00 (10,700.76)
Special assessments 13,123.45 3,500.00 (9,623.45)
Transfer from Parking Meter Fund 46,000.00 46,000.00
Transfer from Water and Sewage Fund 12,500.00 12,500.00
Transfer from Golf Course Fund 11,480.00 11,480.00
Accrued interest on bonds sold
$1,106,712.54 $1,039.833.86 $(66,878.68)
FLOOD WORKS AND LEVEE FUND
Current tangible tax $ 25,840.60 $ 26, 0l¡,0. 07 $ 199.47
Delinquent tax 456.46 200.00 (256. L.6)
Sales tax 1,118.80 1,118.80
Miscellaneous 323.00 200.00 (123.00)
$ 27,738.86 $ 27,558.87 $ (179.99)
SOCIAL SECURITY FUND
Current tangible tax $ 41,165.56 $ 41,510.41 $ 344.85
Delinquent tax 929.60 200.00 (729.60)
Sales tax 2,366.70 2,366.70
Contribution by employer and employees 119,267.36 104,000.00 (15,267.36)
$ 163,729.22 $ 148,077 .11 $(15,652.11)
EMPLOYEES' RETIREHENT FUND
Current tangible tax $ 44,344.80 $ 44,723.32 $ 378.52
Delinquent tax 705.07 150.00 (555.07)
Sales tax 1,746.53 1, 7l¡.6. 55 .02
Contribution by employees and employers 79,194.21 81,000.00 1,805.79
$ 125,990.61 $ 127,619.87 $ 1,629.26
SANITATION FUND
Service fees $ 243,000.00 $ 208,000.00 $ (35,000.00)
Interest from investments 1,669.29 1,300.00 (369.29)
Miscellaneous sales and services 52.70 (52.70)
$ 244,721. 99 $ 209,300.00 $ (35,421. 99)
8.
THE CITY OF SALINA
Saline County, Kansas
COMPARISON OF ACTUAL REVENUE WITH BUDGET ESTIMATES
January 1 to December 31,1973
Schedule 4
(Cont 'd. )
Actual
Budget~
Actual
(Over) Under
Budget
PARKING METER FUND
Parking meter revenue $ 71,747.00 $ 75,000.00 $ 3,253.00
Parking meter permits 13,300.00 8,500.00 (4,800.00)
Interest from investments 732.18 625.00 (107.18)
Reimbursement of expenditures
$ 85,779.18 $ 84,125.00 $ (1,654.18)
SPECIAL GASOLINE TAX FUND
Special gasoline tax $ 317,794.00 $ 288,000.00 $129,794.00)
GOLF COURSE FUND
Transfer from Golf Course
Construction Fund $ $ $
Green fees and memberships 42,372.72 48,000.00 5,627.28
Cart storage 241. 02 500.00 258.98
Concessions
Cart rental 4,652.03 6,000.00 1,347.97
Golf cart users fee 116.00 300.00 184.00
Golf club storage 7.73 100.00 92.27
Oil well lease 3,283.44 1,500.00 (1,783.4ll)
$ 50,672.94 $ 56,400.00 $ 5,727.06
WATER AND SElvAGE FUND
Water revenue $ 965,012.73 $ 760,000.00 $(205,012.73)
Sewage revenue 390,624.31 372,000.00 (18,624.31)
Miscellaneous income 2,086.08 12,000.00 9,913.92
Tapping service 6,810.33 10,000.00 3,189.67
Service charge - Sanitation Department 3,275.6/+ 3,100.00 (175.64)
Sanitation fees 246,664.04 208,000.00 (38,664.04)
Capital improvement from bond retirement
and extension and construction reserves 20,000.00 20,000.00
Proceeds from new capital improvement
bond issue 500,000.00 500,000.00
Interest from investments 28,890.00 (28,890.00)
Refunds and miscellaneous 27,901. 25 (27,901. 25)
Adjustments prior years encumbrances 35.71 (35.71)
$1,671,300.09 $1,885,100.00 $ 213,799.91
9.
THE CITY OF SALINA
Saline County, Kansas
COMPARISON OF ACTUAL REVENUE WITH BUDGET ESTIMATES
DETAIL LICENSES~ FEES AND PERMITS - GENERAL OPERATING FUND
January 1 to December 31, 1973
Schedule 5
TOTALS
Actual
(Over) Unàer
Actual Budget Budget
$ 9,400.00 $ 9,000.00 $ (400.00)
8,400.00 8,400.00
2,500.00 2,500.00
1,275.00 750.00 (525.00)
75.00 410.00 335.00
230.00 300.00 70.00
1,035.00 1,200.00 165.00
3,450.00 2,400.00 (1,050.00)
580.00 570.00 (10.00)
50.00 50.00
800.00 500.00 (300.00)
350.00 400.00 50.00
300.00 350.00 50.00
527.00 350.00 (17'7.00)
1,235.60 950.00 (285.60)
419.50 350.00 (69.50)
250.00 250.00
800.00 800.00
50.00 400.00 350.00
1,365.40 1,300.00 (65.40)
260.00 375.00 115.00
112.00 130.00 18.00
51. 00 100.00 49.00
75.00 150.00 75.00
1~612.00 1,500.00 (112.00)
45.00 100.00 55.00
1,152.00 1,200.00 48.00
32,528.47 30,000.00 (2,528.47)
294.40 600.00 305.60
1,612.50 1,300.00 (312.50)
43.00 40.00 (3.00)
100.00 200.00 100.00
4,915.00 3,000.00 (1,915.00)
250.00 500.00 250.00
15.00 15.00
280.00 75.00 (205.00)
66.00 (66.00)
$76,488.87 $70,515.00 $(5,973.87)
LICENSES, FEES AND PERMITS
Cereal malt beverage
Retail liquor licenses
Wholesale liquor licenses
Amusement device - Pinball, etc.
Entertainment licenses
Dances - Public
Music machine licenses .
Miniature pool table and shuffleboard
Pool hall and bowlL:lg alley
Skating rink licenses
Theater and opera house
Auctioneer and auction sales
Billboard advertising
Concrete construction
Electrician licenses
Gas fitters licenses
Tree trimming and spraying
Junk dealers, auto and parts
Pawnbrokers
Plumbers licenses
Taxicab licenses
Taxicab drivers licenses
Street advertising
Elevator contractor licenses
Mobile home court licenses
Vendor, peddler and itinerant
Refuse haulers licenses
Building and inspection fees
House moving permits
Food and milk permits
Bail bondsman licenses
Merchant police licenses
Dog licenses
Private club licenses
Truck and transfer license
Circus license
Mobile home craftsmen
10.
THE CITY OF SALINA
Saline County, Kansas
COMPARISON OF ACTUAL EXPENDITURES WITH BUDGET ESTIMATES
January 1 to December 31, 1973
Schedule 6
Actual
(Over) Under
Actual Budge.!~ Budget
$ 33,481. 87 $ 33,310.00 $ (171. 87)
32,285.26 28,755.00 (3,530.26)
102,209.14 89,975.00 (12,234.14)
24,402.38 20,335.00 (4,067.38)
18,918.19 18,600.00 (318.19)
40,682.61 41,530.00 847.39
87,781. 95 86,100.00 (1,681.95)
546,847.36 550,215.00 3,367.64
43,056.05 52,860.00 9,803.95
93,825.92 101,200.00 7,374.08
667,755.47 691,520.00 23,764.53
224,508.59 240,61.0.00 16,101. 41
44,177.26 44,130.00 (l.7. 26)
86,799.40 96,380.00 9,580.60
37,149.77 29, 8~.5. 00 (7,304.77)
16,657.27 18,910.00 2,252.73
48,115.91 55,2~.O.00 7,124.09
82,336.77 138,6~0.00 56,303.23
10,000.00 10,000.00
24,513.12 23,HO.00 (1,373.12)
24,350.60 25,955.00 1,604.40
15,020.28 9,625.00 (5,395.28)
41,735.00 41,735.00
20,268.28 20,000.00 (268.28)
$2,366,878.45 $2,468.610.00 $101,731. 55
GENERAL OPERATING FUND
City Commission
City Manager
City Clerk
City Attorney
Municipal Court
City Building
City Engineer
Fire Department
Inspection
Park
Police
Street
Waste Disposal
Street lighting
Traffic Control
Swimming Pools
Administration and Planning
Insurance and Contingencies
Band
Cemetery
General Improvement
Memorial Hall
Public Health
Industrial Development
NOXIOUS WEED FUND
Personal Services
Salaries - Regular employees $ 3,682.00 $ 4,000.00
Contractual Services
Repairs - Machinery and equipment 1,346.37 1,125.00
Repairs - Tires and tubes 17.00 100.00
Material and Supplies
Chemical, drugs, etc. 370.50 500.00
Motor vehicle - Fuel and lubricants 459.69 450.00
Machinery and equipment parts 100.00
Motor vehicle - Tires and tubes 190.00 75.00
$ 6,065.56 $ 6,350.00
$
318.00
(221. 37)
83.00
129.50
(9.69)
100.00
(115.00)
$
284.44
11.
THE CITY OF SALINA
Saline County, Kansas
COMPARISON OF ACTUAL EXPENDITURES WITH BUDGET ESTIMATES
January 1 to December 31, 1973
GOLF COURSE FUND (Cont'd.)
Electrical and lighting parts
Sand, gravel, rock and chat
Sundry Expenditures
Sales tax remitted
Organizational dues
Capital Outlay
Park equipment, mowers and miscellaneous
equipment
Payment to Bond and Interest Fund
FIREMEN'S PENSION FUND
Sundry Expenditures
Pensions paid
Refunds
Reserve
POLICEMEN'S PENSION FUND
Sundry Expenditures
Pensions paid
Refunds
Reserve
TREE MAINTENANCE FUND
Personal Services
Salaries - Regular employees
Salaries - Part-time employees
Contractual Services
Insurance - Equipment
Repair - Machinery and equipment
Materials and Supplies
Chemicals
Motor vehicle - Fuel and lubricants
Actual
$
83.57
1,470.95
2,475.75
11, l~80. 00
$
49,756.97
$
67,143.00
1,826.43
$
68,969.43
$
24,114.00
2,397.23
$
26,511. 23
$
4,752.00
2,112.00
42.00
394.36
41. 58
$
7 ,341. 94
Budget~
$
350.00
1,765.00
500.00
11,480.00
$
53,020.0~
$
81,415.00
2,000.00
25,000.00
$
108,415.00
$
26,750.00
2,000.00
25,000.00
$
53,750.00
$
5,000.00
3,000.00
25.00
500.00
100.00
100.00
$
8,725.00
Schedule 6
(Cont'd.)
Actual
(Over) Under
Budget
$
266.43
294.05
(1,975.75)
$
3,263.03
$ 14,272.00
173.57
25,000.00
$ 39,445.57
$ 2,636.00
(397.23)
25,000.00
$ 27,238.77
$
248.00
888.00
(17 . 00)
105.64
100.00
58.42
$
1,383.06
12.
THE CITY OF SALINA
Saline County, Kansas
COMPARISON OF ACTUAL EXPENDITURES WITH BUDGET ESTIMATES
January 1 to December 31, 1973
BOND AND INTEREST FUND
General Bond Principal
General Bond Interest
Curb, Gutter and Paving Bond
Principal
City share
Property owner shares
Interest
City share
Property owner shares
Sewer Bonds
Principal
City share
Property owner share
Interest
City share
Property o~~er share
Fiscal Agency commission and postage
Interest on bonds to be issued
Refunds
FLOOD WORKS AND LEVEE FUND
Personal Services
Salaries - Regular employees
Reserve for 1973 salary adjustment
(3% of Dec. 31, 1972 base)
Contractual Services
Insurance - Motor vehicles
Repair - Machinery and equipment
Repair - Tires and tubes
Other professional services
Other contractual services
Materials and Supplies
Expendable tools
Chemical, drugs, etc.
Motor vehicle - Fuel and lubricants
Motor vehicle - License tags
Other operating supplies
Cement and cement products
Motor vehicle - Tires and tubes
Paint and painting supplies
Schedule 6
(Cont'd.)
Actual
Actual
(Over) Under
Budget
Budget.
$ 225,000.00 $ 225,000.00 $
86,933.09 86,933.09
191,809.31 193,059.31 1,250.00
433,051.69 431,801.69 (1,250.00)
46,678.48 46,993.94 315.46
95,112.03 94,796.57 (315.46)
2,000.00 2,000.00
100.62 100.62
1,044.23 1,314.78 270.55
30,000.00 30,000.00
50.72 (50.72)
$1,081,780.17 $1,112,QOO.OO $ 30,219.83
$ 20,320.49 $ 20,230.00 $ (90.49)
600.00 600.00
364.00 340.00 (24.00)
1,356.26 1,900.00 543.74
97.21 150.00 52.79
90.90 100.00 9.10
135.83 200.00 64.17
6.75 20.00 13.25
279.90 300.00 20.10
919.22 800.00 (119.22)
8.00 10.00 2.00
36.69 100.00 63.31
8.65 125.00 116.35
39.34 100.00 60.66
43.10 50.00 6.90
13.
THE CITY OF SALINA
Saline County, Kansas
COMPARISON OF ACTUAL EXPENDITURES WITH BUDGET ESTIMATES
January 1 to December 31, 1973
EMPLOYEES' RETIREMENT FUND
Sundry Expenditures
Employees' retirement remitted to
state
Refunds
Reimbursed Expense
SANITATION FUND
Personal Services
Salaries - Regular employees
Salaries - Part-time employees
Reserve for 1973 salary adjustments
(3% of Dec. 31, 1972 base)
Contractual Services
Telephone and telegraph
Traveling expenses
Printing office forms
Insurance - Motor vehicles
Insurance - Social Security
Employees' retirement
Group insurance
Water service
Repair - Machinery and equipment
Repair - Tires and tubes
Radio maintenance
Laundry and towel service
Medical services
Billing and administration charges
Workman's Compensation
Disposal charges
Material and Supplies
Expendable tools
Office supplies
Books and periodicals
Motor vehicle - Fuel and lubricants
Motor vehicle - License tags
Other operating supplies
Lumber and lumber products
Motor vehicle - Tires and tubes
Paint and painting supplies
Schedule 6
(Cont'd.)
Actual
Actual
(Over) Under
Budget
Budget~
$ 118,433.17 $ 128,000.00 $ 9,566.83
10.06 (10.0ó)
$ 118,443.23 $ 128,000.00 $ 9,556.77
$ 151,188.42 $ 150,400.00 $ (788.42)
3,128.00 5,900.00 2,772.00
4,515.00 4,515.00
424.93 400.00 (24.93)
322.45 100.00 (222.45)
58.50 200.00 141. 50
1,015.00 900.00 (115.00)
8,786.65 8,800.00 13.35
8,159.07 9,620.00 1,460.93
4,045.89 3,600.00 (445.89)
200.46 200.00 (.46)
7,803.59 7,000.00 (803.59)
864.26 1,050.00 185.74
456.00 550.00 94.00
2,738.60 3,500.00 761. 40
150.35 100.00 (50.35)
6,551. 28 6,270.00 (281. 28)
4,001. 34 4,500.00 498.66
2,325.00 (2,325.00)
604.31 800.00 195.69
170.19 1510.00 (20.19)
55.70 75.00 19.30
8,424.16 6,500.00 (1,924.16)
470.00 500.00 30.00
198.56 300.00 101. 44
300.00 300.00
14.
THE CITY OF SALINA
Saline County, Kansas
COMPARISON OF ACTUAL EXPENDITURES WITH BUDGET ESTIMATES Schedule 6
January 1 to December 31, 1973 (Cont'd.)
Actual
(Over) Under
Actual Budget~ Budget
SANITATION FUND (Cont' d.)
Capital Outlay
Trucks $ 14,153.24 $ 16,000.00 $ 1,846.76
$ 226,295.95 $ 232,230.00 $ 5,934.05
PARKING METER FUND
Personal Services
Salaries - Regular employees $ 28,540.04 $ 32,485.00 $ 3,944.96
Reserve for 1973 salary adjustments 975.00 975.00
Contractual Services
Printing office forms 2,145.19 1,920.00 (225.19)
Insurance - Motor vehicles 83.00 85.00 2.00
Social Security 1,552.37 1,665.00 112.63
Employees' retirement 1,715.42 1,705.00 (10.42)
Group insurance 362.67 (362.67)
Repairs - Machinery and equipment 232.17 225.00 (7.17)
Repairs - Tires and tubes 40.62 10.00 (30.62)
Òther contractual services 14,248.35 12,765.00 (1,483.35)
Materials and Supplies
Expendable tools 25.00 25.00
License tag 12.50 15.00 2.50
Motor vehicle - Fuel and lubricants 259.61 225.00 (34.61)
Motor vehicle - Tires and tubes 100.00 100.00
Wearing apparel 825.57 850.00 24.43
Other operating supplies 108.40 125.00 16.60
Parking meter parts 95.74 300.00 204.26
Capital Outlay
Equipment 274.00 (274.00)
Landscape improvement 1,048.87 (1,048.87)
Traffic scooters
Parking meters
Bond and Interest Fund - Transfer -
Off street parking issue 46,000.00 46,000.00
$ 97,544.52 $ 99,475.00 $ 1,930.48
SPECIAL GASOLINE TAX FUND
Personal Services
Salaries - Regular employees $ 14,607.48 $ 14,170.00 $ (437.48)
Salaries - Part-time employees 1,998.00 3,000.00 1,002.00
Reserve for 1973 salary adjustments 425.00 425.00
15.
THE CITY OF SALINA
Saline County, Kansas
COMPARISON OF ACTUAL EXPENDITURES WITH BUDGET ESTIW~TES
January 1 to December 31, 1973
Actual
Schedule 6
(Cont'd.)
Budge1~
Actual
(Over) Under
Budget
SPECIAL GASOLINE TAX FUND (Cont'd.)
Contractual Services
Other contractual services $ 100,000.00 $ 100,000.00 $
Material and Supplies
Signs 4,041. 42 5,300.00 1,258.58
Asphalt and road gravel 6,513.05 4,000.00 (2,513.05)
Cement and cement products 9,224.26 8,000.00 (1,224.26)
Metal and metal products 725.00 725.00
Paint and painting materials 4,377.78 4,200.00 (177.78)
Sand, gravel, rock and chat 3,654.50 2,000.00 (1,654.50)
Sundry Expenditures
Transfer to General Operating Fund 151,220.00 153, HiO. 00 1,960.00
Transfer to Special Reserve Fund
Capital Outlay
Traffic control equipment 8,206.51 9,000.00 793.49
$ 303,843.00 $ 304,000.00 $ 157.00
GOLF COURSE FUND
Personal Services
Salaries - Regular employees
Salaries - Part-time employees
Reserve for 1973 salary adjustments
Contractual Services
Telephone and telegraph
Travel expenses
Printing office forms
Insurance - Motor vehicles
Gas service
Light and power service
Water service
Repair - Machinery and equipment
Repair - Tires and tubes
Laundry and towel service
Other contractual services
Materials and Supplies
Expendable tools
Books and periodicals
Chemical, drugs, etc.
Motor vehicles - Fuel and lubricants
Motor vehicles - Tires and tubes
Seeds, plants, trees and lawn supplies
Other operating supplies
$
16,805.39
236.09
133.77
495.99
323.00
541. 85
1,417.01
7,223.38
1,950.64
21. 50
11. 63
1,265.26
146.41
956.36
87.42
1,650.74
980.26
$
22,250.00 $ 5,444.61
4,000.00 4,000.00
605.00 605.00
220.00 (16.09)
30.00 (103.77)
450.00 (45.99)
325.00 2.00
800.00 258.15
1,000.00 (417.01)
4,000.00 (3,223.38)
1,000.00 (950.64)
50.00 28.50
20.00 8.37
1,000.00 (265.26)
75.00 (71. 41)
1,000.00 43.64
100.00 12.58
1,500.00 (150.74)
500.00 (480.26)
16.
THE CITY OF SALINA
Saline County, Kansas
COMPARISON OF ACTUAL EXPENDITURES WITH BUDGET ESTIMATES
January 1 to December 31, 1973
Schedule 6
(Cont 'd.)
Ac tual
Actual
(Over) Under
Budget
Budget~
FLOOD WORKS AND LEVEE FUND (Cont' d.)
Sand, gravel, rock and chat $ 96.60 $ 100.00 $ 3.40
Capital Outlay
Truck 2,341. 76 2,500.00 158.24
$ 26,144.70 $ 27,625.00 $ 1,480.30
SOCIAL SECURITY FUND
Sundry Expenditures
Deductions remitted $ 160,206.50 $ 157,000.00 $ (3,206.50)
Refunds
Reimbursed Expense
WATER AND SEWAGE FUND
Water supply expenses
Softening and treatment expenses
Pumping expenses
Distribution expense
Customer accounting and collections
Administrative and general expenses
Sewage treatment expenses
Cash remitted to Sanitation Fund
Capital improvements
Bond and Interest payments
Refunds and miscellaneous
Authorized Budget Credit
Refunds
Meter deposits
Sales tax
$ 160,206.50 $ 157,000.0q, $ 0,206.50)
$ 10,220.67 $ 13,350.00 $ 3,129.33
204,009.68 222,005.00 17,995.32
52,493.63 60,625.00 8,131.37
103,615.66 109,635.00 6,019.34
128,068.96 127,980.00 (88.96)
161,242.28 164,940.00 3,697.72
196,502.41 192,415.00 (4,087.41)
243,000.00 208,000.00 (35,000.00)
85,545.42 520,000.00 434,454.58
209,702.65 209,435.00 (267.65)
49,310.68 12,765.00 (36 ,545 .68)
1,443,712.04 1,841,150.00 397,437.96
2,91.5.56 2,915.56
14,50.5.00 14,505.00
24,877.47 24,877.47
$1,443,712.04 $1,883.448.03 $439,735.99
17.
THE CITY OF SALINA
Saline County, Kansas
DETAIL OF GENERAL OPERATING FUND EXPENDITURES,
BY DEPARTMENT, COMPARED WITH BUDGET ESTIMATES
January 1 to December 31, 1973
Schedule 7
Actual
Budget
Actual
(Over) Under
Budget
CITY COMMISSION
Personal Services
Salaries
Contractual Services
Traveling expenses
Contributions
Legal advertising
Insurance surety bonds
Other contractual services
Revision of ordinances
Postage
Sundry Expenditures
Organizational dues
$ 500.00 $ 500.00 $
3,598.55 3,200.00 (398.55)
15,720.00 15,720.00
4,137.21 4,500.00 362.79
315.00 375.00 60.00
3,793.93 4,000.00 206.07
1,768.44 2,000.00 231. 56
194.22 280.00 85.78
3,454.52 -bl'35. 00 (719.52)
$ 33,481. 87 $ 33,310.00 $ (171.87)
CITY MANAGER
Personal Services
Salaries - Department head
Salaries - Regular employees
Contractual Services
Telephone and telegraph
Traveling expenses
Postage
Insurance - Motor vehicle
Insurance - Surety bonds
Repair - Furniture and office equipment
Repair - Motor vehicle
Repair - Motor vehicles - Tires
Materials and Supplies
Office supplies
Books and periodicals
Motor vehicle - Fuel and lubricants
Motor vehicle - Tires
Sundry Expenditures
Organizational dues
21,968.55 19,1t55.00 (2,513.55)
6,333.50 6,0115.00 (318.50)
914.49 900.00 (14.49)
1,044.79 900.00 (144.79)
48.26 130.00 81. 74
94.00 '90.00 (4.00)
36.00 20.00 (16.00)
87.04 60.00 (27.04)
475.11 200.00 (275.11)
2.00 20.00 18.00
222.02 300.00 77 . 98
646.39 225.00 (421. 39)
210.86 175.00 (35.86)
60.00 60.00
202.25 205.00 2.75
$ 32,285.26 $ 28,755.00 $(3,530.26)
18.
THE CITY OF SALINA
Saline County, Kansas
DETAIL OF GENERAL OPERATING FUND EXPENDITURES,
BY DEPARTMENT, COHPARED WITH BUDGET ESTIMÞ..TES
January 1 to December 31, 1973
CITY CLERK
Personal Services
Salaries - Department heads
Salaries - Regular employees
Contractual Services
Telephone and telegraph
Traveling expense
Postage
Printing office forms
Insurance - Surety bonds
Repair - Furniture and office equipment
Rent - Hachinery and equipment
Auditing and accounting services
Election expenses
Other professional services
Materials and Supplies
Office supplies
Books and periodicals
Sundry Expenditures
Organizational dues
Refunds
Capital Outlay
Office mechanical equipment
Furniture and fixtures
CITY ATTORNEY
Personal Services
Salaries - Department head
Salaries - Regular employees
Contractual Services
Travel expenses
Legal services
Materials and Supplies
Books and periodicals
Sundry Expenditures
Organizational dues
Schedule 7
(Cont'd.)
Actual
Actual
(Over) Under
Budget
Bud!1~
$ 26,294.09 $ 25,090.00 $ (1,204.09)
35,965.15 33,075.00 (2,890.15)
1,333.90 1,100.00 (233.90)
609.01 350.00 (259.01)
780.91 700.00 (80.91)
922.03 1,300.00 377.97
208.25 200.00 (8.25)
830.08 800.00 (30.08)
18,909.74 16,500.00 (2,409.74)
2,600.00 2,600.00
6,235.74 4,900.00 (1,335.74)
1,641. 95 500.00 (1,141. 95)
3,095.07 2,000.00 (1,095.07)
249.12 150.00 (99.12)
325.00 235.00 (90.00)
220.50 300.00 79.50
1,471.00 (1,471. 00)
517.60 175.00 (342.60)
---
$102,209.14 $ 89,9~5.00 $(12,234.14)
$ 9,121. 00 $ 8,725.00 $ (396.00)
7,284.73 6,960.00 (324.73)
7,589.90 4,500.00 (3,089.90)
406.75 150.00 (256.75)
$ 24,402.38
$ 20,335.00
$ (4,067.38)
19.
THE CITY OF SALINA
Saline County, Kansas
DETAIL OF GENERAL OPERATING FUND EXPEND ITURES ,
BY DEPARTMENT, COMPARED WITH BUDGET ESTIMATES
January 1 to December 31, 1973
Actual
Budget
MUNICIPAL COURT
Personal Services
Salaries - Department head
Salaries - Regular employees
Contractual Services
Telephone and telegraph
Traveling expenses
Printing office forms
Insurance - Motor vehicle
Insurance - Surety bonds
Repair - Motor vehicle
Repair - Motor vehicle - Tires
Other professional services
Materials and Supplies
Office supplies
Motor vehicle - Fuel and lubricants
Other operating supplies
Motor vehicle - Tires
Sundry Expenditures
Refunds
$ 5,017.50 $ 5,965.00
10,194.00 9,685.00
561.55 550.00
214.10 350.00
86.00 85.00
10.00 10.00
528.64 300.00
20.00
1,841. 40 1,000.00
200.68 125.00
217.62 250.00
42.70 50.00
60.00
4.00 1.50.00
$ 18,918.19 $ 18,600.00
CITY BUILDINGS
Personal Services
Salaries - Regular employees
Contractual Services
Insurance - Fire
Gas service
Light and power service
Water service
Repair - Buildings
T.aundry and towel service
Other professional services
Other contractual services
Materials and Supplies
Expendable tools
Janitor and toilet supplies
Electrical and lighting parts
Lumber and lumber products
Paint and painting materials
Capital Outlay
Furniture and fixtures
Equipment
Schedule 7
(Cont' d. )
Actual
(Over) Under
Budget
$
947.50
(509.00)
(11. 55)
135.90
(1. 00)
(228.64)
20.00
(841. 40)
(75.68)
32.38
7.30
60.00
146.00
$
(318.19)
$ 10,393.16 $ 10,680.00 $ 286.84
5,905.97 6,000.00 94.03
509.37 600.00 90.63
2,559.71 1,800.00 (759.71)
203.22 160.00 (43.22)
2,009.32 800.00 (1,209.32)
33.65 15.00 (18.65)
97.80 200.00 102.20
16,163.75 18,400.00 2,236.25
5.98 25.00 19.02
1,315.47 1,800.00 484.53
267.82 400.00 132.18
109.95 200.00 90.05
202.09 150.00 (52.09)
905.35 300.00 (605.35)
$ 40,682.61 $ 41,530.00 $ 847.39
20.
THE CITY OF SALINA
Saline County, Kansas
DETAIL OF GENERAL OPERATING FUND EXPENDITURES,
BY DEPARTMENT, COMPARED WITH BUDGET ESTIMATES
January 1 to December 31, 1973
ENGINEERING
Personal Services
Salaries - Department heads
Salaries - Regular employees
Contractual Services
Telephone and telegraph
Traveling expenses
Postage
Blueprints
Printing office forms
Insurance - Motor vehicles
Insurance - Surety bonds
Repair - Furniture and office equipment
Repair - Machinery and equipment
Repair - Tires
Repair - Radio equipment
Other professional services
Materials and Supplies
Office supplies
Books and periodicals
Drafting and engineering supplies
Motor vehicles - Fuel and lubricants
Motor vehicles - License tags
Lumber and lumber products
Motor vehicles - Tires
Sundry Expenditures
Organizational dues
Capital Outlay
Engineering equipment
Furniture and office equipment
Automobiles and truck
FIRE DEPARTMENT
Personal Services
Salaries - Department heads
Salaries - Regular employees
Contractual Services
Telephone and telegraph
Traveling expenses
Postage
Printing office forms
Insurance - Motor vehicles
Schedule 7
(Cont 'd. )
Actual
Actual
(Over) Under
Budget
Budg~
$ 13,686.50 $ 13,105.00 $ (581. 50)
64,684.50 63,7'30.00 (954.50)
796.98 750.00 (46.98)
666.52 750.00 83.48
65.16 75.00 9.84
85.00 2.00.00 115.00
300.00 2.90.00 (10.00)
303.65 300.00 (3.65)
1,280.06 800.00 (480.06)
54.72 50.00 (4.72)
204.00 200.00 (4.00)
50.00 50.00
209.86 200.00 (9.86)
104.72 50.00 (54.72)
696.91 900.00 203.09
932.23 775.00 (157.23)
11. 00 10.00 (1. 00)
43.41 75.00 31.59
127.35 150.00 22.65
269.00 240.00 (29.00)
90.00 100.00 10.00
100.00 100.00
3,170.38 3,200.00 29.62
$ 87,781. 95 $ 86,100.00 $ (1,681.95)
$ 10,843.50 $ 11,895.00 $ 1,051. 50
497,081. 87 506,700.00 9,618.13
3,125.64 2,980.00 (145.64)
381. 40 500.00 118.60
76.65 95.00 18.35
49.00 150.00 101.00
1,721. 00 1,680.00 (41. 00)
21.
THE CITY OF SALINA
Saline County, Kansas
DETAIL OF GENERAL OPERATING FUND EXPENDITURES,
BY DEPARTMENT, COMPARED WITH BUDGET ESTIHATES
January 1 to December 31, 1973
FIRE DEPARTMENT (Cont'd.)
Contractual Services (Cont'd.)
Gas service
Light and power service
Water service
Repair - Buildings
Repair - Furniture and office equipment
Repair - Machinery and equipment
Repair - Motor vehicles
Repair - Tires and tubes
Repair - Radio equipment
Other professional services
Materials and Supplies
Expendable tools
Office supplies
Books and periodicals
Janitor and toilet supplies
Motor vehicles - Fuel and lubricants
Seeds, plants, trees and lawn supplies
Wearing apparel
Other operating supplies
Electrical and lighting parts
Lumber and lumber parts
Machinery and equipment parts
Metal and metal products
Motor vehicles - Parts
Motor vehicles - Tires and tubes
Paint and painting supplies
Photograph supplies
'We1ding supplies
Other repairs and maintenance
Sundry Expenditures
Organizational dues
Capital Outlay
Equipment
Automobiles
Fire fighting equipment
Furniture and fixtures
Personnel protective equipment
Office mechanical equipment
Radio equipment
Schedule 7
(Cont' d.)
Actual
Actual
(Over) Under
Budget
Budget
$ 1,473.86 $ 3,000.00 $ 1,526.14
2,305.25 2,200.00 (105.25)
787.11 750.00 (37.11)
165.55 250.00 84.45
120.55 135.00 14.45
210.52 200.00 (10.52)
189.50 150.00 (39.50)
26.69 50.00 23.31
2,408.06 2,235.00 (173.06)
7,002.34 500.00 (6,502.34)
618.35 400.00 (218.35)
199.84 350.00 150.16
338.31 380.00 41. 69
1,244.34 900.00 (34If. 34)
2,294.91 1,400.00 (894.91)
61. 48 50.00 (11. 48)
3,885.07 6,000.00 2,114.93
677.81 900.00 222 H9
358.75 350.00 (8.75)
55.71 150.00 94.29
840.51 475.00 (365.51)
114.95 100.00 (14.95)
1,043.31 700.00 (343.31)
564.31 640.00 75.69
193.16 100.00 (93.16)
121.17 150.00 28.83
92.42 50.00 (42.42)
275.23 300.00 24.77
107.50 100.00 (7.50)
615.01 150.00 (465.01)
3,151. 50 1,000.00 (2,151. 50)
611.10 650.00 38.90
914.18 900.00 (14.18)
499.95 550.00 50.05
$546,847.36 $550,215.00 $ 3,367.64
22.
THE CITY OF SALINA
Saline County, Kansas
DETAIL OF GENERAL OPERATING FUND EXPENDITURES,
BY DEPARTMENT, COMPARED WITH BUDGET ESTIMATES
January 1 to December 31, 1973
Schedule 7
(Cont'd.)
Actual
Budget
Actual
(Over) Under
Budget
INSPECTION
Personal Services
Salaries - Department heads $ 9,332.00 $ 8,890.00 $ (442.00)
Salaries - Regular employees 28,069.37 38,480.00 10,410.63
Contractual Services
Telephone and telegraph 1,024.32 1,100.00 75.68
Traveling expense 82.72 200.00 117.28
Postage 191. 40 350.00 158.60
Printing office forms 300.68 300.00 (. 68)
Insurance - Motor vehicles 455.00 425.00 (30.00)
Insurance - Surety bonds
Repair - Machinery and equipment 1,157.70 900.00 (257.70)
Repair - Tires 6.58 20.00 13 . 42
Repair - Radio equipment 270.00 270.00
Materials and Supplies
Office supplies 130.40 450.00 319.60
Books and periodicals 545.60 100.00 (445.60)
Motor vehicles - Gas and oil 896.171 800.00 (96.17)
Motor vehicles - License tags 10.00 10.00
Other operating supplies 14.90 75.00 60.10
Motor vehicles - Tires 124.77 160.00 35.23
Photograph supplies 234.44 150.00 (84.44)
Sundry Expenditures
Organizational dues 210.00 lBO.OO (30.00)
Capital Outlay
Equipment
Furniture, fixtures and office equipment
Radio equipment
$ 43,056.05 $ 52,860.00 $ 9,803.95
PARK
Personal Services
Salaries - Department heads
Salaries - Regular employees
Salaries - Part-time employees
Contractual Services
Telephone and telegraph
Traveling expenses
Insurance - Buildings (grandstand and
boats)
Insurance Motor vehicles
Gas service
Light and power service
$ 10,393.50 $ 10,2,85.00 $ (108.50)
47,233.34 53,810.00 6,576.66
11,906.20 17,360.00 5,453.80
656.73 525.00 (131. 73)
27.53 1100.00 72.47
323.00 3.20.00 (3.00)
387 . 00 3.50.00 (37.00)
1,173.27 1,1100.00 (73.27)
1,118.05 1,0100.00 (118.05)
23.
THE CITY OF SALINA
Saline County, Kansas
DETAIL OF GENERAL OPERATING FUND EXPENDITURES,
BY DEPARTMENT, COMPARED WITH BUDGET ESTIMATES
January 1 to December 31,1973
Schedule 7
(Cont'd.)
Actual
Budget
Actual
(Over) Under
Budget
PARK (Cont'd.)
Contractual Services (Cont'd.)
Water service $ 2,457.25 $ 2,000.00 $ (457.25)
Repair - Buildings 182.36 400.00 217.64
Repair - Machinery and equipment 3,857.64 3,500.00 (357.64)
Repair - Tires and tubes 165.36 200.00 34.64
Repair - Radio equipment 183.00 175.00 (8.00)
Disposal charges 35.00 (35.00)
Other contractual services 933.56 300.00 (633.56)
Materials and Supplies
Expendable tools 434.44 300.00 (134.44)
Office supplies 25.44 25.00 (.44)
Books and periodicals 15.60 15.00 (.60)
Chemicals, drugs, etc. 523.13 520.00 (3.13).
Motor vehicles - Fuel and lubricants 1,547.86 1,300.00 (247.86)
Motor vehicles - License tags 14.00 15.00 1.00
Recreational supplies 216.89 400.00 183.11
Memorial Park Stadium 966.12 500.00 (466.12)
Seeds, plants, trees and lawn supplies 2,103.90 1,200.00 (903.90)
Other operating supplies 785.99 500.00 (285.99)
Cement and cement products 125.25 200.00 74.75
Electrical and lighting parts 293.90 200.00 (93.90)
Lumber and lumber products 368.76 400.00 31. 24
Motor vehicles - Tires and tubes 26.72 100.00 73.28
Paint and painting materials 318.97 300.00 (18.97)
Sand, gravel, rock and chat 71. 89 100.00 28.11
Sundry Expenditures
Sales tax remitted 30.00 30.00
Organizational dues 145.00 45.00 (100.00)
Capital Outlay
Buildings
Park equipment - Mowers, etc. 4,809.27 3,625.00 (1,184.27)
Landscape improvements
Tennis and horse shoe court improvements
Trucks
$ 93,825.92 $101,200.00 $ 7,374.08
POLICE
Personal Services
Salaries - Department head $ 12,881.47 $ 12,445.00 $ (436.47)
Salaries - Regular employees 514,949.93 543,410.00 28,460.07
Salaries - Part-time employees 15,029.30 19,720.00 4,690.70
24.
THE CITY OF SALINA
Saline County, Kansas
DETAIL OF GENERAL OPERATING FU1~ EXPENDITURES,
BY DEP.\RTMENT, COMPARED WITH BUDGET ESTIMATES
January 1 to December 31, 1973
Schedule 7
(Cont'd. )
Actual
Budget
Actual
(Over) Under
Budget
POLICE (Cont'd.)
Contractual Services
Telephone and telegraph $ 7,431. 00 $ 6,500.00 $ (931. 00)
Traveling expenses 603.79 1,500.00 896.21
Postage 1,218.98 1,200.00 (18.98)
Feeding prisoners 5,931. 95 8,000.00 2,068.05
Printing office forms 1,713.23 1,500.00 (213.23)
Insurance - Motor vehicles 1,768.00 1,700.00 (68.00)
Insurance - Surety bonds 137.25 100.00 (37.25)
Gas service 2,180.68 3,000.00 819.32
Light service 2,088.08 2,300.00 211. 92
Water service 295.83 280.00 (15.83)
Animal shelter utilities 841.34 (841.34)
Repair - Buildings 2,586.24 600.00 (1,986.24)
Repair - Furniture and office equipment 1,415.82 1,400.00 (15.82)
Repair - Machinery and equipment 18,956.59 18,500.00 (456.59)
Repair - Motor vehicles - Tires 200.90 200.00 (.90)
Repair - Radio maintenance 3,333.50 3,500.00 166.50
Rent - Machinery and equipment 2,348.23 2,500.00 151. 77
Laundry and towel service 774.83 750.00 (24.83)
Medical services 1,419.91 1,100.00 (319.91)
Other professional services 1,404.90 500.00 (904.90)
Disposal charges 75.00 (75. 00)
Other contractual services 4,488.39 3,400.00 (1,088.39)
Materials and Supplies
Expendable tools 605.55 500.00 (105.55)
Office supplies 1,643.94 1,600.00 (43.94)
Books and periodicals 550.64 450.00 (100.64)
Food for animals 450.86 400.00 (50.86)
Motor vehicles - Fuel and lubricants 22,298.35 18,000.00 (4,298.35)
Motor vehicles - License tags 56.00 50.00 (6.00)
Wearing apparel 8,857.14 8,750.00 (107.14)
Other operating supplies 489.59 400.00 (89.59)
Electrical and lighting parts 72.75 75.00 2.25
Lumber and lumber products 195.54 200.00 4.46
Motor vehicles - Tires 3,953.69 3,0100.00 (953.69)
Paint and painting supplies 286.33 500.00 213.67
Photography supplies 897.26 800.00 (97.26)
Training and training supplies 2,539.82 3,000.00 460.18
Sundry Expenditures
Organizational dues 425.00 390.00 (35.00)
25.
THE CITY OF SALINA
Saline County, Kansas
DETAIL OF GENERAL OPERATING FUND EXPENDITURES,
BY DEPARTMENT, COMPARED WITH BUDGET ESTIMATES
January 1 to December 31,1973
Schedule 7
(Cont'd. )
Actual
Budget
Actual
(Over) Under
Budget
POLICE (Cont'd.)
Capital Outlay
Equipment
Automobiles and motorcycles
Furniture and fixtures
Officers service equipment
Office mechanical equipment
$ 1,439.10 $ 1,850.00 $ 410.90
16,138.95 15,000.00 (1,138.95)
352.50 150.00 (202.50)
1,989.17 2,000.00 10.83
438.15 300.00 (138.15)
$667,755.47 $691,520.00 $ 23,764.53
STREET
Personal Services
Salaries - Director of Services
Salaries - Regular employees
Contractual Services
Telephone and telegraph
Traveling expenses
Insurance - Motor vehicles
Gas - Service
Light and power service
Water service
Repair - Machinery and equipment
Repair - Tires and tubes
Repair - Radio maintenance
Laundry and towel service
Other professional services
Materials and Supplies
Expendable tools
Office supplies
Chemicals, drugs, etc.
Fuel and lubricants (except motor)
Motor vehicles - Fuel and lubricants
Motor vehicles - License tags
Other operating supplies
Asphalt and road oil
Cement and cement products
Lumber and lumber products
Machinery and equipment parts
Metal and metal products
Motor vehicles - Tires and tubes
Sand, gravel, rock, salt and chat
Sweeper parts
$ 13,243.25 $ 12,495.00 $ (748.25)
156,268.65 179,860.00 23,591. 35
329.60 350.00 20.40
4.33 100.00 95.67
. 2,388.00 2,185.00 (203.00)
960.84 1,100.00 139.16
597.77 250.00 (347.77)
75.99 1:00.00 24.01
30,325.54 25,000.00 (5,325.54)
1,487.76 1,400.00 (87.76)
648.00 700.00 52.00
36.22 20.00 (16.22)
55.50 50.00 (5.50)
658.72 400.00 (258.72)
17.90 35.00 17.10
760.00 760.00
466.80 600.00 133.20
10,879.68 9,000.00 (1,879.68)
28.00 30.00 2.00
535.66 300.00 (235.66)
151. 94 150.00 (1. 94)
933.61 900.00 (33.61)
300.00 300.00
71. 87 560.00 488.13
1,640.46 1,250.00 (390.46)
2,687.50 2,700.00 12.50
26.
THE CITY OF SALINA
Saline County, Kansas
DETAIL OF GENERAL OPERATING FUND EXPENDITURES,
BY DEPARTMENT, COHPARED WITH BUDGET ESTIMATES
January 1 to December 31, 1973
Schedule 7
(Cont' d. )
Actual
Bud~~
Actual
(Over) Under
B~dget
STREET (Cont'd.)
Sundry Expenditures
Organizational dues
Capital Outlay
Street equipment
Trucks
$
15.00
$
15.00
$
$224,508.59
$~ilO. 00
$ 16 ,101. 41
WASTE DISPOSAL
Personal Services
Salaries - Regular employees
Telephone and telegraph
Contractual Services
Insurance - Equipment
Light and power service (see note)
Repair - Equipment
Repair - Tires and tubes
Materials and Supplies
Expendable tools
Motor vehicles - Fuel and lubricants
Other operating supplies
Motor vehicles - Tires and tubes
Sand, rock, gravel, salt and chat
$ 30,693.95 $ 26,690.00 $ (4,003.95)
150.14 100.00 (50.14)
325.00 335.00 10.00
71. 04 (71. 04)
8,200.51 14,355.00 6,154.49
924.20 100.00 (824.20)
49.77 50.00 .23
2,407.80 1,800.00 (607.80)
1,034.53 LfOO.OO (634.53)
283.90 100.00 (183.90)
36.42 200.00 163.58
$ 44,177.26 $ 44,130.00 $ (47.26)
STREET LIGHTING
Contractual Services
Light and power services
$ 86,799.40
$~180.00
$
9,580.60
TRAFFIC CONTROL
Personal Services
Salaries - Regular employees
Contractual Services
Telephone and telegraph
Traveling expenses
Insurance - Motor vehicles
Light and power service
Repair - Machinery and equipment
Repair - Tires
Repair - Radio maintenance
Repair - Traffic lights, bulbs, etc.
Other professional services
$ 21,287.56 $ 20,000.00 $ (1,287.56)
284.50 200.00 (84.50)
343.92 100.00 (243.92)
226.00 215.00 (11. 00)
2,612.65 2,600.00 (12.65)
1,511.54 800.00 (711. 54 )
57.50 50.00 (7.50)
108.00 110.00 2.00
2,523.73 800.00 (1,723.73)
2,663.69 2,500.00 (163.69)
27.
THE CITY OF SALINA
Saline County, Kansas
. DETAIL OF GENERAL OPERATING FUND EXPENDITURES,
BY DEPARTMENT, COMPARED WITH BUDGET ESTIMATES
January 1 to December 31, 1973
Schedule 7
(Cont' d.)
Actual
Budget
Actual
(Over) Under
Budget
TRAFFIC CONTROL (Cont'd.)
Materials and Supplies
Expendable tools
Motor vehicles - Fuel and lubricants
Motor vehicles - License tags
Cement and cement products
Electrical traffic light parts
Lumber and lumber products
Motor vehicles - Tires and tubes
Other repairs and maintenance
Capital Outlay
Traffic control equipment
$ 289.08 $ 100.00 $ (189.08)
681.08 525.00 (156.08)
4.00 5.00 1.00
336.26 (336.26)
2,534.50 1,2:00.00 (1,334.50)
26.25 35.00 8.75
52.93 50.00 (2.93)
36.32 75.00 38.68
1,570.26 480.00 (1,090.26)
$ 37,149.77 $ 29,8!+5.00 $ (7,304.77)
SWIMMING POOLS
Personal Services
Salaries - Regular employees
Contractual Services
Telephone and telegraph
Gas service
Light and power service
Water service
Repair - Buildings
Repair - Machinery and equipment
Other professional services
Materials and Supplies
Expendable tools
Office supplies
Chemicals, drugs, etc.
Janitor and toilet supplies
Cement and cement products
Electrical and lighting parts
Lumber and lumber products
Machinery and equipment parts
Paint and painting materials
Sundry Expenditures
Sales tax remitted
Capital Outlay
Equipment
$ 11,579.23 $ 12,690.00 $ 1,110.77
142.55 50.00 (92.55)
18.68 30.00 11. 32
461. 60 500.00 38.40
1,187.98 1,900.00 712.02
936.50 (936.50)
30.65 100.00 69.35
469.40 500.00 30.60
90.09 100.00 9.91
127.50 100.00 (27.50)
408.69 300.00 (108.69)
135.03 200.00 64.97
260.54 1,5100.00 1,239.46
233.62 .20.00 (213.62)
19.63 50.00 30.37
135.55 400.00 264.45
60.00 50.00 (10.00)
360.03 420.00 59.97
$ 16,657.27
$ 18,910.00
$
2,252.73
28.
THE CITY OF SALINA
Saline County, Kansas
DETAIL OF GENERAL OPERATING FUND EXPENDITURES,
BY DEPARTMENT, COMPARED WITH BUDGET ESTIHATES
January 1 to December 31, 1973
Schedule 7
(Cont'd.)
Actual
Bud~~
Actual
(Over) Under
Budget
ADMINISTRATION AND PLANNING
Personal Services
Salaries - Department heads $ 23,045.50 $ 25,260.00 $ 2,214.50
Salaries - Regular employees 16,785.28 26,170.00 9,384.72
Salaries - Part-time employees 578.00 1,200.00 622.00
Contractual Services
Telephone and telegraph 581. 83 ~f50. 00 (131. 83)
Traveling expenses 360.00 150.00 (210.00)
Postage 184.07 ~~OO . 00 15.93
Insurance - Motor vehicles 83.00 80.00 (3.00)
Repair - Furniture and office equipment 90.50 150.00 59.50
Repair - Machinery and equipment 713.03 250.00 (463.03)
Repair - Tires 2.00 10.00 8.00
Other professional services 4,454.08 100.00 (4,354.08)
Materials and Supplies
Office supplies 386.15 350.00 (36.15)
Books and periodicals 362.51 270.00 (92.51)
Motor vehicle - Fuel and lubricants 149.09 200.00 50.91
Other operating supplies 179.15 170.00 (9.15)
Motor vehicle - Tires 46.72 50.00 3.28
Sundry Expenditures
Organizational dues 115.00 180.00 65.00
$ 48,115.91 $ 55,240.00 $ 7,124.09
INSURANCE AND CONTINGENCIES
Contractual Services
Group insurance $ 33,919.36 $ 32, ~.OO .00 $ (1,519.36)
Medical services 432.35 950.00 517.65
Workmen's Compensation 11,287.66 12,500.00 1,212.34
Sundry Expenditures
Contingencies 36,697.40 30,000.00 (6,697.40)
Demolition 9,000.00 9,000.00
Reserve for 1973 salary adjustments .2lz]90.00 53,790.00
$ 82,336.77 $138,640.00 $ 56,303.23
BAND
Contractual Services
Appropriations
$ 10,000.00
$ 10,000.00
$
CEMETERY
Personal Services
Salaries - Regular employees
$ 19,594.94
$ 18,895.00
$
(699.94)
29.
THE CITY OF SALINA
Saline County, Kansas
DETAIL OF GENERAL OPERATING FUND EXPENDITURES,
BY DEPARTMENT, COMPARED WITH BUDGET ESTIMATES
January 1 to December 31, 1973
Actual
CEMETERY (Cont'd.)
Contractual Services
Telephone and telegraph
Traveling expenses
Insurance - Motor vehicles
Gas service
Light and power service
Water service
Repair - Buildings
Repair - Machinery and equipment
Repair - Motor vehicles - Tires
Other professional services
Disposal charges
Materials and Supplies
Expendable tools
Office supplies
Motor vehicles - Fuel and lubricants
Seeds, plants and. trees
Other operating supplies
Cement and cement products
Lumber and lumber products
Motor vehicles - Tires
Paint and painting supplies
Sand, gravel, rock and chat
Sundry Expenditures
Organizational dues
Capital Outlay
Land
Machinery and equipment
$ 200.67
64.67
97.00
433.34
7.00
78.00
1,162.84
805.91
10.50
94.96
25.00
10.13
13.64
404.38
234.59
64.16
20.40
35.00
17 . 94
64.10
35.00
390.00
648.95
$ 24,513.12
GENERAL IMPROVEMENT
Personal Services
Salaries - Regular employees
Salaries - Part-time employees
Contractual Services
Insurance - Motor vehicle
Repair - Machinery and equipment
Repair - Motor vehicle - Tires
Materials and Supplies
Expendable tools
Motor vehicle - Fuel and lubricants
Motor vehicle - License tag
Budget
$
230.00
100.00
90.00
~fOO. 00
25.00
110.00
200.00
1,300.00
100.00
150.00
Schedule 7
(Cont 'd. )
Actual
(Over) Under
Budget
$
29.33
35.33
(7.00)
(33.34)
18.00
32.00
(962.84)
494.09
89.50
55.04
(25.00)
30.00
50.00
q,OO. 00
125.00
2:50.00
25.00
50.00
25.00
25.00
50.00
60.00
200.00
250.00
$ 23,140.00
19.87
36.36
(4.38)
125.00
15.41
(39.16)
29.60
(10.00)
7.06
(14.10)
25.00
(190.00)
(398.95)
$ (1,373.12)
$ 22,531.67 $ 20,140.00 $ (2,391.67)
891. 91 5,000.00 4,108.09
78.00 70.00 (8.00)
469.18 300.00 (169.18)
4.00 65.00 61.00
87.58 150.00 62.42
272.26 200.00 (72.26)
4.00 5.00 1. 00
30
THE CITY OF SALINA
Saline County, Kansas
DETAIL OF GENERAL OPERATING FU~~ EXPENDITUR~~-
BY DEPARTHENT, CONPþ.RED WITH BUDGET ESTHiATES
January 1 to December 31, 1973
Schedule 7
(Cont'd.)
Actual
Budget
Actual
(Over) Under
Budget
---
GENERAL ll1PROVfl1ENT (Cont'd.)
Materials and Supplies (Cont'd.)
Other operating supplies
Lumber and lumber products
Metal and metal products
Motor vehicle - Tires
Paint and painting supplies
Other repairs and maintenance
$
12.00
$
25.00
$
13.00
---
$- 2~_,_~?0. 60-
$ 25,9,?~~~~
$-},.§o/¡~o
MEHORIAL HALL
Personal Services
Sala:cies - Regular employees
Contractual Services
Telephone and telegraph
Insurance - Liability (3 years)
Gas service
Light and power sel~ice
Hater service
Repair - Buildings
Repair .- Machinery and equipment
Materials and Supplies
Expendable tools
Other operating supplies
Lumber and lumber products
Paint and painting materials
Sundry Expenditures
Public address system
Refunds
$ 5,605.02 $ 5,400.00 $ - (205.02)
170.55 100.00 (70.55)
2,279.81 2,400.00 120.19
316,43 350.00 33.57
243.54 250.00 6.46
5,821.91 100.00 (5,721.91)
106.54 200.00 93. /+6
124,00 150.00 26.00
52.1!8 100.00 47.52
25.00 25.00
150.00 150.00
300.00 400.00 100.00
$- ~5, 020-=:l~ $ ___9, 6?=~ OQ $ -..J5,395.?,§)
PUBLIC HEALTH
Contractual Services
Appropriation - City
$_41,7]5.00
$ 41, 7l2_~_QQ.
$--------
-----
--------
---
INDUSTRIAL DEVELOPHENT
Contractual Services
Other professional services
$_-1.~~,i~. 28
$_20,~OO:_OO
$-_t~-~~:_~~)
--- -..---.-
-'--- ---
-----,-.---
31.
TP,E CITY OF SALINA
Saline County, Kansas
STA]ElŒNT OF FŒCEIPTS, EXFEÑlnTURE~
A1'<'I) ill\!ENClJ"}illERED FUì\fD BALáNCE
NON-BLWCETED FïJNDS
--.-----
January 1 to December 31, 1973
CONSTRUCTION FlJrID
Flood control
Par~ i:r,provement
Library
City - County building
La1,ev70od Park
Improvement and studies
Police bui11ing - Fire and burglar a1aIT~S
Job 533 - Sidewalk
December, 1970, bond proceeds
Dece:':1cer, 1971, bond proceeds
Hater: - Se¡-¡er 1ir,es
Job 542 - Hiscellaneous improvements
Jvb 536 - GL2nn Avenue channel crossing
Síde,-.-z.lk jobs
Jub 539 - Sidewalk improvements
Job 540 -. Hater and sev:e:"age lines
(Saunders Leasing Co.)
Job 547 - SanitGry sewer extension
JoD 551 - Parkí'lOod Village :Lmprovement
Job 552 - Sanitary sewer
Job 555 - Miscellaneous street improvements
Job 5S9 - Sidewalk improvement
Job 560 - ColTInlUnity Theater site improvement
Bonds issued
Job 73-563 - Water sewer extensions
TOTA.LS
.....,
N
Schedule 8
Unencumbered Unencumbered
Fund Balance Fund Balance
1-1-73 Receipts Expenditures Transfers 12-31-73
"
$ 25,871.63 $ - $ - $ - $ 25,871.63
14 , 917 . 21 - - - 14,917.21
3<'¡.6. 85 - 346.85 - -
86,523.26 12,650.17 18,112.61 - 81,060.82
23,116.82 23,709.59 43,015.45 - 3,810.96
[¡.1,369.20 - 8,228.55 - 33, 1l¡.0. 65
(8[.0. (,2) - 333.00 - (1,173.62)
('6 ,--,- u) 16,617.44 - -
.J.. , o.!-í. '+:-
1,594.90 - - (1,591+.90)
22,665.60 - - (22,665.60)
7,855.10 - - (7,855.10)
(63,3i~8.23) - - 63,348.23
1,383. 10 -. - (1,383.10)
(l, 074 8Q) 4,074.89 - -
, ': . . ~
(2,807.25) 2 ,3<'¡.2. 29 - - (464.96)
(ï ,234.54) - - 7,234.54
(12,625.60) 6,944.08 - 5,681. 52
- 349,676.53 237,910.79 (111,765.74)
3, ì29. 00 829.86 11,117.93 6,559.07
11,052.44 43,989.09 - (32,936.65)
2,937.90 - (2,937.90)
4,100.40 - (4,100.40)
20,000.00 - (138,029.90 ) - 42,[¡.41.08
21,957.30 - ( (75,588.82» 21,957.30
$121 &'?!LJ- 0 $~:4 92-85<': .22. $39~O92.57 $ - $~L586. 12
THE CITY OF SALINA
Saline County, Kansas
STATEJvŒNT °f_1Q~S2JDI)1:§..L EXPJ~ND..rTURES-2
AND UNEJlCmmEJ~E'p'- FJJI\TDJ¿\.LÞJ.'JCE
NON - BUDGETED Fm-mS
~ --
January 1 to December 31, 1973
State
Withholding
Tax
---
CLEARING ACCOUNTS FU1:m
Receiptf3
Withheld from employees
Fees, licenses and permits
Advance
R e c e J.E!..@,
Schedule 8
(ContI d.)
Totals
--"
$29;260,80 $ $29,260.80
20,195.Q.~ 20,195,05
29,260,80 20,195.05 49,~55.85
Total Receipts
Add - Unencumbered Fund Balance,
January 1, 1973
-,,--
Total Revenue
~60. 8.Q.
Expenditures
Remir:Lance to government agencies
Transfer to General Operating FUTì.d
29,260.80
-----'-
Total Expenditures
2 ~~22-<h§Q
Unencumbered Fund Balance,
December 31, 1973
$==.:._-,---
19,071.9~
l2., 26 hOO
.19,_Ql.1,95
19) °ll, 92
$ .?~.l25 ~Q?-
--,._,.._,-
19,071_,95
.§§..: 52L. 80
29,260.80
19 071.95
-:...2.:----
L.8-,JJ~~1.,¿
$~ 195., OS
---
33.
THE CITY OF SALINA
Saline County, Kansas
STATE1-1b"NT _O~]..E;£~IPTS, EXPEy¡nITURF~
AND UNENCmITŒRED FUND BAI.J.\NCE
-'--"--
NON-BUDGETED FU1~S
January 1 to December 31, 1973
CENTRAL GAnAGE FUl\TJ)
Receipts
Reimbursement of expenditures
Total Receipts
Add - Unencumbered Fund Balance, January 1, 1973
Total Revenue
Expenditures
Personal Services
Salaries - Regular employees
Contractual Services
Telephone and telegraph
Insurance - Motor vehicles
Group insurance
Gas service
Light and pmver service
Repair - Building
Laundry and tmvel service
Haterials and Supplies
Expendable tools
Office supplies
Janitor and toilet supplies
Hotor vehicle - Fuel and lubricants
Other operating supplies
Hachinery and equipment parts
Hotor vehicle - Parts
Welding materials
Sundry Expend i L'lres
Office supplies
Capital Outlay
Garage equipment
Total Expenditures
Unenctmbered Fund Balance, December 31, 1973
CEHETERY ENDOhl}1E'NT FUND
Receipts
Perpetual care deposits
Unencumbered Fund Balance, January 1, 1973
Unencumbered Fund Balance, Decenmer 3l~ 1973
$36,300.6l~
379.84
9,667.00
310.86
811. 72
253. !j.8
122.09
426.82
85.18
44,+. 09
55,6O,+.72
1 ,!j.8~. 20
63,059.40
6,04,+. 73
176.86
3,665.07
853.40
----
Schedu Ie 8
(Cont'd.)
$182,298.6!+
182,298.64
!+8,562.21
230,860.85
1. 7 ~~2:..1 0
$ 51,165.75
$ 150.00
_21,.~2.Si~
$ ?" 81" -.
-=:.:!:J._.~:.?i..¡.
34.
THE CITY OF SALINA
Saline County, Kansas
§.TAT~T OF P-ECEIPThr~xp~pIT!LRES 2-
f~'D UNENcurmERED FUND EAlJû'JCE
NON -BUDGETED }"1JNDS
--~------
January 1 to December 31, 1973
CIVIL DEFENSE FUND
Receipts
Other appropriations and grants
Matching funds from State of Kansas
Reimbursement of expenditures
Adjustment prior years encumbrances
Total Receipts
Add - Unencumbered Fund Balance, January 1, 1973
Total Revenue
Expenditures
Personal Services
Salaries - Regular employees
Contractual Services
Automobile use allowance
Telegraph and telephone
Traveling expenses
Postage
Printing office forms
Insurance - Motor vehicles
Social Security
Employees' retirement
Group inSU7:a¡1Ce
Repair - Hachinery and equipment
Radio maintenance
Other contractual services
Materials and Supplies
Office supplies
1v1otor vehicle - Fuel and lubricants
Motor vehicle - License tags
Other repairs and maintenance
Other operating supplies
Hachinery and equipment parts
Paint and painting supplies
Sundry Expenditures
Organization dues
Capital Outlay
Equipment
Total Expenditures
Unencumbered Fund Balance, December 31, 1973
$14,000.00
11,783.57
1,988.64
200.00
--
20,504.15
598.50
3,362.06
760,37
121. 79
195.35
57.00
1,llf6.90
504.1+2
5~;7. 15
504.88
187.57
3i'9.64
212.46
309.17
5.00
1,6.21
214.52
162. 711
11.97
12.00
~i8.7~
Schedule 8
(Col1t1d. )
$ 27,972.21
5,4t}5.62
33,U7.83
30,992.59
--,----
$ 2. [12').24
,=,.~":==~
~ ,.
5.) .
THE CITY OF SALINA
Saline County, Kansas
STATEHENT Of R;ECEIITS~E~DITURES.
AND UNE'NCWl[?~Iil3:J~P FUNJ2..J'3M-ANCE
NON-BUDGETED FUNDS
January 1 to December 31, 1973
Schedule 8
(Cont'd.)
HAUSOLEUH TRUST Fm\TJ)
Receipts
Sale of mausoleum space
$
Total Receipts
Add - Unencumbered Fund Balance, January 1, 1973
Total Revenue
Expenditures
Remitted to District Court
Unencumbered Fund Balance, December 31, 1973
s -
'=---
Mi\USOLElTH ENDo\"¡}ŒNT FmID
Receipts
Sale of mausoleum space
$
Total Receipts
Add - Unencumbered Fund Balance, J3nuary 1, 1973
16 ¡ ?~~5.. 17
Total Revenue
.16,8l¡S.17
Unencumbered Fund Balance, December 31, 19"73
$ 16 1=~.~:~2:.~
STREET ~~CHINERY Fm~D
Receipts
Interest
$
9.3 7_, c.~l
Total Receipts
937.01
Add - Unencumbered Fund Balance, January 1, 1973
.24,518.3~
Total Revenue
2S,l.SS.39
Expendi tun~s
CapitalOEtlay
--'--
Unencumbered Fund Balance, December 31, 1973
$. 25,455,39
36.
THE CITY OF SALINA
Saline County, Kansas
~rEJv!];;NT QF RECE1PTS, Ex;.PENDI}'URES,
A},TJ) UNENCmmERED Fmm BAI,t\J~CE
--
NON -BUDGETED FU:ì~DS
January 1 to December 31, 1973
AMBULANCE FUND
Receipts
Ambulance fees
Transfer frŒTI other funds
Reimbursement of (~xpenc1itures
Total Receipts
Add - Unencumbered Fund Balance, January 1, 1973
Total Revenue
Expenditures
Personal Services
Salaries - Regular employees
Contractual Services
Insurance - Social Security
Employees' retirement
Capital Outlay
Total Expenditures
Unencumbered Fund Balance, December 31, 1973
COHHUNITY RENEhTAL PROGRA}1
Receipts
Grants from Federal Government
Total Receipts
Add - Unencumbered Fund Balance, January 1, 1973
Total Revenue
Expenditures
Other contractual services
Unencumbered Fund Balance, December 31, 1973
$38,602.82
1,800.00
--
[.~., 134. 50
2,438.83
1,533.63
--
Schedule 8
(Cant I d.)
$ [.0,402.82
_ll, 023.27
51,426.09
[è8, 106,96
$_1.¡]19,J.:.l
$ - ---=-.
---------
$
----
37.
THE CITY OF SALINA
Saline County, Kansas
STATEIjJ~T_OF J31;;.cEIPTS:¡. EXPÆ'D2IT..lJT~:§..:¡-
AND mmN Cill:fQ.r;1ŒD_Jl~n~J~\.L£\l'i C E
NON -BUDGETED FIJj\¡l)S
'---'---
January 1 to December 31, 1973
SPECIAL RESERVE ~~
Receipts
Transfer from Special Gasoline Tax Fund
Total Receipts
Add - Unencumbered Fund Balance, Jamlary 1, 1973
Total Revenue
Expenditures
Capital Outlay
Unencvmbered Fund Ba1.anc.~(', December 31, J.973
FEDERAL REVENUE SHARING TRUST FUND
Receipts
Grants - Federal GoverD..me:Tt'.
Intcrc~,~t from investments
$53/,52/.00
_..~_~~~.;2.L~';}~2
Tntnl Hcceipts
Add - Unencumbered Fund Balance, JaJJuary 1., 1973
Total Revenue
Expenc1jtu:res
COniTé!cLûa 1 Services
Otl",o:'- ('.0)1 tractua 1 sf.'rvires
H:!terÜ:ls ;en]() Suppl:Lron
Sand, gravel, rock &cd chat
52, 1¡.6 7.52
1,001. 50
Ca;:oil:Dl Outlay
Lancl
Equ:ì.p:llertt
b:ùLc,;'_)biIcs
Fire-LLg}1t::in? e'Il'.ípment
HotoJ:'t~ycle
R~,cl:i() F.C!(1LpiIlE'Et
Trl1cks
120,000.00
J.27, 1[: °1.20
3 , T' f:. J¡ 2
11,l)!J".O8
/>599.00
1+86 GO
23,'7[;7.64,
9l,.~~¿)1.1+9
__~~.L~? ~~~ß.J-
Tr:acto1:S 3nc1. beEvy eqU:LjJú1(:,nt
T.céi,fiic conL'rol e<:J1..'ipment
'j~ol:;].J EXpf!11dí¡-un~s
Uncnct1íü~h':':ced Fund. Ba l&l1ce, :Occember 31, 1. 9 7 3
Schedule 8
(Cont 1 d.)
$
33 ~ 158.:_ll
33,158.72
-------,
(: ') '< -I ',0 7"1
y ~~~~~=:o:CZ:~;:;.:-==
$)53,903.<'19
2~Q}~)22_.Q.:.~~g-
7'j7,O23.i,9
t,. ~L:..LD.g:-Z7.:
"'1('" nr'2 -'""
y ~: L?,?:::~ö:~!:d;:L,
3~.
THE CITY OF SALINA
Saline County, Kansas
STATill1ENT OF BONDS OF INDEBTEDNESS,
TEMPORARY NOTES AND NO- FUti'D HARRANTS
December 31, 1973
Purpose of Issue
BONDS OF INDEBTEDNESS
Flood control
Paving
Curb, gutter and paving
Flood control
Hater and se\vage issue of 1961
Sanitary sewers
Curb, gutter and paving
Street improvement
Off-street parking
Street improvement
Street improvement
Flood control
Street improvement
Street improvement
Lateral sewers
Street and Seí,¡er improvements
Street improvements
Street and sewer improvements
Library
Saline County - City Building
Street and sewer improvements
Park
Street improvement
Street improvement
Airport park
Internal improvement
Internal improvement
Airport park
Ash Street sewer separation
Internal jJ1}provement
Internal improvement
Internal improvement
Internal improvement
TOTAL BOr,1])S
Paid from:
Bond and Interest Fund
Water and Sewage Fund
TEHPORARY NOTES
\vaterworks and sew'er
39.
Date of
Series Issue
FL178 5- 1-58
P-183 12- 1-59
P-185 11- 1-60
FL186 5- 1-61
7- 1-61
S-187 11- 1-61
P-188 11- 1-61
P-189 11- 1-61
OFP190 11- 1-62
P-191 11- 1-62
P-l92 11-- 1-62
FL193 11- 1-63
P-194 11- 1-63
P-195 11- 1-63
S-l96 11- 1-63
P-197 11- 1-64
P-198 11- 1--65
P.--199 11- 1-65
LB-200 11- 1-65
CB201 11- 1-66
P-202 11- 1-66
PK203 11- 1-..66
P-204 11- 1-67
P-205 11- 1-67
G-206 12- 1-67
P-207 11- 1-68
P-208 11- 1-68
G-209 11- 1-68
AS210 12- 1-69
P-211 12- 1-69
P-212 If- 1--70
P-213 12- 1-70
P-211+ 12- 1-71
4-.23-73
Schedule 9
Interest Rate
Percenta~
2 - 3
3.375 - 4
2.75 - 3.5
3 - 3.5
3.25 - 5
2.75 - 3
2.75 ::I
2.75 - 3
2.5 - 3
2.5 - 3
2.5 - 2.75
2.875 - 3.5
2.875 - 3.5
2.875 -, 3.5
2.875 -- 3.5
2.75 - 3.5
3.25 - 3.375
3.25 - 3.3
3.25 - 3.375
3.75 - 5
3.75 - 5
3.75 - 5
3.7 - 4 - 4.25
3.7 - 4.25
3.75 - 4.25
3.9 - 4.5
3.9 - L..25
3.75 - 4.25
5.25
5.25
5.5 - 6
4.5 - 4.625
3.375 - 3.6
THE CITY OF SALINA
Saline County, Kansas
STATEHENT OF BONDS OF INDEBTEDNESS~
TEMPORARY NOTES AND NO-}~ND WARRANTS Schedule 9
December 31, 1973 (Cant I d.)
Original Outstanding Issued Paiá Outstanding Interest
Issue 1-1-73 in 1973 in 1973 12-.31-73 Paid
---
$ 666,000.00 $ 198,000.00 $ $ 33,000.00 $ 165,000.00 $ 5,651. 25
402,737.72 160,000.00 20,000.00 140,000.00 5,812.50
551,385.64 243,000.00 27,000.00 216,000.00 7,940.00
1,132,000.00 510,000.00 55,000.00 455,,000.00 16,650.00
3,600,000.00 2,350,000.00 125,000.00 2,225,,000.00 84,430.50
276,297.60
320,706.83
605,942.89 300,000.00 30,000.00 270,000.00 9,750.00
1,375,365.60 687,000.00 69,000.00 618,000.00 19,276.25
456,283.76 226,000.00 23,000.00 203,000.00 6,327.50
388,683.19 38,000.00 38,000.00 783.75
260,000.00 156,000.00 13,000.00 143,000.00 4,644.34
986,218.15 592,000.00 51,000.00 541,000.00 17,615.49
803,072.90 158,000.00 79,000.00 79,000.00 3,967.30
27,803.21 4,000.00 2,000.00 2,000.00 100.62
630,000.00 180,000.00 60,000.00 120,000.00 4,537.50
265,000.00 175,000.00 1.5~OOO.OO 160,000.00 5,503.75
360,000.00 140,000.00 35,000.00 105,000.00 4,225.00
675,000.00 1+65,000.00 35,000.00 430,000.00 14,970.00
1,100,000.00 825,000.00 55,000.00 770,000.00 31,212.50
340,000.00 165,000.00 35,000.00 130,000.00 6,187.50
150,000.00 75,000.00 15,000.00 60,000.00 2,812.50
155,000.00 115,000.00 10,000.00 105,000.00 4,420.00
~'. 25 , 000. 00 185~OOO.00 35,000.00 150,000.00 6,845.00
75,000.00 65,000.00 3,000.00 62,000.00 2,740.00
58,267.56 49,000.00 3,000.00 46,000.00 2,049.00
376,222.70 260,000.00 L.O,OOO.OO 220,000.00 10,140.00
/5,000.00 65,000.00 3,000.00 62,000.00 2,740.00
131,385.17 105,000.00 13,000.00 92,000.00 5,512.50
170,813.64 140,000.00 15,000.00 125,000.00 7,350.00
79,[[81. 71 72,000.00 4,000.00 68,000.00 4,080.00
147,101.81 135,000.00 15,000.00 120,000.00 6,14~.50
245,861. 00 245,861. 00 20,861. 00 225~000.00 8,837.47
$9,083,861.00 $ -- $976,861. 00 $8,107 , ç~~O. 00 $]13,~2!i' 71
--
$851,861.00
125,000.00
$_97!j_~ §..61. 00
$ 247,592.60 $ $247,,592.60 $ $ 2-41 ' l~2. ~O-
------ --------- -----.-.------
--- --- ------- .. --------
40.
THE CITY OF SALINA
Saline County, Kansas
RECONCILIATION OF FISCAL AGENCY BALANCE Schedule 10
December 31, 1973
Fiscal Agency Balance, December 31, 1973 $~28.99
Bond Coupon Bond Amount
Series Number Number Detail ~ßooks
--- --
FL-178 25 544-548 5 @ $ 15.00 $ 75.00
FL-178 26 544-548 5 @ 15.00 75.00
FL-178 27 54/.-548 5 @ 15.00 75.00
P-189 23 516-520 5 @ 17.50 87.50
OFP-190 22 932--935 4 @ 13.75 55.00
P-191 19 435-4/~/~ 10 @ 15.00 150.00
P-194 19 935-939 5 @ 15.62 ¡'8.10
CB--201 13 163 1 @ 95.00 95.00
Water and Sewage 24 1781-1785 5 @ 17.50 87.50
Water a..1d Sewage 24 1831-1835 5 @ 17.50 E:7.50
FL-178 30 538 1 @ 15.00 15.00
FL-.17S 30 54/,-5/.8 5 @ 15.00 75.00
FL-178 30 61-6-621 6 @ 15.00 90.00
FL-178 28 5/.4-548 5 @ 15.00 75.00
P-189 24 516-520 5 @ 17.50 87.50
OFP-190 22 1047-1069 23 @ 14.38 330.74
OFP-190 22 llì2 1 @ 15.00 15.00
OFP-190 22 1109-1112 4 @ 15.00 60.00
P-l91 22 374 1 @ 15.00 15.00
P-l91 22 If 08-/+12 5 @ 15.00 75.00
P-191 22 435-4/+4 10 @ 15.00 150.00
FL-178 29 544-548 5 @ 15.00 75.00
FL-178 29 616-621 6 @ 15.00 90.00
P-189 24 561-565 5 @ 17.50 87.50
OFP-190 22 1317-1321 5 @ 15.00 75.00
P-l91 22 346-357 12 @ 14.38 172.56
P -194 20 935-939 5 @ 15.63 78.15
P- 194 18 9/1,0 5 @ 15.63 78.15
CB-201 14 120-121 2 @ 95.00 190.00
CB-20l 14 163 1 @ 95.00 95.00
P-2l2 7 52-55 4 @ 27.50 110.00
P-212 7 40-43 4 @ 27.50 110.00
P-212 7 61-67 7 @ 30.00 210.00
G-209 8 57 1 @ 21. 25 21.25
G-209 8 64-75 12 @ 21. 25 255.00
G-209 9 52-57 5 @ 21. 25 127.50
G-209 9 6/+- 7 5 12 @ 21.25 255.00
PK-203 14 16 1 @ 93.75 93.75
P-212 7 12-19 8 @ 27.50 220.00
P-213 7 103-112 10 @ 23.13 231. 30 $_~Lá2~._99
---
41.
City Building, Equipment, Etc.
90% co-insurance
General Liability
Water and Sewage Department
Owners', Landlords' and Tenants'
Liabili ty
Kenwood Park Grandstand
Lakewood Park Boat
Concession and Lodge
Memorial HaIl
Police Department Camera Equipment
Boiler and Machinery Policy
Vehicle Insurance Policy
Automobile Insuran~e
Workmen's Compensation -- Employers
Liability
Water and Sewage Department
All Departments except Water
and Sewage, Fire Department
and Civil Defense
Depositor's Forgery Bond
Money and Securities Policy
THE CITY OF SALINA
Saline County, Kansas
INSURANCE COVERAGE
December 31, 1973
Schedule 11
Type of Coverage
Amount
Fire and lightning
Extended coverage,
vandalism and
malicious mischief
$
3,935,000.00
Bodily injury
Property damage
100/300,000.00
50/50,000.00
Bodily inj ury
Property damage
Bodily injury
Property damage
Bodily inj liry
10a,OOO.00
5,000.00
300,000.00
50,000.00
100/300,000.00
Scheduled property floater
205.00
Scheduled policy
275,000.00
Comprehensive
Hedical payments
Uninsured motorists
Physical damage
100/300/50,000.00
2,000.00
15/30,000.00
60/180,000.00
Employers liability
Worlunen's Compenséition
100,000.00
Legal Limit
Employers liability
1'¡orkl1len's compensation
100,000.00
Legal Limit
10,000.00
Inside
Money and securities
Checks other than payroll
Outside
Money and securities
Checks other than payroll
15,000.00
10,000.00
15,000.00
10,000.00
42.
Name
Melvin E. Abbott
WiIlia....:n Usher
Robert C. Caldwell
Norma G. Cooper
Hike Losile, Jr.
Jack Heisgerbcr
Norris P. Olson
Donald L. Harrison
Harold Henderson
Honesty Blanket Bond
THE CITY OF SALINA
Saline County, Kansas
FIDELITY BONDS
December 31, 1973
Title
City Treasurer
City Commissioner
City Co~nissíoner
City Commissioner
City Commissioner
City CoIT~issioner
Ci ty Manager
City Clerk and Director
of FiwlllCQS
Police Judge
Public Employees
Effective
Date
----
2-31-73
4-16-73
4-16--73
4-16-73
4-16-73
4--16- 73
5- 1-73
3-21-73
3-31-73
6- 1-73
Expiration
Date
----,
3-21-74
/f-16-7!.
/¡-16-74
4-16-7/¡
4-16-74
4-16.-74
5- 1--7/f
3-21--74
3-31--7/¡
6- 1--74
Schedule 12
Amount
---
$50,000.00
10,000.00
lO,OOO.OO
10,000.00
10,000.00
10,000.00
5,000.00
5,000.00
1,000.00
10,000.00
43.
THE CITY OF SALINA
Saline County, Kansas
STATEMENT OF INVESTHENTS BY :FUNDS
-------
December 31, 1973
PARKING METER FUND
Homestead Building and Loan -
Savings Account (4 3/4%)
Colonial Savings and Loan -
Savings Account (4 3/4%)
SANITATION FUND
Security Savings and Loan
(4 3/4%)
Homestead Building and Loan
(-4 3/4%)
Colonial Savings and Loan
(4 3/ Lf%)
HATER AND SEHAGE
Certificate of
Certificate of
Certificate of
Certificate of
FUND
Deposit
Deposit
Deposit
Deposit
(5 3/4%)
(5 3/4%)
(6.6%)
(6.6%)
STREET HACHINERY FUND
Security Savings and Loan
(4 3/4%)
Homestead Building and Loan
(Lt 3/4%)
Colonial Savings and Loan
(4 3/4~n
CEMETERY ENDOHMENT FUND
Certificate of Deposit (6.6%)
HAUSOLEilll E1'DOHMENT FUND
Certificate of Deposit (6.6%)
FIREHEN'S PENSION FUND
Certificate of Deposit (5 1/2%)
POLICEMEN'S PENSION FUND
Certificate of Deposit (5 1/2%)
FEDERAL REVENUE SHARING FUND
Certificate of Deposit (6.6%)
Certificate of Deposit (6.6%)
TOTAL
Number
47651-M
31526
6091
47651-M
31526
7987
798-7
87/+7
8746
6901
47651-M
31526
8746
8746
3811
3812
1150
4522
Issue
Date
2- 1-73
2- 1-73
10- 1-73
10- 1-73
10- 1- 73
10- 1-73
1-26-73
1-26-73
11-27-73
11-27-73
Due
Date
2-- 1-74
2- 1-74
10- 1-74
10- 1~74
10- 1--74
10- 1-74
1-26-74
1-26-74
2-27-74
2-27-74
Balance
Detail
$
8,000.00
-2..J2.Q0. 00 $
:LO~OOO.OO
10,000.00
10~000.00
255,000.00
75,000.00
207,900.00
1q2L 100._00
10,000.00
2,000.00
5,000.00
100~000.00
102,622.12
Schedule 13
12-31-73
Total
13,000.00
30,000.00
6L: 5 ,000. 00
17,000.00
21,000.00
16,000.00
51,400.00
51,400.00
202~622.~_?
$1, ~4 ~_L~22.J=-l
44.
Depository
First National Bank
and Trust Company
First State Bank
and Trust Company
National Bank of
America
Planters State Bank
Homestead Building
and Loan
Security Savings
and Loan
Colonial Savings
and Loan
THE CITY OF SALINA
Saline County, Kansas
COMPARISON OF DEPOSITORY SECURITY
WITH BALANCES ON DEPOSIT
December 31, 1973
F .D. I.C. or
F.S.L.I.C.
Coverage
Bank
Balance
Total
Coverage
Security
Pledged
--
Schedule 14
Bank
Balance
Unsecured
$20,000.00 $ 977,000.00 $ 997,000.00 $1,276,857.77 $279,857.77
20,000.00 370,000.00 390,000.00 210,879.22
20,000.00 744,000.00 764,000.00 778,086.05 14,086.05
20,000.00 1,030,000.00 1,050,000.00 1,026,713.07
20,000.00 20,000.00 20,000.00
20,000.00 20,000.00 20,000.00
20,000.00 20,000.00 20,000.00
45.
THE CITY OF SALINA
Saline County, Kansas
l-1UNIC IP AL COURT
SUMMERY OF ASSES§~~NTS, DISBURS~1EN~§~
AND UNCOLLECTED CASH BALANCE
January 1 to December 31, 1973
Uncollected Cash Balance, January I, 1973
Assessments
Fines assessed in 1973
Court costs assessed in 1973
Parking violations assessed in 1973
Reinstated
Total Assessments
Beginning Balance and Assessments
Disbursements
Fines suspended
Fines worked out
Fines dismissed
Cash collected Old 1972 and prior fines
Cash collected - 1973 fines
Cash collected and remitted to city treasurer
$ 10,822.50
116,889.23
Total Disbursements
Uncollected Cash Balance, December 31, 1973
Schedule 15
$ 11,904.88
97,261. 00
19,893.00
25,976.73
875.62
144,OO6.3~
155,911.23
3,128.50
2,656.00
3,149.00
127,711. 73
136,6[.5.23
$ ß266.UQ
46.
THE CITY OF SALINA
Saline County, Kansas
WATER AND SEWAGE FUND
FINANCIAL STATEMENTS
December 31, 1973
THE CITY OF SALINA
Saline County, Kansas
WATER AND SEWAGE FUND
COMPARATIVE BALANCE SHEET
Schedule 16
December 31,
1973
1972
ASSETS
CURRENT ASSETS
Petty cash
Cash in banks
Water and sewage treasurer
Water and sewage treasurer
Operating account
Accounts receivable - customers
Inventories
Operating stores
Meter parts
TOTAL CURRENT ASSETS
$ 1,500.00 $ 1,500.00
213,992.65 (15,679.08)
77,170.48 57,839.91
78,7L.6.10 58,071.39
72,409.78 78,437.83
13.,479.53 13,901. 86
457,298.54 194,071. 91
82,210.65 71,521.38
9,340,131. 73 ~2.3,37_U2.
-~, 422,342. 3~ 9,324,895.83
PLANT AND PROPr;:RTY - Schedule 22
Furniture and fixtures
Plants, mains, equipment and other
property
TOTAL PLMiT AND PROPERTY
OTHER ASSETS
Cash in banks (funded reserves)
Bond and interest
Bond reserve
Depreciation and emergency
Combined Hater and sewage system
extension and bond retirement
Investments (funded reserves)
Bond reserve
Depreciation and emergency
Combined water and sewage system
extension and bond retirement
104,349.65 104,349.65
526.93 726.93
700.96 1,860.96
59,893.23 58,643.23
462,900.00 443,000.00
182,100.00 173,000.00
TOTAL OTHER ASSETS
810,470.77
781,580.77
TOTAL ASSETS
$10,690,111. 69
$1Q.... 300 L~L8 :_~l:.
47.
THE CITY OF SALINA
Saline County, Kansas
WATER AND SEHAGE FUND
COMPARATIVE BAL~~CE SHEET
LIABILITIES
CURRENT LIABILITIES
Accounts payable
Customers' meter deposits
Due to sanitation department
Revenue bonds - current portion
TOTAL CURRENT LIABILITIES
LONG-TERH INDEBTEDNESS
Combined water and sewage system
revenue bonds, Series 1961
SURPLUS
Appropriated
Bond and interest reserve
Bond reserve
Depreciation and emergency reserve
Extension and bond retirement reserve
Total Appropriated
Unappropriated
TOTAL SURPLUS
TOTAL LIABILITIES
Schedule 16
(Cont'd.)
Deceuper ;31,
1972
1973
$ 64,715.52 $ 14,411.27
32,015.00 26,910.00
3,954.01 678.94
130,000.00 125,000.00
230, 68ft. 53 167,000.21.
2,095,000.00
2,225,000.00
104,349.65 104,349.65
463,/+26.93 443,726.93
182,800.96 174,860.96
59,893.23 58,60.23
810,470.77 781,580.77
7,553,956.39 ~26,967.53
8,364,427.1~ 7,908,548.30
$10,690,111. 69
$10,300,548.51
48.
THE CITY OF SALINA
Saline County, Kansas
WATER AND SEWAGE FUND
COMPARATIVE INCOME STATEMENT
REVENUE
Water revenue
Sewage
Misce11zneous income
Tapping service and frontage
Service charge - Sanitation Department
TOTAL REVENUE
OPERATING EXPENSES - Schedule 19
OTHER EXPENSES
Interest paid on revenue bonds
NET INCOME
Schedule 17
December 31,
1973 1972
$ 965,012.73 $ 630,858.30
390,624.31 384,634.35
2,086.08 4,091. 42
6,810.33 12,171.37
3,275.64 3,183.45
1,367,809.09 1,034,938.89
856,153.29 758,229.86
511,655.80 276,709.03
84,702.65 _~LZ70.3_~
$ 426,953.15 $ 187,938.64
-----
49.
THE CITY OF SALINA
Saline County, Kansas
HATER AND SEWAGE FUND
COMPARATIVE UNAPPROPRIATED SURPLUS
BEGINNING BALA}JCE
Add
Net income for curre~t
Adjustment for prior encumbrances
Capital expenditures from Bond
Retirement and Extension Reserve
Payment of bond principal 2nd interest
from Bond and Interest Reserve
Deduct
--
Transfer to Bond and Interest Resel~e
ENDING BALANCE
Schedule 18
December 31,
1973 1972
$7,126,967.53
426,953.15
35.71
209,702.65
7,763,659.04
209,702.65
$7,553,956.39
$6,886.660.36
187,938.64
891. 03
51,477.50
213,770.3~
7,340.737.92
213 ¿ZO. 32.
$7,126,967.53
50.
THE CITY OF SALINA
Saline County, Kansas
WATER AND SEWAGE FUND
COMPARATIVE OPERATING EXPENSES STATEMENT
Schedule 19
WATER SUPPLY EXPENSES
Maintenance - well pumps and equipment
Well power
Well house signals
River intake power
Maintenance - building and grounds
Maintenance - river basin
SOFTENING AND TREATMENT EXPENSES
Supervision
Salaries
Electric power
Gas service
Building operating supplies
Chemicals
Maintenance - equipment
Maintenance - buildings
Electricity - calcium plant
Gas - calcium plant
Supplies - calcium plant
PUMPING EXPENSES
Supervision
Salaries
Electric power
Gas service
Lubricants
Building operating supplies
Maintenance - electrical equipment and
pumps
Maintenance - station building and grounds
December 31,
1973 1972
$ 455.54 $ .62
3,391. 53 2,266.39
2,304.10 1,893.16
2,186.96 2,268.80
110.32 52.54
1,772.22- 564.97
10,220.67 7,046.48
23,099.50 22,516.56
43,438.97 42,726.06
15,214.76 15,736.00
2,373.77 3,460.62
39.95 44.96
102,467.L¡0 84,815.74
6,723.76 9,068.18
343.23 327.92
2,808.96 3,043.20
5,949.90 6,885.27
1,549.48 2,L¡35.42
204,009.68 191,059..93
14,818.89 14,027.36
29,075.92 26,309.56
7,046.72 5,361. 72
351.17 353.n
105.70 47.85
756.50 1,175.51
90.84 514.10
247.89 17 9.84
52,493.63 47,969.17
51.
THE CITY OF SALINA
Saline County, Kansas
WATER AND SE\vAGE FUND
COMPARATIVE OPERATING EXPENSES STATEMENT
Schedule 19
(Cont'd.)
DISTRIBUTION EXPENSES
Supervision
Salaries
Meter maintenance salaries
Meter maintenance supplies
Vehicle and equipment expense
Tapping supplies
Maintenance - distribution mains
Maintenance - elevated tanks
Maintenance - reservoirs
Maintenance - hydrants
Miscellaneous materials and labor
CUSTOMERS' ACCOUNTING L~ID COLLECTION
EXPENSES
Office salaries
Servicemen and meter readers salaries
Servicemen and meter readers supplies
Collection stations
Maintenance - office equipment
Office supplies
Vehicle expense
Postage
ADMINISTRATIVE AND GENERAL EXPENSES
Supervision
Salaries
Telephone expense
Office supplies
Special engineering
Social security
Insurance
Sales tax
December 31,
1973 1972
$ 8,517.22 $ 8,125.76
38,123.36 38,577 . 86
13,338.83 12,865.68
3,576.64 308.90
5,167.23 6,851.40
5,429.32 5,891. 24
7,967.63 4,253.86
17,982.89 778.46
1,642.90 1141. 00
1,869.64 __~44.23
103,615.66 80,138.39
51,659.33 49,J99.54
49,031. 59 47, Idl. 99
521. 90 470.93
1,806.70 1,807.00
2,357.53 1,814.07
4,564.00 2)706.49
11,247.87 3,154.79
-.13 ~80. 04 2,46(>_,57
128,068.96 119, 051. 38
14,358.00 13,752.00
5,869.25 5,332./14
3,723.78 3,381. 25
321.10 227.51
681. 38 675.00
21,656.20 19,689.31
7,516.03 7,009.99
704.69 954.77
52.
THE CITY OF SALINA
Saline County, Kansas
WATER AND SEWAGE FUND
COMPARATIVE OPERATING EXPENSES STATEMENT
Schedule 19
(Cont'd.)
ADMINISTRATIVE AND GENERAL EXPENSES (Cont'd.)
Property taxes
Accounts charged off
Long and short cash
Employees' retirement
Accident insurance
Auditing expense
Contracting service
Organizational dues and memberships
Office maintenance and utilities
Service performed - other departments
Car mileage and travel expenses
SEWAGE TREATMENT AND COLLECTION EXPENSES
Supervision
Salaries
Electric power
Gas service
Plant operating supplies
Maintenance - equipment
Haintenance - buildings and grounds
Maintenance - pumping stations
Maintenance - sanitary sewers
Vehicle expense
TOTAL OPERATING EXPENSES
December 31, -
1973 1972
$ 35,000.00 $ 35,000.00
lf08.48 843.13
80.84 6.44
20,423.04 20,918.77
19,666.35 15,695.10
3,550.00 3,120.00
1,612.25 3,822.85
918.72 733.29
6,900.00 6,900.00
16,650.00 16,650.00
1,202.17 1,159.96-
161,242.28 12h87 1. 81
25,278.58 34,819.72
84,389.03 70,415.92
27,738,67 26,800.20
4,406.58 3,378.05
995.77 872. Of¡
13,204.5l¡ 6,894.82
9,065.41 524.13
10,010.91 4,931.22
10,415.65 2,221. 50
10,997.27 ~235.10
196,502.41 157,092.70
$856,153.29 $758,229.86
53.
THE CITY OF SALINA
Saline County, Kansas
RECEIPTS, EXPENDITURES AND FUND BALANCE
January 1 to December 31, 1973
WATER AND SEWAGE FUND CONSOLIDATED
Schedule 20
Water and
Sewage
Fund
Bond and
Interest
Reserve
Unencumbered Fund Balance, January 1, 1973
$
29,249.56
$104,349.65
Receipts
Water
Sewage
Miscellaneous
Tapping service
Service charge - sanitation
Sanitation fees
Interest on investments
Deposits and miscellaneous
Transfer from Water and Sewage
Adjustment prior years encumbrances
965,012.73
390,624.31
2,086.08
6,810.33
3,275 . 6l~
246,66!~.0/¡'
27,901.25
209,702.65
35.71
Total Receipts and Beginning Fund Balance
b 671, 659. 6~~
314,052.30
Expenditures
Water supply expense
Softening and treatment expense
Pumping expenses
Distribution expense
Customer accounting and collections
Administrative and general expense
Sewage treatment expense
Cash remitted to Sanitation Fund
Transfer to Bond and Interest Reserve
Bond principal
Bond interest
Postage and commission
Capital expenditures
Sales tax
Customer deposit refunds
Inventory
Miscellaneous
10,220.67
204,009.68
52,493.63-
103,615.66
128,068.96
161,242.28
196,502.41
243,000.00
209,702.65
Total Expenditures
125,000.00
84,432.50
270.15
85,545.42
24,877.47
14,505.00
7,032.95
6,849.27
1,447,666.05 203_,702.65
$ 223,993.60 $_10L~, 349.65
Unencumbered Fund Balance, December 31, 1973
54.
Bond
Reserve
Depreciation
and Emergency
Reserve
$443,726.93
$174,860.96
THE CITY OF SALINA
Saline County, Kansas
RECEIPTS, EXPENDITURES AND FUND BAI~CE
January 1 to December 31, 1973
WATER AND SEWAGE FUND CONSOLIDATED
Extension
and Bond
Retirement
Reserve
Eliminations
Debit Credit
$ 58,643.23
$
$
19,700.00 7,940.00 1,250.00
209,702.65
463,426.93 182,800.96 59,893.23
---
$463,426.9~
$.!.~~.,J3_0_Q.~~
209,702.65
----
$.--22-,~h 2 3
$2Q.~J_~Q~ 65
$ ~ 0 9 ':.?-Q ?:..:Ë.
Schedule 20
(Cont'd.)
Consolidated
Balance
$
810,830.33
965,012.73
390,624.31
2,086.08
6,810.33
3,275.64
246,664.04
28,890.00
27,901. 25
35.71
.2,4~~,130~f2
10,220.67
201f, 009.68
52,493.63
103,615.66
128,068.96
161,242.23
196,502.41
243,000.00
125,ODO.OO
84,432.50
270.15
85,545.42
24,877.47
14,505.00
7,032.95
6,849.27
.1,447,666.05-
$_1, Q?J.2~j,~. 31..
55.
THE CITY OF SALINA
Saline County, Kansas
WATER AND SEWAGE FUND
COMPARISON OF RESERVE BALANCES WITH ORDINN~CE REQUIREMENTS
December 31, 1973
Schedule 21
Reserve Balances, January 1, 1973
Depreciation Extension
Bond and and and Bond
Interest Bond Emergency Retirement
Reserve Reserve Reserve Reserve
----
$104,349.65 $443,726.93 $D4,860.96 $ 58,643.23
209,702.65
19,700.00 7,940.00 1,250.00
314,052.30 463,1+26.93 182,800.96 59,893.23
209,702.65
104,349.65 463,426.93 182,800.96 59,893.23
Add
Transfers to reserves - 1973
Interest on investments
Deduct
Bond principal and interest - 1973
Reserve Balances, December 31, 1973
Reserve Requirements, December 31, 1973
Bond and Interest Reserve
Bond principal - 5/12 of principal
due August 1, 1972 - $130,000.00
Bond interest - 5/6 of interest
due February 1, 1973 - $42,216.25
54,166.67
33,487.50
Bond Reserve
300,000.00
Depreciation and Emergency Reserve
125,000.00
Total Reserve Requirements
87,654.17
300,000.00
125,000.00
Excess Actual Reserve Balances
over Reserve Requirements
$~695.48
$163,/126.93
$ 57,§OO.96
$ 59_,893.23
Rare Requirement - per Ordinance
Debt Service - 1973
135% of Debt Service
$~~~
$283,098.58
Net Income before Interest Deduction
$511,655.80
Income Excess
$228,557.22
-----
56.
THE CITY OF SALINA
Saline County, Kansas
WATER AND SEWAGE FUND
COMPARATIVE PLANT AND PROPERTY STATEMm~T
FURNITURE AND FIXTURES
PLANT, MAINS, EQUIPMENT A~D OTHER
PROPERTY
Distribution
Manholes
Cast iron mains
Hydrants
Valves
Stand pipe
Sunset stand pipe
Meters
Water Supply
Real estate
Pump houses
Wells
Well pumps
Flow lines
Pumping Stations
Real estate
Improvements
Pump house
Reservoirs
Pumps
Venture meters
Suction lines
Water softener equipment
River intake pump and water treat-
ment - basin
Gypsum Hill water tower
High service pump and appurtenance
Water supply improvements
Underground reservoir
Land - underground reservoir basins
Schedule 22
Increase
December 31, or
1973 1972 (Decrease)
$ 82,210.65 $ 71,521. 38 $10,689.27
55,168.02 55,168.02
1,922,203.76 1,909,995.76 12,208.00
175,639.16 169,742.96 5,896.20
226,262.95 224,459.54 1,803.41
60,914.36 60,914.36
101,303.31 101,303.31
373,592.62 366,137.34 7,455.28
2,915,084.18 2,887,721. 29 27,362.89
5,347.50 5,347.50
22,000.47 22,000.47
203,576.90 203,576.90
35,975.37 35,975.37
47,824.04 47,824.04
314,724.28 314,724.28
16,532.86 16,532.86
3,580.40 3,5<30.40
18,976.15 18,916.15
28,545.49 28,5/+5.49
36,601. 41 36,601. 41
6,185.44 6,185.44
15,186.88 15,186.88
1,103,021. 72 1,103,021.72
251,180.45 251,180.45
124,802.70 124,802.70
36,654.09 36,654.09
16,190.07 16,190.07
183,638.82 183,638.82
21,626.19 21,626.19
l,8~2, 722.67 1,862,722.67
57.
THE CITY OF SALINA
Saline County, Kansas
WATER AND SEWAGE FUND
COMPARATIVE PLANT AND PROPERTY STATEMENT
Schedule 22
(Cont'd.)
December 31,
1973 1972
Increase
or
(Decrease)
PLANT, MAINS, EQUIPMENT AND OTHER
PROPERTY (Cont'd.)
General Equipment
Trucks and compressors
Laboratory equipment
Storage building
Chlorinator equipment
Water office improvements
Sewage Plant
Sewage plant and equipment
Sewage lines
$ 141,918.84 $ 124:,628.09 $17,290.75
14,622.45 8~, 609 . 06 6,013.39
13,072.04 13,,072.04
16,311. 34 14,836.34 1,475.00
8,500.59 8,500.59
194,425.26 169,646.12 24,779.14
600,000.00 600,000.00
300,823.75 300,823.75
900,823.7~ 900,823.75
Expenditures from Water and
Revenue Bond Proceeds
Sewage plant improvements
Sewage truck lines
Addition to softening and
plant
Key Acres water tower
Miscellaneous
Sewage
treatment
812,916.26 812,916.26
542,913.63 542,913.63
494,219.18 494,219.18
123,457.85 123,1,,57.85
1,178,844.67 1,144,229.42 34,615.25
3,152,351. 59 3,117,736.34 34,615.25
$9,3"¡O,131. 73 $~253,374.45 $86,757.28
$9,422,342.38 $9,324,895.83 $97,446.55
TOTAL PLANT, MAINS, EQUIPl-ŒNT
~~ OTHER PROPERlY
TOTAL PLANT AND PROPERTY
58.
STATE OF KANSAS
CITY A UD IT
QUESTIONNAIRE
City of
~.<Il;n.<l
, Kansas
PREPARED By
AUDITOR OF STATE
May, 1971
It is requested that the following questions, together with their answers, be filed with the Auditor of State
as a part of each report upon audits of cities. At the option of the auditor, these questions and answers may be
included with copies of audit reports filed with the governing body and county attorney.
In either case, if the answer to any question indicates a statutory violation or improper accounting procedure,
the matter should be fully discussed in the text of the audit report. If proper answer to any question cannot be
made in a few words, or if discussion or explanation seems desirable, please include such comments in text of re-
port and insert reference to page number in questionnaire answer blank.
(This fonn may be incorporated into the report or the questions and answers typed in Ùle accountant's rcp'Jrt. ]f typed,
questions not applicable to a particular city may be omitted and the words "not applicable" inserted after the question number.)
GENERAL
1. '\Vere all inter-fund transactions made upon statutory authority?
Yes
2. Do the minutes contain adequate record of the proceedings of the governing body?
Yes
3. Were the minutes properly approved by the governing body?
Yes
4. Were the directives of the governing body performed?
Yes
5. Were depositories designated for all city officials receiving public moneys?
Yes
6. Were all public moneys deposited in designated depositories?
Yes
7. Are bank deposits of all city officials adequately secured?
Yes
8. Did the governing body approve all collateral security and personal bonds furnished to secure deposits?-
Yes
9. Are fidelity bonds and insurance policies properly filed?
Yes
10. Were all investments made in accordance with statutory provisions?
11. Were the proceeds from City obligations expended for authorized purposes? ' Yes
Yes
12. \\7ere sinking or reserve funds created and used in accordance \-vith statutory provisions?
Yes
13. Were claims itemized, internally audited and approved as provided by law?
Yes
14. Did the governing body pass appropriation ordinances?
Yes
15. Were expenditures from any City funds made in violation of the budget law?
No
16. Were expenditures from any City flmds made in violation of the cash basis law?
No
17. Was there an inventory of public personal property on file?
18. Are there lease-rental or extended contracts in force? Yes, accounting machine leased on
month-to-month basis
19. List officers or employees who received compensation in excess of legal authorization. (List shall include
Yes
amounts received for personal services or unauthorized mileage.)
Nnnp
20. List officers who maintained an unauthorized petty cash fund.
None
21. List officers who made miscellaneous purchases or allowances from current collections.
None
22. List officers who failed to furnish required surety bond.
None
CITY CLERK
23. List required foIms which are not being properly used.
None
24. Did Clerk maintain a fund ledger?
Yes
25. Did Clerk maintain an adequate record of fund encumbrances for all City funds?
Yes
26. Did Clerk maintain budget appropriation accounts?
Yes
27. Did Clerk reconcile fiscal agency balance with outstanding matured bonds and coupons?
Yes
28. Were all unpaid special assessments certified to tlle County Clerk to be placed on the tax roll?
Yes
29. Did banks furnish Clerk monthly statements of daily balances?
Yes
CITY TREASURER
30. List required foIms which are not being properly used.
Nonp
31. Did the Treasurer make disbursements of City funds without properly signed warrants or warrant checks?
No
32. Did the City Treasurer maintain records independently of those maintained by the City Clerk?--y-e.s.----
33. Were there frequent reconciliations between the City Treasurer and the City Clerk?
Yes
34. Did tlle Treasurer maintain a chronological record of collateral securities pledged to secure deposits? Y PF'.
35. Did the City Treasurer pay over to Library Treasurer all funds collected, within budget appropriation, for
the maintenance of such public Hbrary?
Yes
36. Did the City Treasurer publish quarterly reports as required by statute?
Yes
33,8816,5-20.78.79
UTILITIES
37. What Utilities were owned or operated by the City?
Water and Sewage Department
38. list required utility forms which are not being properly used.
Non£>
39. Were operations of the Utilities budgeted?
Yes
40. Were transfers of utility surpluses anticipated in the current budget?
Yes
41. Were there utility revenue bonds outstanding?
Yes
42. Were utility fund transfers made in compliance with statutory provisions?
Yes
43. Was petty cash fund confined to statutory use?
Yes
Yes
44. Were charges for utility services in accordance with rates fixed by ordinance?
45. Was a customers' control account properly maintained?
Yes
46. Did the balance in the customers' deposit fund equal the amount of deposits in effect?-
47. Was interest credited on deposits annually as required by statute?
Yes
No - Interest paid at date of
withdrm.;ra1
REQUIRED STATEMENTS
48. Comparison of Cash Balances with Encumbrances, , , . , . . . . . , . . , . ' . . . . . . . . . , . . . . . .
49. Statement of Revenue, Estimated and Actual-by item, by fund, differences stated. , . , .
50. Statement of Expenditure Compared With Appropriations-by item, by fund, diller-
ences stated-Reflect Reimbursed Expense Adjustments, if any. . , . . . . . . . . . . . . . . . . , . .
51. Statement of Revenue and Expenditure for Non-budgeted Funds-by item, by fund, . .
52. Classified Statement of Receipts, Disbursements and Balances of Cash, Composition of
Ending Cash Balance"......,........,..,.....,.",., ",.,.....,..,........,...
53. Statement of Police Court-Receipts and Disbursements, . , . . , . , , . . . . . , . . . . . . . . . . . . .
54. Summary Statement of Bonds of Indebtedness, Temporary Notes, and No-fund \Varrants,
55. Reconcilement of Fiscal Agency Balance.
Identify Unredeemed Matured Bonds and
Coupons ..,."...."........,..,.......,.."..,.".".......,.....,............
56. Schedule Summarizing Insurance on City Property,
,..,.".".....,....,... .
57. Schedule of Fidelity Bonds of Elective and Appointive Officers. , , , , , . . ' . . , . . . . , . . . .
Reference
~-.dYk-L-
Schedules 4 and 5
Schedules 6 and 7
Schedule 8
S('hedu]f> 2
Sl"'hpt1111p 1')
Schedule 9
Schedule 10
Schedule 11
Schedule 12
58. ScheduleofInvestmentsbyFunds.,..........,..,......,.........................
59. Comparison of Depository Security with Balances on Deposit. . . . . . . . . . . . . . . . . . . . . . .
Srhpn1l1p 11
Schedule 14
61. Other Public Activities-Refer to General Provisions, Section 1-19. . . . . . . . . . . . . . . . . . ,
60. Schedule of Audit Adjustments..................".........,..................... None
63. Income and expense statement of municipal utilities:
62. Exceptions noted in viewing all claim vouchers. . , .' . ' , . , . . . . . . . . . . . . . . . . . . . . , . . . . ., None
Water. . . . . . . . . . . . . . . . . . . . . . . . . . , . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Schedule 17
Electric ...............,............................,..............,......... None
Gas ...............,...,..,................................................. NGae
53.8816.5-20.78,79
~
S.71.2M
STATE OF KANSAS
AUDITOR='S QUESTIONNAIRE
City of
Salina
, Kansas
PREP ABED B y
AUDITOR OF STATE
May, 1971
It is requested that the following questions, together with specifìc answers, be filed with the Auditor of State as a part of
each city audit report. If the auditor finds it necessary to qualify his "yes" or "no" answers, he shall makE! appropriate comment.
1. Were all statutory violations discovered cited in the audit report?
Yes
2. Did the county attorney's copy of the audit report include the audit questionnaire?
Yes
3. Will the working papers for this report be accessible, for a reasonable length of time, for investigation upon
direction of the State Municipal Accounting Board?
Yes
4. If the author's statement is qualified, was full disclosure of cause cited in the audit repoJrt?
Yes
5. Were audit adjustments placed of record during the course of the examination?
None
6. Was all cash on hand accounted for as required by Regulation 1-12 of the Audit Prognun?
YPP,
7. Was all cash in banks accounted for as required by Regulation 1-14 of the Audit Program?
Yp!"'.
8. Was all revenue accounted for as required by Regulation 1-17 of the Audit Program?
Yp!"'.
9. Were all expenditures accounted for as required by Regulation 1-18 of the Audit Program?
Yp!"'.
10. Was all income from investments accounted for and credited to proper funds?
Yp!"'.
11. Were confìnnations obtained covering federal and state grants, subsidies, and apportionments?
Yes
12. List all boards, commissions, departments, or subdivisions of City not audited, giving reasons for their Olnis-
sion.
Firemen's Relief Association. Municipal Band Board. The Saline County-City
Building Authority. Joint City-County Board of Health, Salina Airport
Authority
13. Did you develop a reconcilement of reported collections with credits to customers' accounts?
Yes
14. Approximately what percentage of charges to customers' accounts were test-checked by re-computation of
billings from service rates applied to quantities as shown by the original meter reading; slip?
5%
15. Were fees collected by the city librarian deposited with the treasurer of the library board?
N/A
16. Were all expenditures for the library made on order of the library board?
N/A
17. Were funds of the firemen's relief association invested or disbursed for authorized purposes?
N/A
18. Were all disbursements from the band fund made in accordance with the tenDS of a written contract with the
band?
Yep,