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Audit - 1975 THE CITY OF SALINA Saline County, Kansas REPORT ON EXAMINATION December 31, 1975 WOODS & DURHAM Certified Public Accountants Salina, Kansas Exhibit "A" Exhibit "B" Exhibit "c" Exhibit "D" Exhibit "E" Exhibi t "F" THE CITY OF SALINA Saline County, Kansas TABLE OF CONTENTS Aud i tor's Repo r t . . . . . . . . . . . . . . . . . . . . . . . . . . Financial Statements General Fund - Balance Sheet, Summary Statement of Revenues, Expenditures and Changes in Fund Balance. . . . . . . . . Special Revenue Funds - Balance Sheet, Statement of Revenues, Expenditures and Changes in Fund Balance Social Security. . . . . . . . . . . . . . . . . . . . . . . Emergency Preparedness. . . . . . . . . . . . . . . . . . . . Revenues Collected in Advance. . . . . . . . . . Street Machinery. . . . . . . . . . . . . . . . . . . . Kansas Public Employees' Retirement System. . . . Special Gasoline Tax. . . . . . . . . . . . . . . Federal Revenue Sharing. . . . . . . . . . Special Reserve. . . . . . . . . . . Human Relations Commission. . . . . . . . . . . . . . . Emergency Jobs Act. . . . . . . . . . . . . Workmen's Compensation. . . . . . . . . . . . . . . . . Firemen's Pension. . . . . . . . . . . . . . . . Policemen's Pension. . . . . . . . . . . . . . . . . . Kansas Firemen's and Policemen's Retirement. . . . . . . . . Ambu lance . . . . . . . . . . . . . . . . . . . . Debt Service Funds - Balance Sheet, Statement of Revenues, Expenditures and Changes in Fund Balance Bond and Interest. . . . . . . . . . . . . . . . Capital Project Funds - Balance Sheet, Statement of Expendi- tures Compared with Appropriations and Analysis of Changes in Fund Balance Construction Enterprise Funds - Comparative Balance Sheet, Comparative Statement of Revenue and Expense, Comparative Statement of Changes in Contributions and Retained Earnings, Statement of Changes in Financial Position, and Statement of Revenues, Expenditures and Changes in Fund Balance Wa ter and Sewerage. . . . . . . . . . . . . . . .. . . . . . . Golf Course . . . . . . . . . . . . . . . .' . . . . . . Sani ta t ion. . . . . . . . . . . . . . . . . Paper Recycling. . . . . . . . . . . . . . . . . . . . Parking Meters. . . . . . . . . . . . . . . . . . . . . . . . Solid Waste Disposal. . . . . . . . . . . . . . . . . . . . . Intragovernmental Funds - Balance Sheet, Statement of Revenues, Expenditures and Changes in Fund Balance Central Garage. . . . . . . . . . . . . . . . . . . . . . . . Page Number 1- 2 3- 4 5 6- 7 8 9 10 11- 12 13 - 14 15 16- 17 18 19 20 21 22 23 24- 25 26- 27 28- 34 35- 39 40- 44 45 - 49 50- 54 55- 59 60- 61 Exhibit "G" Exhibit "R" Exhibit "I" Exhibit "J" Exhibit "K" Schedule 1 Schedule 2 Schedule 3 Schedule 4 Schedule 5 Schedule 6 Schedule 7 Schedule 8 Schedule 9 Schedule 10 Schedule 11 Schedule 12 THE CITY OF SALINA Saline County, Kansas TABLE OF CONTENTS (Cont'd.) Financial Statements (Cont'd.) Trust and Agency Funds - Balance Sheet, Statement of Revenues, Expenditures and Changes in Fund Balance Community Development. . . . . . . . . . . . . . . . . HUD Community Development. . . . . . . . . . . . Ceme tery Endowment. . . . . . . . . . . . . . . . . . Mausoleum Trust. . . . . . . . . . . . . . . . . . . . Mausoleum Endowment. . . . . . . . . . . . . . . State Withholding Tax. . . . . . . . . . . . . . . . . General Fixed Asset Group of Accounts. . . . . . . . . . . General Long-Term Debt Group of Accounts. . . . . . . . . . . . Combined Statement of Changes in Fund Balance . . . . Notes to Financial Statements. . . . . . . . . . . . . . . Supplemental Information Comparison of Cash Balances with Encumbrances and Composition of Cash Balances. . . . . . . . . . . . . . . . . . . . Reconcilement - Unencumbered Cash Balance with Fund Balance General Fund - Detailed Revenues and Expenditures. . . . . . . . Construction Fund - Receipts, Expenditures and Balances. . . . . Water and Sewerage Fund Water and Sewerage Fund Consolidated. . . . Comparative Operating Expenses Statement. . . . . . . . . . . Comparative Plant and Property Statement . . . . . Investments........................... Statement of Indebtedness. . . . . . . . . . . . . . . . . Reconciliation - Fiscal Agency Balance. . . . . . . . . . Insurance Coverage. . . . . . . . . . . . . . . . . . . . Fidelity Bonds. . . . . . . . . . . . . . . . . . . . . . . . . Funds on Deposit Compared with Depository Security. . . . Municipal Court. . . . . . . . . . . . . . . . . . . . . . . . . Statutory Compliance Questionnaire Page Number 62- 63 64- 65 66 67 68 69 70 71 72- 73 74- 76 77 - 78 79 80-100 101 102-103 104-106 107-108 109 110-112 113 114 115 116 117 WOODS & DURHAM rk~l~d [j1ui/ú; vfœowzlanú ~aI/n<l &/liceJ in Cf]/<l1/ ~nk1 $,,/m"l 605 W. NORTH STREET p.O. BOX 1324 SALINA, KANSAS 67401 TELEPHONE - P.REA 913 - 825.5494 City Commission The City of Salina Salina, Kansas We have examined the financial statements of the various funds and account groups listed in the table of contents of the City of Salina, Kansas, for the years ended December 31, 1974, and December 31, 1975. Our examination was made in accordance with generally accepted auditing standards and the Minimum Standard Audit Program approved by the Municipal Accounting Board March 19, 1976, and accordingly included such tests of the accounting records and such other auditing procedures as we con- sidered necessary in the circumstances. Generally accepted accounting principles require fixed assets to be recorded in the general fixed asset group of accounts at cost. The fixed asset additions acquired in 1974 and 1975 were recorded in the general fixed assets at cost. All fixed as- sets acquired in prior years were recorded at insurance values. No depreciation has been recorded on the fixed assets of the Enterprise Funds as required by gen- erally accepted accounting principles. Special assessments are accounted for in the Bond and Interest Fund and Statement of Long-Term Debt, rather than a special assessment fund, as required by generally accepted accounting principles, because of Kansas law which provides that special assessment debt may be treated as are other general obligations of the city. Generally accepted accounting principles require recording of accrued interest pay- able on revenue bonds outstanding at the Balance Sheet date. As noted in Footnote 7 the City did not accrue interest payable on revenue bonds at December 31, 1974 and 1975. In our opinion, except for the transactions relating to general fixed assets, Spe- cial Assessments, and the recording of depreciation and accrued interest payable in Enterprise Funds, the aforementioned financial statements present fairly the financial position of the various funds and account groups of the City of Salina at December 31, 1974, and December 31, 1975, and the results of operations of such funds and the changes in financial position of the Enterprise Funds for the year then ended, in conformity with generally accepted accounting principles applied on a consistent basis. 1. The City of Salina Page 2 The accompanying supplemental schedules and related information presented on Sched- ules 1 through 13 are not necessary for a fair presentation of the financial state- ments, but are presented as additional analytical data. This information has been subjected to the tests and other auditing procedures applied in the examination of the financial statements mentioned above and, in our opinion, is fairly stated in all material respects in relation to the financial statements taken as a whole. WOODS & D1JR1Lfill. / .j. .11 _iJl) /~ LL/ ¿i2¿~ V-~þA-l4:7/u-<J October 29, 1976 cd jj;¡~ dJ¡~CPA In charge of and actively engaged on this audit 2. Cash Liabilities Accounts Payable Fund Balance Total THE CITY OF SALINA Saline County, Kansas GENERAL FUND Exhibit "A" BALANCE SHEET December 31, 1974 1975 ASSETS $114,632.76 $266,788.27 LIABILITIES AND FUND BALANCE $ 32,805.01 81,827.75 $ 32,583.19 234,205.08 $266,788.27 $114,632.76 GENERAL FUND SUMMARY STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 1975 (Over) Under Actual Actual Bud~ Budget Revenues Taxes $1,503,920.84 $1,658,686.01 $l,640, 763.92 $ (17,922.09) Licenses, fees and permits 79,520.25 l05, 732. 62 76,820.00 (28,9l2.62) Intergovernmental revenue l58,l43.03 208,174.l8 203,905.00 (4,269.l8) Charges for services l66,057.87 203,660.50 l83,875.00 (l9,785.50) Fines and forfeitures l65,539.64 l5l,082.50 l60,OOO.00 8,917.50 Transfers from other funds 6,453.39 Reimbursed expenses 19l,090.55 l86,888.47 188,451. 00 1,562.53 Miscellaneous 33,327.61 38,736.88 26,510.00 (l2,226.88) Sale of commodities l2,271.49 l8,367.57 11 , 000. 00 (7,367.57) Franchise fees 273,742.45 347,689.93 255,000.00 (92,689.93) Noxious weed, tree maintenance, f1oodworks revenue 43 , 72 9. 68 Total Revenues 2,633,796.80 2,919,018.66 2,746,324.92 $(l72,693.74) 3. THE CITY OF SALINA Saline County, Kansas GENERAL FUND Exhibit "A" (Cont'd.) SUMMARY STATEMENT OF REVENUES. EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 1975 (Over) Under Actual Actual Budget Budget Expenditures City Commission $ 39,487.37 $ 47,068.20 $ 42,450.00 $ (4,6l8.20: City Manager 34,8l9.25 39,534.10 3/,970.00 (l,564.l0: City Clerk and Treasurer 93,735.98 99,841. 04 98,975.00 (866.04: City Attorney 2l,012.07 22,967.24 2¿~,265.00 l,297.76 Municipal Court 22,179.96 24,861.91 23,970.00 (891. 91: Buildings 5l,595.98 58,308.38 46,6l0.00 (11,698.38: Engineering 94 , 277 . 71 109,701. 21 105,455.00 (4,246.2l: Fire 615,285.57 620,486.55 623,850.00 3,363.45 Inspection 49,463.73 54,373.44 56,915.00 2,541. 56 Park 115,233.39 133,675.29 136,580.00 2,904.71 Police 732,546.2l 753,837.87 767,305.00 13,467.13 Street 233,69l.80 276,722.27 305,735.00 29,012.73 Street lighting 87,576.2l 93,Ol8.55 98,000.00 4,981.45 Traffic and safety 51,323.36 48,941. 04 48,805.00 (13 6. 04: Swimming pools l7, 921. 13 24,493.81 21,285.00 (3,208. 8l) Administration and planning 63,293.91 73,753.65 73,705.00 (48.65) Insurance and contingencies 96,262.63 100,821. 90 81,790.00 (19,031. 90) Band l2,500.00 l5,000.00 l5,OOO.00 Cemetery 28,180.85 29,058.66 28,750.00 (308.66) General improvement 27,536.00 32,518.83 31,590.00 (928.83) Memorial Hall 13,091. 20 12,504.74 11,250.00 (1,254.74) Public health 4l,735.00 20,165.00 20,165.00 Industrial development 19,702.51 19,988.38 20,000.00 l1. 62 Noxious weeds 7,830.20 11 , 714 . 54 7,835.00 (3,879.54) Tree maintenance 8,559.89 10,640.94 9,815.00 (825.94) F100dworks 30,979.38 32,643.79 30,805.00 (1,838.79) Total Expenditures 2,609,821.29 2,766 ,641. 33 2,768,875.00 $ 2,233.67 Revenues Over (Under) Expenditures $ 23,975.51 152,377 . 33 Fund Balance - January l, 1975 81,827.75 $ 82,400.30 $ 572.55 Fund Balance - December 3l, 1975 $ 234,205.08 4. Cash Fund Balance Revenues Ad valorem property tax Delinquent tax L.A.V.T.R. Contributions employer Employees and Total Revenues Expenditures Deductions remitted Revenues Over (Under) Expenditures Fund Balance January 1, 1975 Fund Balance - December 31, 1975 THE CITY OF SALINA Saline County, Kansas SPECIAL REVENUE FUNDS SOCIAL SECURITY Exhibi t "B" BALANCE SHEET December 31, 1974 1975 ASSETS $30,626.70 $39,606.20 LIABILITIES AND FUND BALANCE $30,626.70 $39,606.20 SOCIAL SECURITY STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 1975 (Over) Under Actual Actual Budget Budget $ 45,194.63 $ 62,591.92 $ 63,343.87 $ 751.95 677.75 959.05 400.00 (559.05) 2,110.03 142,221.20 128,309.93 121,000.00 (7,309.93) 190,203.61 191,860.90 184,743.87 $ (7, 117 . 03 ) 182,878.04 182,881.40 195,000.00 $ 12,118.60 $ 7,325.57 8,979.50 30,626.70 $ 10.256.13 $ (20,370.57) $ 39,606.20 5. THE CITY OF SALINA Saline County, Kansas SPECIAL REVENUE FUNDS EMERGENCY PREPAREDNESS BALANCE SHEET December 31, 1974 1975 Cash ASSETS $1,695.70 $ 333.78 LIABILITIES AND FUND BALANCE $1,695.70 $ 333.78 Fund Balance EMERGENCY PREPAREDNESS STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 3l, Revenues Other apportionments - Grants Matching funds - State of Kansas Reimbursement of expenditures 1974 1975 Actual Actual Budget $16,600.00 $22,400.00 ~. ~, 16,044.5l l6,786.02 l,597.28 2,323.93 34,241. 79 4l,509.95 Total Revenues Expenditures Personal Services Salaries - Department head 23,405.95 26,188.02 $ 851. 91 872.47 3,385.04 3,601.60 1,054.97 765.00 116.84 181. 04 63.20 36.52 49.00 48.00 l,295.2l 1,476.06 1,525. 71 1,847.80 621. 72 739.53 357.05 285.74 686.28 296.65 600.76 491. 75 10,607.69 10,642.16 Contractual Services Auto use allowance Telephone and telegraph Traveling expense Postage Printing office forms Insurance - Motor vehicles Social Security Employees' retirement Group insurance Repair - Machinery and equipment Repair - Radio equipment Other contractual services Exhibit "B" (Cont'd.) (Over) Unde] Budget $ $ 6. THE CITY OF SALINA Saline County, Kansas SPECIAL REVENUE FUNDS EMERGENCY PREPAREDNESS Exhibit "B" (Cont'd.) STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, Sundry Expenditures Organizational dues 1974 1975 (Over) Unde] Actual Actual Budget Budget $ l56.63 $ 109.0l $ $ 338.75 507.49 2.00 5.50 114 . 37 439.89 l32.85 60.96 17 .70 19.29 24.17 l23.65 763.89 l,288.37 22.00 32.00 Expenditures (Cont'd.) Materials and Supplies Office supplies Motor vehicles - Gas and oil Motor vehicles - License tags Other operating supplies Machinery and equipment Paint and painting supplies Other repairs and maintenance Radio parts Capital Outlay Equipment Total Expenditures l71. 80 4,721. 32 34,971. 33 42,871.87 $ (729.54) (1,361. 92) l,695.70 $= $ 333.78 $ Revenues Over (Under) Expenditures Fund Balance - January 1, 1975 $ Fund Balance - December 31, 1975 7. Cash Fund Balance Revenues Licenses, fees and permits Expenditures To fund accounts Revenues Over (Under) Expenditures Fund Balance - January 1, 1975 Fund Balance - December 31, 1975 THE CITY OF SALINA Saline County, Kansas SPECIAL REVENUE FUNDS REVENUES COLLECTED IN ADVANCE Exhibit "B" (Cont'd.) BALANCE SHEET December 31, 1974 1975 ASSETS $22,900.64 $33,896.4l LIABILITIES AND FUND BALANCE $22,900.64 $33,896.4l REVENUES COLLECTED IN ADVANCE STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 3l, 1974 1975 Actual Actual $22,900.64 $33,896.4l $ 20,195.05 22,900.64 $ 2,705.59 lO,995.77 22,900.64 t $33,896.41 Budget (Over) Under Budget $ $ $ 8. THE CITY OF SALINA Saline County, Kansas SPECIAL REVENUE FUNDS STREET MACHINERY Exhibit liB" (Cont'd.) BALANCE SHEET December 31, 1974 1975 ASSETS Total Assets $ 9,353.69 $ 2,622.44 17,000.00 25,000.00 $26,353.69 $27,622.44 LIABILITIES AND FUND BALANCE $~353. 69 $27,622.44 Cash Investments Fund Balance STREET MACHINERY STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, Expenditures 1974 1975 (Over) Under Actual Actual Budget Budget $ 898.30 $ 1,268.75 $ $ ----=- $ $ 898.30 1,268.75 26,353.69 $ $ ---- $27,622.44 Revenues Interest from investments Revenues Over (Under) Expenditures Fund Balance - January 1, 1975 Fund Balance - December 31, 1975 9. THE CITY OF SALINA Saline County, Kansas SPECIAL REVENUE FUNDS KANSAS PUBLIC EMPLOYEES' RETIREMENT SYSTEM Exhibit "B' (Cont'd. ) Cash Fund Balance BALANCE SHEET December 3l, 1974 1975 ASSETS $2l,502.62 $l5,801.2l LIAB ILITIES AND FUND BALANCE $2l,502.62 $l5,801.2l KANSAS PUBLIC EMPLOYEES' RETIREMENT SYSTEM Revenues Ad valorem property taxes Delinquent tangible taxes Contributions by employees and employer L.A.V.T.R. Total Revenues Expenditures Employees' retirement remitted Revenues Over (Under) Expenditures Fund Balance - January 1, 1975 Fund Balance - December 31, 1975 STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 1975 (Over) Unde Actual Actual Budget Budget $ 49,989.73 $ 56,899.73 $ 57,9l9.42 $ 1,Ol9.69 732.63 l, 031. 24 300.00 (731. 24 lOO,876.31 82,l93.08 87,000.00 4,806.92 2,273.l0 153 ,871. 77 140,l24.05 lli-5, 219.42 $ 5,095.37 l44,384.73 145,825.46 155,000.00 $ 9,174.54 $ 9,487.04 (5,701.41) 21,502.62 $ 9,780.58 $ ( 11 , 72 2. 04 $ l5, 801. 21 10. THE CITY OF SALINA Saline County, Kansas SPECIAL REVENUE FUNDS SPECIAL GASOLINE TAX BALANCE SHEET December 31, Exhibit "B" (Cont'd.) 1974 1975 ASSETS Cash $28,412.07 $36,429.58 LIABILITIES AND FUND BALANCE Liabilities Accounts Payable Fund Balance $ 205.29 28,206.78 $ 4,425.3l 32,004.27 Total Liabilities and Fund Balance $28,412.07 $36,429.58 SPECIAL GASOLINE TAX STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 1975 (Over) Under Actual Actual Budget Budget Revenues State gasoline tax $312,796.26 $315,824.32 $295,550.00 $(20,274.32) Adjustment prior years encumbrances 15.04 Total Revenues 312,811.30 315,824.32 295,550.00 $(20,274.32) Expenditures Personal Services Salaries - Regular employees Salaries - Part time employees l6,574.54 l8,851.46 l8,960.00 $ 108.54 1,584.50 3,982.50 3,120.00 (862.50) 18,159.04 22,833.96 22,080.00 (753.96) 93,518.14 62,450.00 63,120.00 670.00 Contractual Services Other contractual services l1. THE CITY OF SALINA Saline County, Kansas SPECIAL REVENUE FUNDS SPECIAL GASOLINE TAX Exhibit liB" (Cont'd.) STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 3l, 1974 Actual 1975 Actual ~3udget (Over) Unde Budget Expenditures (Cont'd.) Materials and Supplies Signs Asphalt and road oil Cement and cement products Paint and painting materials Sand, gravel, rock and chat Sundry Expenditures Transfer to General Operating $ 5,l40.89 $ 3,357.39 $ 3,500.00 $ 142.6l 2,660.79 lO,660.03 9,130.00 (l,530.03 11,558.42 lO,498.22 8,800.00 (1,698.22 9,132.39 11,836.89 7,260.00 (4,576.89 2,812.74 4,932.05 5,000.00 67.95 31,305.23 41,284.58 33,690.00 (7,594.58 182,427.63 170,950.00 lßO,951.00 10,001. 00 Capital Outlay Traffic control equipment Total Expenditures l4 , 613. 11 340,023.l5 14,508.29 12,460.00 (2,048.29 Revenues Over (Under) Expenditures $(27,211.85) 3l2,026.83 3,797.49 312,301.00 $ 274.17 Fund Balance - January 1, 1975 28,206.78 $ 16,571.00 $(11,635.78 Fund Balance December 31, 1975 $ 32,004.27 12 Cash Investments Total Assets Liabili ties Accounts Payable Fund Balance THE CITY OF SALINA Saline County, Kansas SPECIAL REVENUE FUNDS FEDERAL REVENUE SHARING Exhibit liB" (Con t 'd.) BALANCE SHEET December 3l, 1974 1975 ASSETS $250,956.64 217,313.00 $125,660.06 209,978.00 $335,638.06 $468,269.64 LIABILITIES AND FUND BALANCE $166,536.64 301,733.00 $ 96,196.3l 239,441. 75 $335,638.06 Total Liabilities and Fund Balance Revenues Grants - Government Interest on investments Total Revenues Expenditures Personal Services Salaries - Regular employees Contractual Services Other contractual services $468 'c269. 64 FEDERAL REVENUE SHARING STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 3l, 1974 1975 (Over) Under Actual Actual Budget Budget $550,584.00 $311,335.00 $311,333.00 $ (2.00) 20,910.60 14,050.80 12,000.00 (2,050.80) 571 ,494. 60 325,385.80 323,333.00 $ (2,052.80) 105,874.23 100,000.00 $ (5,874.23) 271,509.27 19,340.39 65,422.00 46,081. 61 13. THE CITY OF SALINA Saline County, Kansas SPECIAL REVENUE FUNDS FEDERAL REVENUE SHARING STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 3l, Expenditures (Cont'd.) Materials and Supplies Cement and cement products Sand, gravel and rock Water pipe Sundry Expenditures Transfer to other funds Capital Outlay Land Building Equipment Auto Traffic regulation equipment Tennis court improvements Motorcycles Trucks Total Expenditures Revenues Over (Under) Expenditures Fund Balance - January 1, 1975 Fund Balance - December 31, 1975 1974 Actual 1975 Actual $ $ 3,291. 45 $ 148.50 13,038.30 2,133.27 13,186.80 5,424.72 30,000.00 40,000.00 44,777.00 132,144.47 37,763.00 8,165.54 28,138.29 l2,397.l7 6l,208.41 41,547.95 79,182.00 2,430.00 20,272.l8 250,988.30 565,684.37 217,037.71 387,677.05 $ 5,810.23 (62,291. 25) 30l,733.00 $239 ,441. 75 Exhibit liB" (Cont 'd. ) Budget (Over) Under Budget $ (3,291.45) (2,133.27) (5,424.72) 40,000.00 52,500.00 40,102.83 4¿f,200.00 (17,008.41) 3)7,000.00 (4,547.95) 50,000.00 (29,182.00) (2,430.00) 16,300.00 (3,972.18) 200,000.00 (17,037.71) 405,422.00 $ 17,744.95 $ 82,089.00 $219,644.00 l4. Cash Fund Balance Revenues Expenditures Revenues Over (Under) Expenditures Fund Balance - January l, 1975 Fund Balance - December 31, 1975 THE CITY OF SALINA Saline County, Kansas SPECIAL REVENUE FUNDS SPECIAL RESERVE BALANCE SHEET December 31, 1974 ASSETS $33,158.72 LIABILITIES AND FUND BALANCE $33 , 158 . 72 SPECIAL RESERVE STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, Exhibi t liB! (Cont'd.) 1975 $33,158.72 $33,158.72 1974 1975 (Over) Under Actual Actual Budget Budget $ $ $ $ $ $ 33,158.72 $- $ $33,l58.72 15 Cash Liabilities Accounts Payable Fund Balance THE CITY OF SALINA Saline County, Kansas SPECIAL REVENUE FUNDS HUMAN RELATIONS COMMISSION BALANCE SHEET December 3l, 1974 ASSETS $7,009.02 LIABILITIES AND FUND BALANCE $ 711. 98 6,297.04 $7,009.02 Total Liabilities and Fund Balance HUMAN RELATIONS COMMISSION STATEMENT OF REVENUES, EXPENDITURES AND CliANGES IN FUND BALANCE For Years Ended December 31, Revenues Reimbursement of expenditures Transfer from other funds Total Revenues Expenditures Personal Services Salaries - Department head Salaries - Regular employees 1974 Actual 1975 Actual $ 3.91 20,000.00 $ 160.00 20,000.00 20,003.91 20,160.00 6,297.40 2,398.16 12,655.66 6,426.50 8,695.56 19,082.16 Budget (' ~, 1975 $3,744.60 $ 3,744.60 $3,744.60 Exhibi t "B" (Cont'd.) (Over) Unde: Budget $ $ 16. THE CITY OF SALINA Saline County, Kansas SPECIAL REVENUE FUNDS HUMAN RELATIONS COMMISSION Exhibi t liB" (Cont'd.) STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 1975 (Over) Unde Actual Actual Budget Budget Expenditures (Cont'd.) Contractual Services Telephone and telegraph $ 285.94 $ 504.70 .' $ ,? Traveling expenses 655.05 l,235.13 Postage 79.85 104.8l Printing office forms 60.00 131. 25 Repair - Machinery and equipment 252.32 397.29 Other professional services 327.74 Repair - Furniture, Office equipmen:: 57.02 Insurance - Motor vehicles 69.00 Repair - Tires 3.00 1,660.90 2,502.20 Materials and Supplies Office supplies 274.77 201. 19 Books and periodicals 505.56 513.00 Motor vehicle - Fuel and lubrication l59 . 60 3l1.89 Motor vehicle - Tires 82.08 Motor vehicle - License tags 2.00 1,022.01 1,028.08 Sundry Organizational dues 140.00 100.00 Capital Autos 675.00 Furniture 730.00 Office mechanical equipment 783.40 2,188.40 Total Expenditures 13,706.87 22,712.44 $ Revenues Over (Under) Expenditures $ 6,297.04 (2,552.44) Fund Balance - January 1, 1975 6,297.04 <' $ .~ Fund Balance - December 31, 1975 $ 3,744.60 17 THE CITY OF SALINA Saline County, Kansas SPECIAL REVENUE FUNDS EMERGENCY JOBS ACT Exhibi t liB " (Cont' d.) BALANCE SHEET December 31, 1974 1975 ASSETS Cash $ $23,062.65 LIABILITIES AND FUND BALANCE Fund Ba lance $ $23,062.65 EMERGENCY JOBS ACT STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, Revenues Grants from Federal Government 1974 1975 (Over) Under Actual Actual Budget Budget $ $80,414.77 $ $ Expenditures Personal Services Salaries - Regular employees 53,229.13 2,215.79 1,667.20 240.00 4,122.99 57,352.12 23,062.65 $, $23,062.65 $ Contractual Services Social Security Insurance Medical services Total Expenditures $ Revenues Over (Under) Expenditures $ Fund Balance - January 1, 1975 $ Fund Balance - December 3l, 1975 18. THE CITY OF SALINA Saline County, Kansas SPECIAL REVENUE FUNDS WORKMEN'S COMPENSATION Exhibit liB" (Cont'd.) BALANCE SHEET December 3l, 1974 1975 ASSETS Cash $ $ 680.71 LIABILITIES AND FUND BALANCE Fund Balance $ $ 680.71 WORKMEN'S COMPENSATION STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 Actual 1975 (Over) Unde: Actual Budget Budget $32,085.71 ~?32, 000. 00 $ (85.71 31,405.00 32,000.00 $ 595.00 680.71 ~, $ ~) -- $ 680.71 Revenues Ad valorem $ Expenditures Contractual Services Revenues Over (Under) Expenditures $ Fund Balance - January l, 1975 Fund Balance December 31, 1975 19 Cash Investments Total Assets Fund Balance Revenues Ad valorem property tax Delinquent tax L.A.V.T.R. Interest from investments Contributions by employees Total Revenues Expenditures Sundry Expenditures Pensions paid Refunds Reserve Total Expenditures Revenues Over (Under) Expenditures Fund Balance - January 1, 1975 Fund Balance - December 31, 1975 THE CITY OF SALINA Saline County, Kansas SPECIAL REVENUE FUNDS FIREMEN'S PENSION Exhibi t liB" (Cont'd.) BALANCE SHEET December 31, 1974 1975 ASSETS $ 72,307.54 $ 78,l52.6l 94 , 304. 10 l56,400.00 $l66 ,611. 64 $234,552.61 LIABILITIES AND FUND BALANCE $l66, 6l1. 64 $234,552.61 FIREMEN'S PENSION STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 1975 (Over) Undel Actual Actual I;:udget Budget $102,712.45 $ 88,206.81 $ S8,667.82 $ 461. 01 1,617.52 2,079.61 400.00 (1,679.61: 5,126.29 2,904.10 6,601.29 6,600.00 (1. 29: 26,208.58 39,767.64 1'.0,000.00 232.36 138,568.94 136,655.35 135,667.82 $ (987.53: 67,143.00 66,529.25 67,145.00 $ 615.75 2l1.48 2, 185 . 13 2,000.00 (l85. 13: 25,000.00 25,000.00 67,354.48 68,714.38 94,145.00 $25,430.62 $ 71,214.46 67,940.97 166,611.64 $163,477.18 $ (3,134.46) $234,552.6l 20. Cash Investments Total Assets Fund Balance Revenues Ad valorem property tax Delinquent tax L.A.V.T.R. Interest from investments Contributions by employees Total Revenues Expenditures Sundry Expenditures Pensions paid Refunds Reserve Total Expenditures Revenues Over (Under) Expenditures Fund Balance - January 1, 1975 Fund Balance - December 31, 1975 THE CITY OF SALINA Saline County, Kansas SPECIAL REVENUE FUNDS POLICEMEN'S PENSION Exhibit liB" (Cont'd.) BALANCE SHEET December 3l, 1974 1975 ASSETS $ 30,261.84 79,305.00 $ 49,652.60 119,265.00 $109,566.84 $l68,917.60 LIABILITIES AND FUND BALANCE $l09,566.84 $168,9l7.60 POLICEMEN'S PENSION STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 1975 (Over) Unde1 Ac tua 1 Actual Budget Budget $32,870.26 $ 59,745.82 $ 59,916.10 $ 170.28 566.48 733.l4 200.00 (533.14: l,763.24 2,904.10 5,551.35 5,515.00 (36 . 35: 23,374.3l 33 ,439.71 38,000.00 4,560.29 61,478.39 99,470.02 103,631.10 $ 4,}61.08 24,602.00 35,8l4.75 29,670.00 $ (6, l44. 75: 883.45 4,304.51 2,000.00 (2,304.51; 25,000.00 25,000.00 25,485.45 40,119.26 56,670.00 $16,550.74 $35,992.94 59,350.76 109,566.84 $108,038.90 $(1,527.94) $168,917.60 21. THE CITY OF SALINA Saline County, Kansas SPECIAL REVENUE FUNDS KANSAS FIREMEN'S AND POLICEMEN'S RETIREMENT Exhibit "B" (Cont 'd.) BALANCE SHEET December 3l, 1974 1975 ASSETS Cash $23,5l8.l4 $24,838.24 LIABILITIES AND FUND BALANCE $23,5l8.14 $24,838.24 Fund Balance KANSAS FIREMEN'S AND POLICEMEN'S RETIREMENT STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 Actual 1975 Actual Budget (Over) Unde] Budget Revenues Ad valorem property tax Delinquent tax Contributions by employees Total Revenues $38,363.54 $22,057.26 ~;22, 070. 00 $ 12.74 674.73 50.00 (624.73: 8,768.15 11,869.29 l4,250.00 2 ,380. 71 47,131. 69 34,601. 28 36,370.00 $ l,768.72 Expenditures Sundry Expenditures Deductions remitted Refunds 23,577.34 36.2l 33,281. 18 55,000.00 $21,718.82 Total Expenditures 23,613.55 33,281. 18 55,000.00 $21,718.82 Revenues Over (Under) Expenditures $23,518.14 1,320.10 Fund Balance - January 1, 1975 23,518.14 $18,630.00 $(4,888.14) Fund Balance - December 31, 1975 $24,838.24 22. THE CITY OF SALINA Saline County, Kansas SPECIAL REVENUE FUNDS Exhibit "B" (Cont'd.) AMBULANCE BALANCE SHEET December 3l, 1974 1975 ASSETS Cash $ 6,432.95 $ 6,432.95 LIABILITIES AND FUND BALANCE $ 6,432.95 $ 6,432.95 Fund Balance AMBULANCE STATEMENT OF REVENUES, EXPENDITURES AND CI~GES IN FUND BALANCE For Years Ended December 31, 1974 Actual 1975 Actual Revenues Ambulance fees Transfers from other funds $40,355.11 17,275.00 $ Total Revenues 57,630.11 Expenditures Personal Services Salaries - Regular employees 47,220.65 Contractual Services Social Security Employees' retirement 3,410.97 3,200.99 Sundry Expenditures Transfer to other funds 6 ,611. 96 683.68 Total Expenditures 54,516.29 $ 3, 113.82 Revenues Over (Under) Expenditures Fund Balance - January 1, 1975 6,432.95 Fund Balance - December 3l, 1975 $ 6,432.95 23. THE CITY OF SALINA Saline County, Kansas DEBT SERVICE FUNDS BOND AND INTEREST Exhibit "c" BALANCE SHEET December 31, 1974 1975 ASSETS Cash $l76,390.87 $149,9l9.54 LIAB ILITIES AND FUND BALANCE $176,390.87 $l49, 919.54 Fund Balance BOND AND INTEREST STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 1975 (Over) Unde Actual Actual ~3udge t Budget Revenues Current tangible taxes $ 452,648.30 $405,435.56 $408,603.25 $ 3,167.69 Delinquent tangible taxes 8,639.47 9,319.6l 7,000.00 (2,319.61 Current special assessment tax 36l,047.52 312,192.37 31+4,440.00 32,247.63 Delinquent special assessment tax 72,226.11 108,214.60 15,000.00 (93,2l4.60 Interest on investments 28,282.95 2l,996.53 21,000.00 (996.53 Special assessments 8,583.8l 4,730.53 5,000.00 269.47 Transfers 64,490.00 67,000.00 67,000.00 Total Revenues 995,9l8.l6 928,889.20 868,043.25 $(60,845.95 24. THE CITY OF SALINA Saline County, Kansas DEBT SERVICE FUNDS BOND AND INTEREST STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 3l, Expenditures General bond principal General bond interest Curb, gutter and paving principal (CS) Curb, gutter and paving principal (POS) Curb, gutter and paving interest (CS) Curb, gutter and paving interest (POS) Sewer bond principal (POS) Sewer bond interest (POS) Fiscal Agency commission and postage Estimated interest on bonds to be issued Total Expenditures Revenues Over (Under) Expenditures Fund Balance - January 1, 1975 Fund Balance - December 31, 1975 1974 Actual $ 225,000.00 79,266.84 l80,068.78 404,931. 22 43,091. 68 88,717.51 2,000.00 43.12 974.89 l,024,094.04 $ (28 , 175. 88) 1975 Actual $235,000.00 77 , 651. 25 l71,691.9l 356,044.09 37,333.79 76,769.92 869.57 955,360.53 (26,471.33) 176,390.87 $l49,919.54 Budget $235,000.00 7'7,651.25 173,441. 91 354,294.09 37,590.58 76,588.13 l,434.04 30,000.00 986,000.00 $117,956.75 Exhibit "c" (Cont'd.) (Over) UndeI Budget $ 1,750.00 (l,750.00) 256.79 (181. 79) 564.47 30,000.00 $ 30,639.47 $(58,434.12) 25. THE CITY OF SALINA Saline County, Kansas CAPITAL PROJECT FUNDS CONSTRUCTION Exhibit "D" BALANCE SHEET December 31, 1974 1975 ASSETS Cash Bonds to be issued and Assessments Receivable Total Assets $ 3l0,496.36 $ 108,341. 20 325,263.14 357,257.02 $ 635,759.50 $ 465,598.22 LIABILITIES AND FUND BALANCE Liabilities Accounts Payable Temporary Notes Payable Fund Balance Total Liabilities $ 16,695.56 $ 7,853.08 325,263.l4 293,800.80 457,745.14 $ 635,759.50 $ 465,598.22 CONSTRUCTION STATEMENT OF EXPENDITURES COMPARED WITH APPROPRIATIONS For Fiscal Year 1975 Appropriations $l,96l,526.35 Less - Expenditures 1974 1975 $ 535,608.09 968,173.12 1 , 503 , 781. 21 Fund Balance - December 31, 1975 $ 457,745.14 26. THE CITY OF SALINA Saline County, Kansas CAPITAL PROJECT FUNDS CONSTRUCTION Exhibit "D" (Cont'd.) ANALYSIS OF CHANGES IN FUND BALANCE For Fiscal Years Ended December 31, 1974 1975 Net Project Authorization Fund Balance - Beginning of Year $ 324,870.86 $ 293,800.80 Add - Revenues 922,909.98 774,860.44 Bonds to be issued and Assessments Receivable 357,257.02 1,247,780.84 l,425,9l8.26 Deduct - Expenditures 953,980.04 968,l73.l2 Fund Balance - End of Year $ 293,800.80 $ 457,745.l4 See Notes to Financial Statements 27. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS WATER AND SEWERAGE Exhibit liE" COMPARATIVE BALANCE SHEET December 31, 1974 1975 ASSETS CURRENT ASSETS Cash Accounts Receivable Inventories TOTAL CURRENT ASSETS $ 356,725.45 $ 312,794.16 87,972.37 91,029.34 90,901. 83 100,996.23 535,599.65 504,8l9.73 RESTRICTED ASSETS System Sinking Fund Cash Plant Reserve Fund Cash Investments System Reserve Fund Cash Investments System Construction Fund Cash 104,349.65 104,349.65 271. 87 194,100.00 695.69 527,500.00 1,324.71 182,000.00 562.23 49l,600.00 59,893.23 TOTAL RESTRICTED ASSETS 850,776.98 815,870.05 UTILITY PLANT IN SERVICE Furniture and fixtures Plants, mains, equipment and other property 87,460.68 88,067.68 TOTAL UTILITY PLANT IN SERVICE 9,447,355.93 9,534,816.6l 9,73l,166.32 9,8l9,234.00 TOTAL ASSETS $10,921,193.24 $11,139,923.78 See Notes to Financial Statements. 28. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS WATER AND SEWERAGE Exhibit "E" (Cont'd.) COMPARATIVE BALANCE SHEET December 31, 1974 1975 LIABILITIES, RESERVES, CONTRIBUTIONS AND RETAINED EARNINGS CURRENT LIABILITIES Accounts Payable Customers' Meter Deposits Sanitation Fees Collected Reserve for Auditing Revenue Bonds due Currently TOTAL LIABILITIES $ 68,983.91 $ 133,548.03 46,035.00 46,790.00 243.28 268.16 3,650.00 135,000.00 l40,000.00 253,912.l9 320,606.l9 1,960,000.00 1,820,000.00 104,349.65 104,349.65 492,l62.23 528,l95.69 194 , 371. 87 183,324.71 59,893.23 850,776.98 815,870.05 7,856,504.07 8,183,447.54 $10,921,193.24 $1l,l39,923.78 TOTAL CURRENT LIABILITIES OTHER LIABILITIES Revenue Bonds due after One Year RESERVES System Sinking Fund Plant Reserve Fund System Reserve Fund System Construction Fund TOTAL RESERVES CONTRIBUTIONS AND RETAINED EARNINGS See Notes to Financial Statements 29. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS WATER AND SEWERAGE Exhibi tilE" (Cont'd.) COMPARATIVE STATEMENT OF REVENUE AND EXPENSE For Years Ended December 31, Total Operating Revenue 1974 1975 $1,003,236.78 $1,041,l20.65 366,817.60 399,484.57 8,258.52 20,354.l6 19,374.33 13,250.57 5,368.95 5,734.05 l,403,056.l8 l,479,944.00 1,Ol9,945.44 1,l62,345.32 383,110.74 317,598.68 Operating Revenues Water Revenue Sewage Revenue Miscellaneous Income Tapping Service and Frontage Service Charge - Sanitation Department Less - Operating Expenses Operating Income before Depreciation Less - Depreciation Operating Income 383,110.74 3l7,598.68 40,306.21 50,529.83 (80,641. 36) (76,091. 97) $ 342,775.59 $ 292,036.54 Add - Other Income Interest on Investments Less - Other Expenses Interest on Revenue Bonds NET INCOME See Notes to Financial Statements 30. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS WATER AND SEWERAGE Exhibit "E" (Con t I d . ) COMPARATIVE STATEMENT OF CHANGES IN CONTRIBUTIONS AND RETAINED EARNINGS For Years Ended December 3l, Balance - January l, 1974 1975 $7,553,956.39 $7,856,504.07 342,775.59 292,036.54 78.30 2l 0 , 641. 36 296,204.46 8,107,451. 64 8,444,745.07 250,947.57 261,297.53 $7,856,504.07 $8,183,447.54 Add Net Income for the year Adjustment for prior encumbrances Transfer from Restricted Reserves Less Transfer to Restricted Reserves Balance - December 31, See Notes to Financial Statements 31. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS WATER AND SEWERAGE Exhibi t liE II (Con t ' d . ) STATEMENT OF CHANGES IN FINANCIAL POSITION For Years Ended December 31, 197¿t 1975 Financial Resources were Provided by: Operations Net Income Expense not requiring current outlay of working capital - Depreciation Adjustment to prior years encumbrances $342,775.59 $292,036.54 7B.30 Total From Operations 342,853.89 292,036.54 Decrease in Restricted Assets 34,906.90 Financial Resources were Used for: Additions to utility plant in service Payment on long-term debt Increase in restricted assets INCREASE (DECREASE) IN WORKING CAPITAL 112 ,47~.. 23 135,000.00 40,306.2l $ 55,073.45 284,417.39 140,000.00 $(97,473.92) Analysis of Change in Working Capital Increase (Decrease) in Current Assets Cash Accounts receivable Inventories (Increase) Decrease in Current Liabilities Accounts payable Customers meter deposits Sanitation fees collected Reserve for auditing Revenue bonds due currently $ 64,062.32 $ (43,931. 29) 9,226.27 3,056.97 5,012.52 lO,094.40 (4,268.39) (64,564.12) (14,020.00) (755.00) 3,710.73 (24.88) (3,650.00) 3,650.00 (5,000.00 (5 ,000. 00 $ 55,073.45 $(97,473.92) INCREASE (DECREASE) IN WORKING CAPITAL See Notes to Financial Statements 32. Revenues Water Sewage Miscellaneous sales Tapping service Sanitation fees Deposits on meters Miscellaneous Interest on investments Capital improvement from bond retirement and ex- tension and construction reserves Proceeds from new capital improvement bond issue Total Revenues Expenditures Water supply Softening and treatment Pumping expense Distribution Customer accounting and collections Administrative and general expense Sewage treatment and collection Transfer Bond Ordinance Reserve Cash remitted to Sanitation Department . THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS WATER AND SEWERAGE Exhibit liE' (Cont'd.) STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 1975 (Over) Under Actual Actual Budget Budget $1,003,236.78 $l,068,295.25 $ 965,000.00 $ (103,295.25 366,8l7.60 399,484.57 390,000.00 (9,484.57 8,258.52 20,354.16 6,000.00 (l4,354.l6 19,374.33 13,250.57 10,000.00 (3,250.57 322,658.22 349,734.05 36l,380.00 11 , 645.95 27,110.00 25,365.00 (25,365.00 23,656.27 324.27 (324.27 40,306.21 50,205.56 (50,205.56 2l,000.00 2l,000.00 l,OOO,OOO.OO l,OOO,OOO.OO l,811,417.93 1,927,013.43 2,753,380.00 $ 826,366.57 l2,776.88 2l , 344 . 94 l8,560.00 $ (2,784.94 280,758.13 309,738.76 267,100.00 (42,638.76 62,982.24 81,418.33 71,965.00 (9,453.33 96,203.46 116,546.47 l08"l75.00 (8,371.47 160,621.36 168,966.65 175,,505.00 6,538.35 199,577.97 212,899.00 2l2,,530.00 (369.00: 207,025.40 26l,525.57 252,375.00 (9,150.57: 210,641. 36 211,091. 97 210,820.00 (271. 97: 32l,000.00 344,000.00 355,800.00 11,800.00 See Notes to Financial Statements 33. Expenditures (Cont'd.) Capital expenditures Sales tax Customer deposit refunds Miscellaneous Capital improvements from new bond issue Total Expenditures Revenues Over (Under) Expenditures Fund Balance - January 1, 1975 Fund Balance - December 31, 1975 THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS WATER AND SEWERAGE Exhibit "E" (Cont'd.) STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 1975 (Over) Under Ac tua 1 Actual Budi';~ Budget $ 112,474.23 $ 284,417.39 $ lOO,OOO.OO $ (l84,417 .39~ 27,875.02 27,l74.60 (27,174.60: 13,090.00 24,610.00 (24,610.00: 6,231.0l 1,000.000.00 1,000,000.00 1,711,257.06 2,063,733.68 2,772,830.00 $ 709,096.32 $ 100,160.87 (136,720.25) 1,222,597.61 $1,085,877.36 $ 19,450.00 $l,203,l47.6l See Notes to Financial Statements 34. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS GOLF COURSE Exhibit "E" (Cont'd.) COMPARATIVE BALANCE SHEET December 31, 1974 1975 ASSETS Current Assets Cash TOTAL ASSETS $ 9,782.47 $ 19,855.62 3l0,5l6.02 3l0,5l6.02 54 , 118 . 24 54,696.24 364,634.26 365,212.26 $374,416.73 $385,067.88 Plant, Property and Equipment Golf Course Equipment Total Plant, Property and Equipment LIABILITIES, CONTRIBUTIONS AND RETAINED EARNINGS Current Liabilities Bonds payable - Current portion TOTAL LIABILITIES $ 6,000.00 $ 6,000.00 112,000.00 106,000.00 244,396.89 244,396.89 l2,019.84 28,670.99 $374,4l6.73 $385,067.88 Long-Term Indebtedness Bonds payable - Long-Term portion Contributions Retained Earnings See Notes to Financial Statements 35. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS GOLF COURSE Exhibit liE" (Cont'd.) COMPARATIVE STATEMENT OF REVENUE, EXPENSE AND RETAINED EARNINGS For Years Ended December 31, Operating Revenue 1974 1975 $59,411. 27 $ 71,092.93 46,844.50 52,991. 88 12,566.77 l8, lO1. 05 2,591. 20 3,550.l0 (5 ,240. 00) (5,000.00) 9,9l7.97 l6,651.l5 2,101.87 l2,Ol9.84 $l2,Ol9.8'+ $28,670.99 Less - Operating Expense Operating Income Add - Other Income Oil we 11 lease Less - Other Expenses Interest expense Net Income Retained Earnings - Beginning of Year Retained Earnings - End of Year See Notes to Financial Statements 36. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS GOLF COURSE Exhibit "E" (Cont'd.) STATEMENT OF CHANGES IN FINANCIAL POSITION For Years Ended December 31, 197¿!:. 1975 Financial Resources were Provided by: Operations Net Income $9,917.97 $16 , 651. l5 780.00 578.00 6,000.00 6,000.00 6,780.00 6,578.00 $3 , 13 7. 97 $10,073.15 Financial Resources were Used for: Purchase equipment Reduction of long-term debt INCREASE (DECREASE) IN WORKING CAPITAL Analysis of Changes in Working Capital Increase (Decrease) in Current Assets Cash $3,137.97 $lO,073.15 (Increase) Decrease in Current Liabilities Bonds payable - Current portion INCREASE (DECREASE) IN WORKING CAPITAL $3,137.97 $10,073.15 See Notes to Financial Statements 37. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS GOLF COURSE Exhibi t "E" (Cont'd.) STATEMENT OF REVENUES. EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 3l, 1974 1975 (Over) Under Actual Actual Budget Budget Revenues Membership and green fees $52,703.92 $66,591.55 $55,000.00 $(11,591.55) Cart rental 3,993.99 541. 68 4,000.00 3,458.32 Cart storage 695.25 l,594.45 400.00 (1,194.45) Cart users fees 2, Ol8. 11 2,365.25 500.00 (1,865.25) Oil well lease 2,591.20 3,550.10 2,600.00 (950.l0) Club storage 50.00 50.00 Total Revenues 62,002.47 74,643.03 62,550.00 $(12,093.03) Expenditures Personal Services Salaries - Regular employees 20,265.67 27,118.65 27,445.00 $ 326.35 Salaries - Part time 2,027.50 3,120.00 l,092.50 20,265.67 29,146.l5 30,565.00 1,418.85 Contractual Services Telephone and telegraph 241. 95 174.12 200.00 25.88 Traveling expenses l50.00 110.24 100.00 (10.24) Printing office forms 409.84 879.74 400.00 (479.74) Insurance - Motor vehicles 285.00 518.00 300.00 (218.00) Gas service 588.79 740.78 600.00 (140.78) Light and power service l,435.07 3 , 372 . l4 1,200.00 (2,l72.14) Water service 12,306.65 2,l26.76 4,000.00 l,873.24 Repair - Machinery and equipment 2,609.94 4,914.68 1,800.00 (3,114.68) Repair - Tires and tubes 59.99 24.03 50.00 25.97 Laundry and towel service 7.08 17.80 20.00 2.20 Other 1,111.76 l,253.93 1.,500.00 246.07 19,206.07 14,132.22 10.,170.00 (3,962.22) See Notes to Financial Statements 38. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS GOLF COURSE Exhibit liE" (C on t ' d . ) STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, Expenditures (Cont'd.) Materials and Supplies Expendable tools Motor vehicles - Fuel and lubricants Motor vehicles - License tags Seeds, plants, trees, lawn supplies Other operating supplies Electrical and lighting parts Motor vehicles - Tires and tubes Sundry Expenditures Sales tax remitted Payment to bond and interest Capital Outlay Mowers, miscellaneous and park equipment Total Expenditures Revenues Over (Under) Expenditures Fund Balance - January 1, 1975 Fund Balance December 3l, 1975 1974 Actual 1975 Actual (Over) Under Budget Budget $ 89.16 $ 84.25 $ 75.00 $ (9.25) 1,336.63 1,454.46 1,850.00 395.54 30.00 (30.00) 3,l23.14 4,285.59 5,015.00 729.41 482.29 1,031. 99 700.00 (331. 99) 424.84 299.29 1,640.00 l,340.71 81. 01 303.92 100.00 (203.92) 5,537.07 7,489.50 9,380.00 1,890.50 1,835.69 2,224.01 l,650.00 (574. Ol) 7,240.00 11,000.00 11,000.00 9,075.69 13 ,224. 01 12,650.00 (574.01) 780.00 578.00 2,422.00 3,000.00 54,864.50 $ 7,137.97 $ l,l95.l2 64,569.88 65,765.00 lO, 073 .l5 9,782.47 $19,855.62 $ 5,144.50 $ (4,637.97) See Notes to Financial Statements 39. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS SANITATION COMPARATIVE BALANCE SHEET December 3l, ASSETS Current Assets Cash Investments Accounts Receivable Total Current Assets Property, Plant and Equipment TOTAL ASSETS Exhibit liE" (Cont' d.) 1974 1975 $ 78,159.06 $ 89,589.29 30,000.00 60,000.00 243.2B 268.l6 l08,402.3l¡, l49,857.45 78,054.41c 94 ,319.41 $186,456. 7S~ $244,l76.86 LIABILITIES, CONTRIBUTIONS AND RETAINED EARNINGS Liabilities Accounts Payable Contributions and Retained Earnings TOTAL LIABILITIES $ $ l5,440.00 186,456. 7:~ 228,736.86 $186,456.7:~ $244,176.86 See Notes to Financial Statements 40. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS SANITATION Exhibit "E" (Cont 'd.) COMPARATIVE STATEMENT OF REVENUE, EXPENSES, CONTRIBUTIONS AND RETAINED EARNINGS For Years Ended December 31, Total Operating Revenue 1974 1975 $32l,013.50 $344,024.88 792.60 321,806.10 344,024.88 275,543.74 304,789.90 46,262.36 39,234.98 1,585.30 3 , 045. 13 47,847.66 42,280.11 138,609.09 186,456.75 $186,456.75 $228,736.86 Operating Revenue Service fees Other income Deduct - Operating Expenses Operating Income Add - Other Income Interest from investments Net Income Contributions and Retained Earnings - January l, Contributions and Retained Earnings - December 3l, See Notes to Financial Statements 41. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS SANITATION Exhibit "E" (Cont'd.) STATEMENT OF CHANGES IN FINANCIAL POSITION For Years Ended December 31, 1974 1975 Financial Resources were Provided by: Operations Net Income INCREASE (DECREASE) IN WORKING CAPITAL $47,847.66 $ 42,280.11 34 , 777 . 32 16,265.00 $13,070.34 $ 26,015.11 Financial Resources were Used for: Capital Expenditures Analysis of Changes in Working Capital Increase (Decrease) in Current Assets Cash Investments Accounts Receivable (Increase) Decrease in Current Liabilities Accounts Payable $(1,082.90) $ 11 ,430. 23 30,000.00 24.88 l4, 153. 24 (15,440.00) $13,070..34 $ 26,015.11 INCREASE (DECREASE) IN WORKING CAPITAL See Notes to Financial Statements 42. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS Exhibit liE" (Cont'd.) SANITATION STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 1975 (Over) Unde: Actual Actual !\udget Budget Revenues Interest from investments $ 1,585.30 $ 3,045 . 13 $ 1,600.00 $ (1,445.13 Service fees 321,013.50 344,024.88 355,800.00 11,775.12 Reimbursement 792.60 Total Revenues 323,391.40 347,070.01 357,400.00 $ lO,329.99 Expenditures Personal Services Salaries - Regular employees 174,026.0l 186,l89.70 23l,060.00 $ 44,870.30 Salaries - Part time employees 10,665.22 16,864.24 6,440.00 (10,424.24 184,691.23 203,053.94 237,500.00 34,446.06 Contractual Services Telephone and telegraph 389.48 456.88 450.00 (6.88: Traveling expenses 25.38 25.00 100.00 75.00 Printing office forms 1,130.45 590.00 590.00 Insurance - Liab i li ty 439.00 (439.00: Insurance - Motor vehicles 960.00 l,283.00 l,OOO.OO (283.00: Social Security 9,953.18 11,878.61 11,400.00 (478.6l: Employees retirement 8,303.89 10,997.0l 14,500.00 3,502.99 Group insurance 4,645.63 5,190.4l 5,500.00 309.59 Water service l78.05 193.35 200.00 6.65 Repair - Machinery and equipment 12,374.10 14,893.15 9,000.00 (5,893.15: Repair - Tires and tubes 1,273.54 1,237.62 780.00 (457.62: Repair - Radio equipment 570.45 577.3l 500.00 (77.31: Laundry and towel service 2,646.20 2,016.20 3,300.00 1,283.80 Medical services l24. 80 110.00 100.00 (10.00: Billing and administration 10,737.90 11 ,468. lO 11,160.00 (308. lO: Workmen's Compensation 5,354.00 lO,834.00 6,800.00 (4,034.00: Disposal charges 15,845.00 12,760.00 20,500.00 7,740.00 74,512.05 84,359.64 85,880.00 l,520.36 See Notes to Financial Statements 43. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS SANITATION Exhibit liE" (Cont 'd.) STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 Actual Expenditures (Cont'd.) Materials and Supplies Expendable tools Office supplies Books and periodicals Janitor supplies Motor vehicles - Fuel and lubricants Motor vehicles - License tags Other operating supplies Motor vehicles - Tires and tubes $ 977.79 154.81 66.00 13,992.94 516.17 632.75 16,340.46 Capital Outlay Office mechanical equipment Trucks 34,777.32 34 , 777. 32 Total Expenditures 3l0,321.06 $ 13,070.34 Revenues Over (Under) Expenditures Fund Balance - January 1, 1975 Fund Balance - December 31, 1975 1975 Actual (Over) Unde: Budget !\udget $ 475.34 $ 860.00 $ 384.66 752.53 200.00 (552.53: 46.00 75.00 29.00 l5.90 (15.90: l5,107.28 15,950.00 842. 72 557.00 510.00 (47.00: 363.99 300.00 (63.99: 58.28 300.00 241. 72 17 ,376.32 18,195.00 818.68 825.00 l5,440.00 550.00 (275.00; 10,000.00 (5,440.00; 10,550.00 (5,715.00) 352,125.00 $ 31,070.10 16,265.00 32l,054.90 26,015.11 l08,402.34 $122,538.72 $ 14,136.38 $134,417.45 See Notes to Financial Statements 44. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS Exhibit liE" (Cont'd.) PAPER RECYCLING COMPARATIVE BALANCE SHEET December 31, 1974 1975 ASSETS Current Assets Cash TOTAL ASSETS $ 17,646.21 $ 14,352.l2 4,578.90 5,839.13 $ 22,225.11 $ 20,191.25 Plant, Property and Equipment Equipment LIABILITIES, CONTRIBUTIONS AND RETAINED EARNINGS TOTAL LIABILITIES $ 35,000.00 $ 35,000.00 (l2,774.89) (14 , 808 . 75) $ 22,225. 11 $ 20, 191. 25 Contributions Retained Earnings See Notes to Financial Statements 45 THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS PAPER RECYCLING Exhibit "E" (Cont'd.) COMPARATIVE STATEMENT OF REVENUE. EXPENSES, AND RETAINED EARNINGS For Years Ended December 31, Operating Revenues 1974 1975 $ 11,184.70 $ 7,655.94 23,959.59 9,689.80 (12,774.89) (2,033.86) (l2,774.89 $ (12,774.89) $(l4,808.75) Less - Operating Expenses Net Income (Loss) Retained Earnings - January l, Retained Earnings - December 31, See Notes to Financial Statements 46. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS PAPER RECYCLING Exhibi tilE" (Cont'd.) STATEMENT OF CHANGES IN FINANCIAL POSITION For Years Ended December 31, 1974 1975 Resources were Provided by: Operations Net Income (Loss) Contribution by Municipality $(12,774.89) $(2,033.86) 35,000.00 4,578.90 1,260.23 $ 17,646.21 $ (3 ,294. 09) Resources were Used for: Capital Expenditures INCREASE (DECREASE) IN WORKING CAPITAL Analysis of Changes in Working Capital Increase (Decrease) in Current Assets Cash $ 17,646.21 $(3,294.09) (Increase) Decrease in Current Liabilities INCREASE (DECREASE) IN WORKING CAPITAL $ l7,646.21 $ (3,294.09) See Notes to Financial Statements 47 THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS PAPER RECYCLING STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, Revenues Sale of commodities Reimbursement of expenditures Contribution from municipality Total Revenues Expenditures Personal Services Salaries Contractual Services Telephone and telegraph Printing Social Security Employees retirement Group insurance Light and power Repair - Machinery and equipment Other contractual services Gas service Materials and Supplies Expendable tools Office supplies Motor vehicle Other Cement and cement products Lumber and lumber products Paint and painting supplies Sand and gravel Exhibit liE" (Cont' d.) 1974 1975 $11,044. j/9 $ 7,655.94 l39.91 35,000.00 46,l84.1'0 7,655.94 6,842.~.7 l45 . ~.6 99.97 183. 92 133.96 l55.43 987.80 5,446.68 7,l53.22 238. 11 264.64 98.38 827.5l 3,179.61 606.48 78.71 170.46 5,463.9'0 See Kotes to Financial Statements 3,330.85 196.94 325.53 88.22 163.15 103.63 1,407.04 18.00 102.44 2,404.95 70.42 383.58 454.00 48. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS PAPER RECYCLING STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, Expenditures (Cont'd.) Sundry Expenditures Purchase of commodities Capital Outlay Equipment Total Expenditures Revenues Over (Under) Expenditures Fund Balance - January 1, 1975 Fund Balance - December 31, 1975 See Notes to Financial Statements 1974 $ 4,500.00 4,578.90 28,538.49 $17,646.2l Exhibit liE" (Cont'd.) 1975 $ 3,500.00 1,260.23 lO,950.03 (3,294.09) l7,646.2l $l4,352.l2 49. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS PARKING METERS Exhibit "E" (Cont 'd.) COMPARATIVE BALANCE SHEET December 31, 1974 1975 ASSETS Current Assets Cash Investments TOTAL ASSETS $ 48,685.0? $ 3,095.29 13 , 000 . O(~ 35,000.00 6l,685.0~~ 38,095.29 6,680.67 l7,586.09 1,375,365.6(~ l,375,365.60 l,382,046.2~~ 1,392,951.69 $l ,443,731. 3¿!:. $1,431,046.98 Total Current Assets Plant, Property and Equipment Equipment Parking facilities Total Plant, Property and Equipment LIABILITIES AND FUND BALANCE Current Liabil~ties Accounts payable Bonds payable - Current portion TOTAL LIABILITIES $ 1,934.00 $ 68,000. O(~ 68,000.00 69,934.00 68,000.00 482,000.00 414,000.00 891,797.3¿!:. 949,046.98 $1 ,443 , 731. 3¿~ $1,43l,046.98 Total Current Liabilities Long-Term Indebtedness Bonds payable - Long-Term portion Contributions and Retained Earnings See Notes to Financial Statements 50. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS PARKING METERS Exhibit "E" (Cont 'd.) COMPARATIVE STATEMENT OF REVENUE, EXPENSES CONTRIBUTIONS AND RETAINED EARNINGS For Years Ended December 31, Operating Income 1974 1975 $ 87,l43.25 $ 87,019.42 52,230.07 55,480.23 34, 913 . 18 31,539.l9 686.92 l,7l0.45 (l7 ,392. 50) (15,522.50) $ l8,207.60 $ 17, 72 7 . 14 Operating Revenues Less - Operating Expenses Add - Interest on Investments Less - Interest Expense Net Income CONTRIBUTIONS AND RETAINED EARNINGS For Years Ended December 3l, Balance - January 1, 1974 1975 $833,197.24 $891,797.34 l8,207.60 17,727. l4 40,392.50 39,522.50 $89l,797.34 $949,046.98 Add - Net Income Contributions Balance - December 31, See Notes to Financial Statements 51. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS PARKING METERS Exhibit fiE" (Cont'd.) STATEMENT OF CHANGES IN FINANCIAL POSITION For Years Ended December 31, 1974 1975 Financial Resources were Provided by: Operations Net Income Contributions $ l8,207.60 $ 17, 72 7 . l4 40,392.50 39,522.50 58,600.l0 57,249.64 5,358.00 10,905.42 68,000.00 68,000.00 73,358.00 78,905.42 $(l4,757.9Q) $(2l,655.78) Financial Resources were Used for: Purchase of equipment Reduction of long-term debt INCREASE (DECREASE) IN WORKING CAPITAL Analysis of Changes in Working Capital Increase (Decrease) in Current Assets Cash Investments (Increase) Decrease in Current Liabilities Accounts payab Ie Bonds payable $ (21 , 323. 90) $ (45 ,589.78) 22,000.00 6,566.00 1,934.00 $(14,757.9Q) $(2l,655.78) INCREASE (DECREASE) IN WORKING CAPITAL See Notes to Financial Statements 52. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS PARKING METERS Exhibit "E" (Cont'd.) STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 1975 (Over) Unde I Actual Actual Budget Budget I 1- Revenues Parking meter revenue $ 69,418.00 $ 66,303.04 $ 68,000.00 $ l,696.96 Interest from investments 686.92 1,710.45 700.00 (1,OlO.45 Parking meter permits 17,723.00 20,620.13 14,500.00 (6,120.13 Adjustment prior year encumbrances 2.25 96.25 Total Revenues 87,830.l7 88,729.87 83,200.00 $ 5,433.62 I Expenditures 1- Personal Services I Salaries - Regular employees 36,025.37 37,532.50 41,785.00 $ 4,252.50 I Contractual Services - I Printing office forms 2,901. 60 l,930.00 2,590.00 660.00 Insurance - Motor vehicles 85.00 76.00 95.00 19.00 Social Security l,972.64 2,2l4.3l 2,445.00 230.69 Employees' retirement 2,090.79 2,040.79 2,960.00 9l9.2l Group insurance l,l57.09 1,333.l8 1,370.00 36.82 Repair - Machinery and equipment 345.39 308.65 275.00 (33.65 Workmen's Compensation 1,393.00 (1,393.00: Other 6,214.55 6,733.24 6,785.00 51. 76 Repair - Motor vehicles - Tires 2.75 10.00 10.00 14 , 769. 8l l6,029.17 - l6,530.00 500.83 ! Materials and Supplies - Expendable tools 24.75 (24.75: Janitor supplies 47.50 82.00 (82.00: Motor vehicles - Fuel and lubricants 373.06 223.21 650.00 426.79 Wearing apparel 527.23 638.07 500.00 (138.07: Other operating supplies 280.00 272.35 475.00 202.65 Electrical and lighting parts 24.24 (24.24: Parking meter parts 194 . 60 653.94 300.00 (353. 94: Motor vehicles - License tags 12.50 15.00 15.00 Motor vehicles - Tires 50.00 50.00 1,434.89 1,918.56 1,990.00 71. 44 See Notes to Financial Statements 53. Expenditures (Cont'd.) Sundry Expenditures Off street parking bond and interest Capital Outlay Equipment Automobile Parking meters Total Expenditures Revenues Over (Under) Expenditures Fund Balance - January l, 1975 Fund Balance - December 3l, 1975 THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS PARKING METERS STATEMENT OF REVENUES. EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 Actual 1975 Actual $ 45,000.00 $ 44,000.00 l,409.00 3,949.00 203.67 lO, 701. 75 5,358.00 10,905.42 102,588.07 110,385.65 $(14,757.90) (21,655.78) 59,751.07 $ 38,095.29 See Notes to Financial Statements Exhibit liE" (Cont'd.) Budget (Over) Unde: Budget t 44,000.00 $ 800.00 596.33 6,000.00 (4,701.75: l,500.00 l,500.00 8,300.00 (2,605.42' ~L 12 ,605. 00 $ 2,219.35 $_54,438.97 $ 5,312.l0 54. Current Assets Cash Plant, Property and Equipment Equipment Land THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS SOLID WASTE DISPOSAL COMPARATIVE BALANCE SHEET December 31, ASSETS Total Plant, Property and Equipment TOTAL ASSETS Exhibit liE" (Cont' d.) 1974 1975 $ 7,006.23 $ 4,180.43 37,250.00 37,250.00 12l,001.50 l2l,001.50 158 , 251. 50 158,251.50 $165,257.ï'3 $162,431.93 LIABILITIES. CONTRIBUTIONS AND RETAINED EARNINGS Contributions Retained Earnings TOTAL LIABILITIES $158,251.50 $158,251. 50 7,006.2.3 $165,257.73 4,180.43 $162,431. 93 See Notes to Financial Statements 55. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS SOLID WASTE DISPOSAL Exhibit "E" (Cont'd.) COMPARATIVE STATEMENT OF REVENUE, EXPENSE AND RETAINED EARNINGS For Years Ended December 3l, Operating Revenue Service fees Leased land Total Operating Revenue Deduct - Operating Expenses Net Income Retained Earnings - January l, Deduct - Transfer to equipment reserve Retained Earnings - December 31, See Notes to Financial Statements 1974 1975 $87,662.58 $71,989.50 177 . l5 87,662.58 72, l66. 65 80,656.35 66,992.45 7,006.23 5,174.20 7,006.23 (8,000.00) $ 7,006.23 $ 4,180.43 56. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS SOLID WASTE DISPOSAL STATEMENT OF CHANGES IN FINANCIAL POSITION For Years Ended December 31, Financial Resources were Provided by: Operations Net Income Financial Resources were Used for: Transfer to Equipment Reserve INCREASE (DECREASE) IN WORKING CAPITAL Analysis of Changes in Working Capital Increase (Decrease) in Current Assets Cash (Increase) Decrease in Current Liabilities INCREASE (DECREASE) IN WORKING CAPITAL See Notes to Financial Statements 197¿~ $7,006.23 $7,006.23 $7,006.23 $7,006.23 Exhibit "E" (Cont'd.) 1975 $ 5,174.20 8,000.00 $(2,825.80) $(2,825.80) $(2,825.80) 57. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS SOLID WASTE DISPOSAL Exhibit "E" (Cont'd.) STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, Revenues Service fees Income from leased land Total Revenues Expenditures Personal Services Salaries - Regular employees Contractual Services Telephone and telegraph Printing office forms Insurance - Liability Insurance - Equipment Social Security Employees retirement Group insurance Gas service Lights and power service Repair - Machinery and equipment Repair - Tires and tubes Billing and administration Workmen's Compensation Other contractual services Materials and Supplies Expendable tools Office supplies Motor vehicles - Fuel and lubricants Other operating supplies Motor vehicles - Tires and tubes Sand, rock, gravel, salt, chat 1974 Actual 1975 Actual (Over) Undel Budget Budget $90,000.00 $ 89,822.85 (7l,989.50) 90,000.00 $ 17,833.35 $87,662.58 $ l77 . l5 71,989.50 87,662.58 72 , l66. 65 40,053.07 32,l04.70 39,900.00 $ 7,795.30 l53.76 151. 22 l70.00 18.78 596.25 250.00 (346.25) 286.00 285.00 (1. 00) 673.00 503.00 675.00 172.00 1,685.29 1,977.97 2,340.00 362.03 1,699.53 2,410.11 2,950.00 539.89 8l5.65 951. 50 1,140.00 188.50 458.80 488.95 300.00 (188.95) 307.07 385.23 400.00 l4. 77 14,991. 88 14,791. 62 11,000.00 (3,791.62) l,225.4l 6l0.24 l,200.00 589.76 2,000.00 2,000.00 726.00 l,249.00 580.00 (669.00) 11 , 724 . 92 l,422.l4 10,000.00 8,577.86 34 ,461. 3l 27,823.23 33,290.00 5 ,466. 77 55.62 29.8l 50.00 20.19 27.25 3.90 50.00 46.10 4,675.49 4,978.4l 3,500.00 (1,478.4l) 1, l34 . l2 229.05 500.00 270.95 1,229.27 200.00 (1,029.27) 249 . 49 594.08 500.00 (94.08) 6,141.97 7,064.52 Lf,800.00 (2,264.52) See Notes to Financial Statements 58. THE CITY OF SALINA Saline County, Kansas ENTERPRISE FUNDS SOLID WASTE DISPOSAL STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 3l, 1974 Actual 1975 Actual Expenditures (Cont'd.) Sundry Expenditures Reserves for equipment replacement Land amortization $ $ 8,000.00 8,000.00 Total Expenditures 80,656.35 $ 7,006.23 74,992.45 (2,825.80) Revenues Over (Under) Expenditures Fund Balance - January 1, 1975 7,006.23 Fund Balance December 31, 1975 $ 4,180.43 See Notes to Financial Statements Exhibit liE" (Cont'd.) Budget (Over) Unde Budget $10,000.00 $ 2,000.00 - 6,000.00 6,000.00 J6,000.00 8,000.00 ~)3 , 990.00 $ 18,997.55 $_9,017.59 $ 2,011.36 59. THE CITY OF SALINA Saline County, Kansas INTRAGOVERNMENTAL FUNDS Exhibit "F" CENTRAL GARAGE BALANCE SHEET December 31, 1974 1975 ASSETS Cash $45,067.85 $46,805.60 LIABILITIES AND FUND BALANCE Liabili ties Accounts Payable TOTAL LIABILITIES $ 2,901.50 $ 1,029.62 42,l66.35 45,77 5.98 $45,067.85 $46,805.60 Fund Balance See Notes to Financial Statements 60. THE CITY OF SALINA Saline County, Kansas INTRAGOVERNMENTAL FUNDS CENTRAL GARAGE STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 3l, Revenues . Reimbursement of expenditures Adjustments prior years encumbrances 1974 1975 Actual Ac tua 1 Budget $229,860.92 $266,589.03 $ 5.85 37.50 229,866.77 266,626.53 Expenditures Personal Services Salaries - Regular employees Revenues Over (Under) Expenditures 42,088.83 48,497.28 530.44 562.45 10,097.00 10,494.00 1,036.20 1,232.55 8l9.39 959.l0 246.60 445.48 733.65 409.28 388.21 577.05 13,851.49 l4,679.9l 172.51 241. 77 216.41 141. 80 77,433.68 84,303.53 2,430.57 3,234.63 77,529.66 90,696.25 lO,478.48 lO,400.77 341. 87 439.23 168,603.18 l89,457.98 4,877 .43 7,227.23 9,445.24 3,154.50 238,866.l7 263,Ol6.90 $ (8,999.40) 3,609.63 42,166.35 $ $ 45,77 5. 98 Contractual Services Telephone and telegraph Insurance - Motor vehicles Group insurance Gas service Light and power service Repair - Building Laundry and towel service Materials and Supplies Expendable tools Office supplies Motor vehicles - Gas and oil Other Machinery and equipment parts Motor vehicles - Parts Welding materials Sundry Expenditures Office supplies - Stock Capital Outlay Garage equipment Total Expenditures Fund Balance - January 1, 1975 Fund Balance - December 31, 1975 See Notes to Financial Statements Exhibit "F" (Cont'd.) (Over) Unde1 Budget $ $ $ $ $ 61 THE CITY OF SALINA Saline County, Kansas TRUST AND AGENCY FUNDS COMMUNITY DEVELOPMENT BALANCE SHEET December 31, ASSETS Cash 1974 $10,000.00 Fund Balance LIABILITIES AND FUND BALANCE COMMUNITY DEVELOPMENT $10,000.00 STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, Revenues Transfer from other funds Expenditures Contractual Telephone Traveling Postage Other professional services Other contractual services Services and telegraph expenses Materials and Supplies Office supplies Books and periodicals Other operating supplies .1974 Actual $10,000.00 See Notes to Financial Statements Exhibit "G" 1975 $ $ 1975 Actual $ $ 99.27 607.35 495.20 2,780.80 3,305.64 7,288.26 197.59 593.00 106.18 896.77 62. THE CITY OF SALINA Saline County, Kansas TRUST AND AGENCY FUNDS COMMUNITY DEVELOPMENT Exhibit fiG" (Cont 'd.) STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 3l, 1974 Actual 1975 Actual Expenditures (Cont'd.) Sundry Expenditures Transfer to other funds Total Expenditures $ $ l,673.87 l41. lO 10,000.00 $lO,OOO.OO (lO,OOO.OO) 10,000.00 $ Capital Outlay Office mechanical equipment Revenues Over (Under) Expenditures Fund Balance - January 1, 1975 Fund Balance - December 31, 1975 See Notes to Financial Statements 63. THE CITY OF SALINA Saline County, Kansas TRUST AND AGENCY FUNDS HUD COMMUNITY DEVELOPMENT BALANCE SHEET December 3l, 1974 ASSETS Cash $ LIABILITIES AND FUND BALANCE Fund Balance $ HUD COMMUNITY DEVELOPMENT STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 3l, 1974 Actual Revenues Grants from Federal Government Transfer from other funds $ Total Revenues Expenditures Contractual Services Traveling expense Other professional services Other contractual services Materials and Supplies Office supplies Other operating supplies See Notes to Financial Statements Exhibit "G" (Cont'd.) 1975 $ 5,846.42 $ 5,846.42 1975 Actual $21,882.74 1,673.87 $23,556.61 $ 413.96 8l4.80 l5,l88.20 16,416.96 45.68 54.55 lOO.23 64. Expenditures (Cont'd.) Sundry Expenditures Organization dues Capital Outlay Office equipment Total Expenditures THE CITY OF SALINA Saline County, Kansas TRUST AND AGENCY FUNDS HUD COMMUNITY DEVELOPMENT STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 Actual $ $ Revenues Over (Under) Expenditures Fund Balance - January 1, 1975 Fund Balance - December 31, 1975 See Notes to Financial Statements Exhibit "G" (Cont'd.) 1975 Actual $ 500.00 693.00 17,710.19 5,846.42 $ 5,846.42 65. THE CITY OF SALINA Saline County, Kansas TRUST AND AGENCY FUNDS CEMETERY ENDOWMENT BALANCE SHEET December 31, ASSETS Cash Investments TOTAL ASSETS 1974 $ 8l2.54 21,000.00 $21,812.54 LIABILITIES AND FUND BALANCE Fund Balance $2l,812.54 CEMETERY ENDOWMENT STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, Revenues Perpetual Care Deposit Expenditures Revenues Over (Under) Expenditures Fund Balance - January 1, 1975 Fund Balance - December 31, 1975 1974 Ac tua 1 $ $ See Notes to Financial Statements Exhibit "G" (Cont' d.) 1975 $ 8l2.54 22,600.00 $23,412.54 $23,4l2.54 1975 Actual $ 1,600.00 1,600.00 21,8l2.54 $23,412.54 66. THE CITY OF SALINA Saline County, Kansas TRUST AND AGENCY FUNDS MAUSOLEUM TRUST BALANCE SHEET December 31, ASSETS Cash LIABILITIES AND FUND BALANCE Fund Balance MAUSOLEUM TRUST STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, Revenues Sale of Mausoleum space Expenditures Revenues Over (Under) Expenditures Fund Balance - January 1, 1975 Fund Balance - December 31, 1975 See Notes to Financial Statements 1974 $ $ 1974 Actua 1 $ $ Exhibit "G" (Cont'd.) 1975 $490.00 $490.00 1975 Actua 1 $490.00 490.00 $490.00 67. THE CITY OF SALINA Saline County, Kansas TRUST AND AGENCY FUNDS MAUSOLEUM ENDOWMENT BALANCE SHEET December 31, 1974 ASSETS Cash Investments $ 845.17 l6,000.00 TOTAL ASSETS $l6,845.17 LIABILITIES AND FUND BALANCE Fund Balance $16,845.17 MAUSOLEUM ENDOWMENT STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 Actual Revenues Sale of Mausoleum space $ Expenditures Revenues Over (Under) Expenditures $ Fund Balance - January 1, 1975 Fund Balance - December 31, 1975 See Notes to Financial Statements Exhibit "G" (Cont 'd.) 1975 $ 15.l7 16,900.00 $16,915.l7 $16,915.17 1975 Actual $ 70.00 70.00 16,845.17 $16,915.17 68 THE CITY OF SALINA Saline County, Kansas TRUST AND AGENCY FUNDS STATE WITHHOLDING TAX BALANCE SHEET December 31, 1974 ASSETS Cash $ LIABILITIES AND FUND BALANCE Fund Balance $ STATE WITHHOLDING TAX STATEMENT OF REVENUES, EXPENDITURES AND CHANGES IN FUND BALANCE For Years Ended December 31, 1974 Actual Revenues State Withholding Tax deductions $35,894.58 Expenditures State Withholding Tax deductions remitted 35,894.58 Revenues Over (Under) Expenditures $ Fund Balance - January l, 1975 Fund Balance December 31, 1975 See Notes to Financial Statements Exhibit "G" (Cont'd.) 1975 $ $ 1975 Actua 1 $38,104.60 38,l04.60 $ 69. THE CITY OF SALINA Saline County, Kansas GENERAL FIXED ASSET GROUP OF ACCOUNTS December 31, GENERAL FIXED ASSETS Furniture and contents of buildings Machinery, equipment and vehicles Land, buildings and improvements TOTALS INVESTMENT IN GENERAL FIXED ASSETS 1974 $ 406,200.00 592,360.48 2,781,091.00 $3,779,651.48 $3,779,651.48 See Notes to Financial Statements Exhibit "H" 1975 $ 4l5,879.33 750,856.66 2,887,402.36 $4 , 054 , 138.35 $4,054, 138.35 70. THE CITY OF SALINA Saline County, Kansas GENERAL LONG-TERM DEBT GROUP OF ACCOUNTS December 31, 1974 Amount available for retirement of Bonds Amount to be provided for retirement of Serial Bonds Amount to be provided for retirement of Temporary Notes $ l76,390.8ï' 5,244,345.13 TOTALS 325,263. l~: $5,745,999.l~~ General Obligation Bonds Payable Special Assessment Bonds Payable Temporary Notes Payable $2,114,000.00 3,306,736.00 325,263. lL¡~ $5,745,999.1L¡: TOTALS See Notes to Financial Statements Exhibit "I" 1975 $ 149,919.54 4,342,080.46 $4,492,000.00 $1,767,000.00 2,725,000.00 $4,492,000.00 71. THE CITY OF SALINA Saline County, Kansas COMBINED STATEMENT OF CHANGES IN FUND BALANCE December 31, 1975 Exhibit "J" Fund Excess of Excess of Fund Balance Revenues Over Expenditures Balance 1-1-75 Expenditures Over Revenues l2-3l-75 GENERAL FUND $ 8l,827. 75 $l52,377 .33 $ $ 234,205.08 SPECIAL REVENUE FUNDS Social Security 30,626.70 8,979.50 39,606.20 Emergency Preparedness l,695.70 l,361. 92 333.78 Revenues Collected in Advance 22,900.64 10,995.77 33,896.4l Street Machinery 26,353.69 l,268.75 27,622.44 Kansas Public Employees' Retirement System 2l,502.62 5,701.41 15,801. 21 Special Gasoline Tax 28,206.78 3,797.49 32,004.27 Federal Revenue Sharing 301,733.00 62,291. 25 239,441. 75 Special Reserve 33,l58.72 33,158.72 Human Relations Commission 6,297.04 2,552.44 3,744.60 Emergency Jobs Act 23,062.65 23,062.65 Workmen's Compensation 680.71 680.71 Firemen's Pension 166,6l1.64 67,940.97 234,552.61 Policemen's Pension 109,566.84 59,350.76 l68,917.60 Kansas Firemen's and Police- men's Retirement 23,518.14 1,320.10 24,838.24 Ambulance 6,432.95 6,432.95 DEBT SERVICE FUNDS Bond and Interest 176,390.87 26,~71.33 149,919.54 CAPITAL PROJECT FUNDS Construction 293,800.80 163,944.34 457,745.l4 ENTERPRISE FUNDS Water and Sewerage 1,222,597.61 137,.~75.25 1,085,122.36 Golf Course 9,782.47 10,073.15 19,855.62 Sanitation l08,402.34 26,015.11 l34,417.45 Paper Recycling 17,646.21 3,294.09 l4,352.12 Parking Meters 59,751.07 2l,655.78 38,095.29 Solid Waste Disposal 7,006.23 2,825.80 4,l80.43 INTRAGOVERN}ŒNTAL FUNDS Central Garage 42,166.35 3,609.63 45,77 5.98 See Notes to Financial Statements 72. THE CITY OF SALINA Saline County, Kansas COMBINED STATEMENT OF CHANGES IN FUND BALANCE December 31, 1975 Exhibit "J" (Cont 'd.) Fund Excess of Excess of Fund Balance Revenues Over Expenditures Balance 1-l-75 Expenditures Over Revenues l2-31-75 TRUST AND AGENCY }~NDS Community Development $ lO,OOO.OO $ $ 10,000.00 $ HUD Community Development 5,846.42 5,846.42 Cemetery Endowment 21,812.54 1,600.00 23,412.54 Mausoleum Trust 490.00 490.00 Mausoleum Endowment 16,845.17 70.00 16,915.17 State Withholding Tax TOTALS $2,846,633.87 $541,422.68 $273,629.27 $3,114,427.28 See Notes to Financial Statements 73. THE CITY OF SALINA Saline County, Kansas NOTES TO FINANCIAL STATEMENTS For The Year Ended December 31, 1975 Exhibit ilK" NOTE 1 - SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES The accounting policies of the City of Salina conform to accounting principles, except for the recording of Fixed eral Fixed Asset Group of Accounts for the accounting of and the accrual of Interest Payable in Enterprise Funds. generally accepted Assets in the Gen- Special Assessments BASIS OF ACCOUNTING The accrual basis of accounting is followed by the Enterprise Funds while all other funds utilize the modified accrual basis of accounting. Modifications in such method from the accrual basis follow: l. Revenues are recorded as received in cash except for a. Revenues susceptible to accrual b. Material revenues that are not received at the normal time of receipt 2. Expenditures are recorded on an accrual basis except a. Disbursements for inventory type items which may expenditures at the time of purchase or at the are used b. Prepaid expenses which normally are not recorded c. Interest on long-term debt which should normally be an expendi- ture where due d. The encumbrance method of accounting which may be adopted as an additional modification. for be considered time the items INVESTMENTS Investments are stated at cost. All investments are Savings Accounts and Certificates of Deposit with market value equal to cost. ACCOUNTS RECEIVABLE Accounts Receivable are stated net of actual write-offs. The accounts con- sidered uncollectible during each accounting period are eliminated from ac- counts receivable through the direct write-off method. INVENTORIES Inventories are stated at cost on the first in first out method. PLANT, PROPERTY, EQUIPMENT - ENTERPRISE FUNDS Plant, property and equipment of the Enterprise No depreciation has been provided on the plant, the Enterprise Funds. Funds are stated at cost. property and equipment of GENERAL FIXED ASSETS General Fixed Assets are recorded as expenditures in the funds, other than the Enterprise Funds, at the time of purchase. Assets purchased in 1974 and 1975 were recorded in the General Fixed Asset Group of Accounts at cost. Those amounts prior to 1974 are recorded at insurance values. No depreciation has been provided on General Fixed Assets. 74. THE CITY OF SALINA Saline County, Kansas NOTES TO FINANCIAL STATEMENTS For The Year Ended December 31, 1975 Exhibit "K" (Con t 'd. ) NOTE 2 - LONG-TERM DEBT The Long-Term Debt of the Enterprise Funds and General Long-Term Debt Group of accounts is shown in detail on Schedule 7 under Supplemental Information. NOTE 3 - STATEMENT OF REVENUES AND EXPENDITURES Supporting schedules of detailed revenues and expenditures compared with bud- get are included under Supplemental Information on Schedule 3. NOTE 4 - SPECIAL ASSESSMENTS Special Assessments are accounted for in the Bond and Interest Fund and Statement of Long-Term Debt which is contrary to generally accepted account- ing principles, but is allowed by Kansas Law. NOTE 5 - PENSION PLANS AND RETIREMENT FUNDS The city has pension plans covering the employees of the Police and Fire Departments as provided by KSA 13-14aOl and following, known as Firemen's Pension Fund and Policemen's Pension Fund. In addition, the city has a Kan- sas Policemen's and Firemen's Retirement Fund established under KSA 74-4951 which is a part of the Public Employees' Retirement System of the State of Kansas. In addition to the above pension and retirement plans, the city has elected to be a part of the Kansas Public Employees' Retirement System for Employees of the city other than firemen and policemen as provided by KSA 74-4901 and following. The total pension expenditure for the year 1975 was $281,450.64, ~mich in- cludes as to certain of the plans, amortization of prior service costs over periods not exceeding 40 years. The city's policy is to fund pension costs in accordance with State Laws of Kansas. The actuaria11y computed value of vested benefits for all plans as of December 31, 1975, has not been computed, therefore the amount by which this value is greater or less than the total pension funds and balance sheet accruals less pension repayments and deferred charges has not been determined. NOTE 6 - SOLID WASTE DISPOSAL - EQUIPMENT RESERVE The city established in 1975 an Equipment Reserve for the Solid Waste Disposal Fund for future purchase of equipment. This amount is carried on the city's records with the construction funds. 75. THE CITY OF SALINA Saline County, Kansas NOTES TO FINANCIAL STATEMENTS For The Year Ended December 3l, 1975 Exhibit ilK" (Cont'd.) NOTE 7 - ENTERPRISE FUNDS - ACCRUED INTEREST PAYABLE - REVENUE BONDS The city has not accrued Interest Payable on Revenue Bonds as of December 31, 1974 and 1975, the period from the last interest payment date to December 31, 1974 and 1975 in the following amounts in the following funds. Water and Sewerage Fund 1975 $29,623.00 1974 $31,592.00 Golf Course Fund $ 793.00 $ 833.00 Parking Meters Fund $ 2,662.00 $ 2,898.75 NOTE 8 - RESERVE COMPLIANCE WITH BOND ORDINANCE Reserves have been provided as required under the Bond Ordinances. The amounts required to be maintained in each reserve account have been pro- vided. The rates in effect are sufficient to create a net income in excess of Bond Ordinance requirements. NOTE 9 - INTEREST - CUSTOMERS' METER DEPOSITS Interest due on Customers' Meter Deposits has not been accrued to December 3l, 1975, but is paid at date of withdrawal of deposit by customer. 76. THE CITY OF SALINA Saline County, Kansas COMPARISON OF CASH BALANCES WITH ENCUMBRANCES AND COMPOSITION OF CASH BALANCES December 3l, 1975 Schedule 1 Unencumbered Unencumbered Treasurer's Cash Current Cash Add Cash and Funds 1-1-75 Revenue Expenditures 12-31-75 Encumbrances Investments GENERAL FUND $ 81,827.75 $2,919,Ol8.66 $2,766,641.33 $ 234,205.08 $ 32,583.19 $ 266,788.27 SPECIAL REVENUE FUNDS Social Security 30,626.70 191,860.90 182,881. 40 39,606.20 - 39,606.20 Emergency Preparedness 1,695.70 41,509.95 42,871.87 333.78 - 333.78 Revenues Collected in Advance 22,900.64 33,896.41 22,900.64 33,896.41 - 33,896.41 Street Machinery 26,353.69 1,268.75 - 27,622.44 - 27,622.44 Kansas Public Employees' Retirement System 21,502.62 l40, 124. 05 145,825.46 15,801.21 - 15,801.21 Special Gasoline Tax 28,206.78 315,824.32 312,026.83 32,004.27 4,425.31 36,429.58 Federal Revenue Sharing 301,733.00 325,385.80 387,677.05 239,441. 75 96,196.31 335,638.06 Special Reserve 33,158.72 - - 33,158.72 - 33,158.72 Human Relations Commission 6,297.04 20,160.00 22,712.44 3,744.60 - 3,744.60 Emergency Jobs Act - 80,414.77 57,352.12 23,062.65 - 23,062.65 Workmen's Compensation - 32,085. 71 31,405.00 680.71 - 680. 71 Firemen's Pension 166 , 611. 64 136,655.35 68,714.38 234,552.61 - 234,552.6l Policemen's Pension 109,566.84 99,470.02 40,119.26 168,917.60 - 168,917.60 Kansas Firemen's and Policemen's Retirement 23 ,518. 14 34,601. 28 33,281. 18 24,838.24 - 24,838.24 Ambulance 6,432.95 - - 6,432.95 - 6,432.95 DEBT SERVICE FUNDS Bond and Interest 176,390.87 928,889.20 955,360.53 149,919.54 - 149,919.54 CAPITAL PROJECT FUNDS Construction 293,800.80 774,860.44 968,173.12 100,488.12 l7,853.08 118,341. 20 ENTERPRISE FUNDS Water and Sewerage l,134,625.24 1,923,956.46 2,063,733.68 994,848.02 133,816.19 1,128,664.21 Golf Course 9,782.47 74,643.03 64,569.88 19,855.62 - 19,855.62 Sanitation 108,159.06 347 , 045 . 13 321,054.90 134,149.29 15,440.00 149 , 589. 29 "'-J "'-J THE CITY OF SALINA Saline County, Kansas COMPARISON OF CASH BALANCES WITH ENCUMBRANCES fu~D COMPOSITION OF CASH BALANCES December 31, 1975 Schedule 1 (Cont'd.) Unencumbered Unencumbered Treasurer's Cash Current Cash Add Cash and Funds 1-1-75 Revenue Expenditures 12-31-75 Encumbrances Inves trnen t s ENTERPRISE FUNDS (Cont'd.) Paper Recycling $ 17,646.21 $ 7,655.94 $ 10,950.03 $ 14,352.12 $ - $ 14,352.12 Parking Meters 59,751.07 88,72 9.87 110,385.65 38,095.29 - 38,095.29 Solid Waste Disposal 7,006.23 72,166.65 74,992.45 4,180.43 - 4,l80.43 INTRAGOVERNMENTAL FUNDS Central Garage 42,166.35 266,626.53 263,Ol6.90 45,775.98 1,029.62 46,805.60 TRUST AND AGENCY FUNDS Community Development 10,000.00 - lO,OOO.OO - - - HUD Community Development - 23,556.61 17,710.19 5,846.42 - 5,846.42 Cemetery Endowment 2l,812.54 1,600.00 - 23,412.54 - 23,412.54 Mausoleum Trust - 490.00 - 490.00 - 490.00 Mausoleum Endowment 16,845.17 70.00 - 16,915.17 - 16,9l5.17 State Withholding Tax - 38,104.60 38,104.60 - - - TOTALS $2,758,418.22 $8,920,670.43 $9,Ol2,460.89 $2,666,627.76 $301,343.70 $2,967-> 971. 46 COMPOSITION OF CASH BALANCE Cash in Banks Planters State Bank First State Bank and Trust Co. First National Bank and Trust Co. National Bank of America Petty Cash Investments $284,190.04 210,879,22 508,948.71 597,810.49 $1,601,828.46 1,500.00 1 >-364_, 643.00 TOTAL $LJ~L 971.46 -...J no THE CITY OF SALINA Saline County, Kansas Schedule 2 RECONCILEMENT - UNENCUMBERED CASH BALANCE WITH FUND BALANCE December 31, 1975 Funds GENERAL FUND SPECIAL REVENUE FUNDS Social Security Emergency Preparedness Revenues Collected in Advance Street Machinery Kansas Public Employees' Retirement System Special Gasoline Tax Federal Revenue Sharing Special Reserve Human Relations Commission Emergency Jobs Act Workmen's Compensation Firemen's Pension Policemen's Pension Kansas Firemen's and Policemen's Retirement Ambulance DEBT SERVICE FUNDS Bond and Interest CAPITAL PROJECT FUNDS Construction ENTERPRISE FUNDS Water and Sewerage Golf Course Sanitation Paper Recycling Parking Meters Solid Waste Disposal INTRAGOVERNMENTAL FUNDS Central Garage TRUST AND AGENCY FUNDS Community Development HUD ColTImunity Development Cemetery Endowment Mausoleum Trust Mausoleum Endowment State Withholding Tax TOTALS Unencumbered Add Fund Cash Balance Receivables Balance $ 234,205.08 $ $ 234,205.08 39,606.20 39,606.20 333.78 333.78 33,896.41 33,896.4l 27,622.44 27,622.44 l5,801.2l l5, 801. 21 32,004.27 32,004.27 239,441. 75 239,441. 75 33,158.72 33,158.72 3,744.60 3,744.60 23,062.65 23,062.65 680.71 680. 71 234,552.6l 234,552.6l 168,917.60 168,917.60 24,838.24 24,838.24 6,432.95 6,432.95 149,9l9.54 149,919.54 100,488.l2 357,257.02 457,745.l4 994,848.02 91,029.34 1,085,877.36 19,855.62 19,855.62 134, l49. 29 268.l6 134,417.45 14,352.12 14,352.l2 38,095.29 38,095.29 4,180.43 4 , 180. 43 45,775.98 45,77 5.98 5,846.42 23,412.54 490.00 16,9l5.l7 5,846.42 23,412.54 490.00 16,915.17 $2,666,627.76 $448,551+.52 $3,115,182.28 79. THE CITY OF SALINA Saline County, Kansas GENERAL FUND r;~hedule 3 DETAILED SCHEDULE OF REVENUES For Years Ended December 31, 1974 Actual 1975 Actual Budget (Over) Under - Budget TAXES Ad valorem property tax Intangible tax Delinquent tax $1,320,669.59 $1,473,008.53 $1,490,563.92 $ 17,555.39 163,428.18 l56,829.50 l30,000.00 (26,829.50) 19,823.07 28,847.98 20,200.00 (8 , 647.98) $l,503,920.84 $1,658,686.01 $1,640,763.92 $£,17,922.09) LICENSES, FEES AND PERMITS Cereal malt beverage $ 9,200.00 $ 9,442.50 $ 9,200.00 $ (242.50) Retail liquor licenses 9,000.00 10,250.00 9,300.00 (950.00) Wholesale liquor licenses 2,500.00 1,250.00 2,500.00 1,250.00 Amusement device 1,425.00 2,022.90 1,300.00 (722.90) Entertainment license 725.00 266.50 400.00 133.50 Circus, carnival and tent shows 225.00 150.00 150.00 Dances - Public 270.00 1,029.00 200.00 (829.00) Music machine licenses l,009.50 1,182.00 1,000.00 (l82.00) Miniature pool table and shuffleboard 3,785.00 5,272.40 3,800.00 (1,472.40) Pool hall and bowling alley 580.00 762.00 600.00 (l62. 00) Skating rink licenses 50.00 66.00 50.00 (16.00) Theater and opera house 700.00 798.00 600.00 (198.00) Auctioneer and auction sales 422.50 901. 00 400.00 (501.00) Billboard advertising 275.00 383.80 300.00 (83.80) Concrete construction 543.00 809.90 525.00 (284.90) Electrician licenses l,Ol6.05 1,995.50 1,000.00 (995.50) Mobile home craftsman 172.30 97.00 60.00 (37.00) Gas fitters license 495.50 825.00 450.00 (375.00) Tree trimming and spraying 250.00 390.00 250.00 (1!.f0.00) Private club licenses 750.00 1,000.00 250.00 (750.00) Junk dealers, auto and parts 827.00 1,000.00 825.00 (175. Oû) Pawnbrokers 32.50 25.00 50.00 25.00 Plumbers licenses l,425.40 1,924.00 1,300.00 (624.00) Taxicab licenses 259. 00 17 5.00 300.00 125.00 Taxicab drivers licenses 45.00 381. 00 100.00 (281.00) Street advertising 90.00 45.00 100.00 55.00 Elevator contractor licenses 77.50 205.00 100.00 (105.00) Mobile home court licenses 1,791. 50 2,807.60 2,000.00 (807.60) Truck and transfer licenses 15.00 15.00 Vender, peddler and itinerant 85.00 85.00 100.00 15.00 Refuse haulers licenses 1,292.00 2,085.50 1,350.00 (735.50) Concrete construction permits 666.00 (666.00) 80. THE CITY OF SALINA Saline County, Kansas GENERAL FUND Schedule 3 (Cont 'd.) DETAILED SCHEDULE OF REVENUES For Years Ended December 31, 1974 1975 (Over) Under Actual Actual Budget Budget LICENSES, FEES AND PERMITS (Cont'd.) Building and inspection fees $ 33,509.70 $ 49,706.48 $ 32,000.00 $(17,706.48) House moving permits 4l2.80 518.20 200.00 (318.20) Food and milk permits l,6l2.50 1,946.59 l,400.00 (546.59) Bail bondsman licenses 35.00 96.00 45.00 (51. 00) Merchant police licenses lOO.OO 144.75 100.00 (44.75) Dog licenses 4,531.50 5,178.00 4-,500.00 (678.00) $ 79,520.25 $ l05,732.62 $ 76,820.00 $ (28 , 912.62) INTERGOVERNMENTAL REVENUE State cigarette tax $ 71,l66.41 $ 74,287.11 $ 72,000.00 $ (2,287.11) State liquor enforcement 2l,963.00 24,864.57 23,000.00 (l,864.57) State sales tax 62,411.l2 106,420.00 106,420.00 Highway maintenance 2,602.50 2,602.50 2,485.00 (117.50) $ l58,l43.03 $ 208,174.18 $ 203,905.00 $ (4,269.18) CHARGES FOR SERVICES Engineering fees $ 5,000.00 $ 12,500.00 $ 25,000.00 $ l2,500.00 Impounding fees 5,l64.50 5,908.50 Lc,800.00 (l,108.50) Removal and burial fees 6,542.00 8,427.50 6,400.00 (2,027.50) Grave marker pellnits 421. 25 807.00 100.00 (707.00) Title transfer fees 40.00 35.00 20.00 (15.00) Admission - Swimming pool 10,775.51 lO , 17 6 . 25 15,000.00 4,823.75 Administrative services 29,133.95 34,574.05 32,375.00 (2,199.05) Fire protection outside CL -SM 88,129.11 106,479.90 77 ,000.00 (29,479.90) Street cut repairs 4,600.04 6,231. 75 5,000.00 (1,231.75) Concrete sawing 267.00 43.00 900.00 857.00 Upkeep services 3.00 3.00 20.00 17.00 Weed cutting services 8,299.01 1l,l97.05 7,500.00 (3,697.05) Plats and rezoning fees 1,297.50 917.50 l,300.00 382.50 Hiscellaneous services - County 6,385.00 6,360.00 8,460.00 2,100.00 Services fees $ 166,057.87 $ 203,660.50 $ 183,875.00 $(19,785.50) FINES AND FORFEITURES Municipal Court fines $ 165,539.64 $ 151,082.50 $ 160,000.00 $ 8,917.50 81. THE CITY OF SALINA Saline County, Kansas GENERAL FUND Schedule 3 (Cont'd.) DETAILED SCHEDULE OF REVENUES For Years Ended December 3l, 1974 1975 (Over) Under Actual Actual Budget Budget REIMBURSED EXPENSES Reimbursement of expenditures $ 8,662. 92 $ 15,938.47 $ :7,500.00 $ (8,438.47) Reimbursement - Special gas tax l82,427.63 l70,950.00 -.1&9,951.00 10,001. 00 $ 191,090.55 $ 186,888.47 $ 188 ,451. 00 $ 1,562.53 MISCELLANEOUS Auditorium rental $ 1,315.00 $ 3,260.00 $ 1,800.00 $ (1,460.00) Rent - Community Theater 780.00 850.00 1,000.00 150.00 Concessions - Oakdale Park 25.04 50.00 50.00 Concessions - Swimming Pool 213. l5 212.90 200.00 (12.90) Concessions - Lakewood Park 2,625.00 2,902.50 2,600.00 (302.50) Lakewood boat rentals Memorial Park Stadium 100.00 100.00 Interest from investments 27,627.78 25,506.93 20,000.00 (5,506.93) Public address system 310.00 725. 00 400.00 (325.00) Office space rental 360.00 4,320.00 360.00 (3,960.00) Adjustments prior years encumbrances 7l.64 572.55 (572.55) Contributions by employees KPERS Rent - Tables and chairs 387.00 (387.00) $ 33,327.61 $ 38,736.88 $ 26.,510.00 $(12,226~ SALES COHMODITIES Sale of comnlodities $ 3,884.43 $ 4,381.37 $ 3,500.00 $ (881.37) Sale of books 176.l0 155.00 300.00 l45.00 Sale of salvage 60.80 115.50 200.00 84.50 Sale of lots 5,114.00 2,329.00 2,000.00 (329.00)- Miscellaneous sales and services 1,536.16 l,463.00 4,000.00 2,537.00 Sale of real estate 1,500.00 9,923.70 1,000.00 (8,923.70) $ 12,271.49 $ 18,367.57 $_11 ,_.t2.°0. 00 $~_§7.57) FRANCHISE FEES Franchise taxes $ 273,742.45 $ 347,689.93 $ 255,000.00 $(92,689.93) Noxious Weeds $ 6,561.16 $ $ $ - Tree Maintenance 7,787.08 Flood Wo rks 29 , 381. 44 $ 43 , 72 9 . 68 $ $ $ 82. CITY COMMISSION Personal Services Salaries Contractual Services Traveling expenses Postage Contributions Legal advertising Insurance - Surety bonds Other contractual services Revision of ordinances Sundry Expenditures Organizational dues THE CITY OF SALINA Saline County, Kansas GENERAL FUND Schedule 3 (Cont'd.) DETAILED SCHEDULE OF EXPENDITURES For Years Ended December 31, 1974 1975 (Over) Under Ac tua 1 Actual Budget Budget $ 500.00 $ 500.00 $ 500.00 $ 3,569.23 6,124.84 3,300.00 (2,824.84) 200.96 380.68 250.00 (130.68) 16,970.00 20,570.00 20,320.00 (250.00) 4,325.47 5,351. 56 4,500.00 (851. 56) 315.00 325.00 lO.OO 4,757.28 4,882.38 2,000.00 (2,882.38) 2,395.52 l,945.23 4 , 100. 00 -L154.77 ~218.46 39,569.69 34,795.00 ~U4.69) 6,768.91 6,998.51 _L155.00 156.49 $---.lM87.37 $ 4L.°68. 20 $_~450. 00 $-_L.~~~~20 CITY MANAGER Personal Services Salaries - Department Head $ 24,225.98 $ 26,581.80 $ 26,125.00 $ (456.80) Salaries - Regular employees 7,329.80 8,605.40 ---L290.00 (315. 4Q) _1l,555.78 _lhl§} . 20 ~415.00 (772.20) Contractual Services Telephone and telegraph 927 . 82 882.13 950.00 67.87 Traveling expenses 513.40 1,279.10 1,000.00 (279.10) Postage 77.15 54.29 75.00 20.71 Insurance - Motor vehicle 107.00 138.00 110.00 (28.00) Insurance - Surety Bonds 18.00 20.00 20.00 Repair - Furniture and office equipment 52.00 49.1+6 50.00 .54 Repair - Motor vehicles 165.15 290.06 350.00 59.94 Repair - Tires 8.00 .38 20.00 19.62 --- ---- _~i2..68.52 _2,713~42 -.1.~¡ 75.00 -- ill8.42) Materials and Supplies Office supp lies 186.11 302.65 230.00 (72.65) Books and periodicals 411.29 494.00 ::00.00 (194.00) Motor vehicle - Fuel and lubricants 277.41 267.28 250.00 (17.28) Motor vehicles - Tires 150.14 125. 92 (125.92) --- l,024.95 1,189.85 780.00 (409.85) 83. THE CITY OF SALINA Saline County, Kansas GENERAL FUND Schedule 3 (Cont'd.) DETAILED SCHEDULE OF EXPENDITURES For Years Ended December 31, 1974 1975 (Over) Under Actual Actual Budget Budget CITY MANAGER (Cont'd.) Sundry Expenditures Organizational dues $ 370.00 $ 390.63 $ 200.00 $ (190.63) Capital Outlay Furniture and fixtures 53.00 (53.00) $ 34,819.25 $ 39,534.10 $ 37,970.00 $ (1,564. 10) CITY CLERK Personal Services Salaries - Department heads $ 29,007.80 $ 31,844.00 $ 3l,285.00 $ (559.00) Salaries - Regular employees 4l,633.42 46,955.03 45,555.00 (1,400.03) 70,641. 22 78,799.03 76,840.00 (1,959.03) Contractual Services Telephone and telegraph 1,365.81 1,335.71 1,400.00 64.29 Traveling expenses l,238.09 1,300.45 700.00 (600.45) Postage 836.16 807.64 800.00 (7.64) Printing office forms 497.45 1,851. 54 900.00 (951.54) Insurance - Surety Bonds 223.50 223.50 200.00 (23.50) Repair - Furniture and office equipment 756.21 1,262.82 1,390.00 127.18 Rent - Machinery and equipment 9,716.90 7,846.78 9,000.00 l,153.22 Auditing - Accounting services 3,lOO.00 2,750.00 3,000.00 250.00 Other professional services 486.93 423.41 500.00 76.59 18,221. 05 --.lI.J3 0 1. 8 5 17 ,,890. 00 88.15 Materials and Supplies Office supplies 2,958.55 1,791. 84 2:,600.00 808.16 Books and periodicals 293.90 139.70 200.00 60.30 --.l.,252.45 1,931. 54 ---L 800. 00 868.46 Sundry Expenditures Organizational dues 345.00 375.00 345.00 (30.00) Refunds 268.50 212.97 300.00 87.03 613.50 587.97 645.00 57.03 Capital Outlay Furniture and fixtures 399.16 116.15 300.00 183.85 Office mechanical equipment 608.60 604.50 500.00 (104.50) 1,007.76 720.65 800.00 79.35 $ 93,735.98 $ 99,841. 04 $~975.00 $ ( 8 6 6 . 04 ) 84. THE CITY OF SALINA Saline County, Kansas GENERAL FUND Schedule 3 (Cont'd.) DETAILED SCHEDULE OF EXPENDITURES For Years Ended December 31, 1974 1975 (Over) Under Actua 1 Actual Budget Budget CITY ATTORNEY Personal Services Salaries - Department head $ 10,064.80 $ ll, 038.51 $ 10,850.00 $ (188.51) Salaries - Regular employees 8,039.80 8,811.3l 8,665.00 (146.3l) 18,l04.60 19,849.82 19,515.00 (334.82) Contractual Services Legal services 2,443.28 2,781.50 4,500.00 1,718.50 Materials and Supplies Books and periodicals 464.19 335.92 250.00 (85.92) $ 2l,Ol2.07 $ 22,967.24 $ 24.,265.00 $ 1,297.76 MUNICIPAL COURT Personal Services Salaries - Department head $ 6,746.40 $ 7,579.74 $ 7,455.00 $ (124.74) Salaries - Regular employees 1l,790.80 13 , 604.80 ~365.00 (239.80) l8,537.20 2l , 184. 54 ~820.00 (364.54) Contractual Services Telephone and telegraph 594.97 651. 43 550.00 (101. 43) Printing office forms 545.55 255.45 350.00 94.55 Insurance - Motor vehicles 89.00 93.00 95.00 2.00 Insurance - Surety Bonds 10.00 20.00 10.00 (10.00) Repair - Motor vehicle 601. 96 166.85 300.00 l33.l5 Repair - Tires 2.50 20.00 17.50 Other professional services l,042.25 1, l21. 00 750.00 (371. 00) 2,883.73 2,310.23 -L°75.00 (235.23) Materials and Supplies Office supplies 253.63 184. 77 150.00 (34.77) Motor vehicle - Fue 1 and lubricants 185. 91 469.31 275.00 (194.31) Other operating supplies 45.49 2.00 50.00 48.00 Motor vehicle - Tires 8l.06 (81.06) 485.03 737.14 475.00 (262.14) Sundry Expenditures Refunds 50.00 50.00 Capital Outlay Furniture and fixtures 94.50 Office mechanical equipment 179.50 630.00 550.00 (80.00) 274.00 630.00 .550.00 (80.00) $ 22,179.96 $ 24,861. 9l $~no.oo $ (891. 91) 85. THE CITY OF SALINA Saline County, Kansas GENERAL FUND Schedule 3 (Cont'd.) DETAILED SCHEDULE OF EXPENDITURES For Years Ended December 31, 1974 1975 (Over) Under Actual Actual Budget Budget BUILDINGS Personal Services Salaries - Regular employees $ 11,805.11 $ l3,985.97 $ 13,695.00 $ (290.97) Contractual Services Insurance - Fire 6,125.95 7,609.65 6,000.00 (1,609.65) Gas service 880.87 1,148.90 900.00 (248.90) Light and power service 3,954.02 4,946.59 3,l40.00 (l,806.59) Water service 359.67 377 .55 300.00 (77.55) Repair - Buildings 1,580.48 2,318.8l l,OOO.OO (1,3l8.8l) Laundry and towel service 36.38 102.54 75.00 (27.54) Other professional services 790.46 170.60 200.00 29.40 Other contractual services 22,010.13 24 , 719 . 81 18,400.00 (6,319.8l) 35,737.96 41,394.45 30,Ol5.00 (11,379.45) Materials and Supplies Expendable tools 82.79 97.09 50.00 (47.09) Janitor and toilet supplies 1,904.47 2,l50.82 1,950.00 (200.82) Electrical and lighting parts 902.93 550.86 500.00 (50.86) Lumber and lumber products 858.31 89.97 200.00 110.03 Paint and painting materials 178.41 39.22 200.00 160.78 3,926. 91 2,927.96 ----.L 900.00 (27.96) Equipment Equipment 126.00 $ 51,595.98 $ 58,308.38 $~610.00 $ilL698.38) ENGINEERING Personal Services Salaries - Department head $ l5,840.80 $ 18,176.80 $ l7,870.00 $ (306.80) Salaries - Regular employees 68,962.54 82,663.76 - 80,200.00 (2,463.76) 84,803.34 100,840.56 ~070.00 (2, 770~ Contractual Services Telephone and telegraph 811. 96 816.00 800.00 (16.00) Traveling expenses 814.14 l,277.99 800.00 (477.99) Postage 115. 73 79.35 80.00 .65 Blueprints 152.26 100.00 (52.26) Insurance - Hotor vehicles 327.00 315 . 00 330.00 15.00 Repair - Furniture and office equipment 307.90 258.02 310.00 51.98 Repair - Machinery and equipment 2,044.90 1,586.71 l,:200.00 (386. 71) Repair - Tires 103.71 63.49 50.00 (13.49) Repair - Radio equipment 226.50 252.10 200.00 (52. 10) 4 , 751. 84 4,800.92 ----2.,j370.00 (930.92) 86. THE CITY OF SALINA Saline County, Kansas GENERAL FUND Schedule 3 (Cont 'd.) DETAILED SCHEDULE OF EXPENDITURES For Years Ended December 31, 1974 1975 (Over) Under Actual Actual Budget Budget ENGINEERING (Cont 'd.) Materials and Supplies Office supplies $ 220.65 $ 455.18 $ 250.00 $ (205.18) Books and periodicals 117.49 136.33 50.00 (86.33) Drafting and engineering supplies 749.17 1,163.46 800.00 (363.46) Motor vehicles - Fuel and lubricants 1,494.07 1,358.08 1,350.00 (8.08) Motor vehicles - License tags 11. 50 8.00 10.00 2.00 Lumber and lumber products 66.79 27.05 75.00 47.95 Motor vehicles - Tires 130.76 119.68 150.00 30.32 2,790.43 3,267.78 ~85.00 (582.78) Sundry Expenditures Organizational dues 326.00 267.00 ----180.00 13.00 Capital Outlay Engineering equipment 136.10 69.95 100.00 30.05 Equipment l,470.00 455.00 L,50.00 (5.00) 1,606.10 524.95 550.00 25.05 $ 94, 277 . 71 $109,701. 21 $105,/+55.00 $ (4,246.21) FIRE Personal Services Salaries - Department head $ 12,562.00 $ l4, 451. 20 $ 14,195.00 $ (256.20) Salaries - Regular employees 552,341. 37 549,097.50 574,925.00 25,827.50 564,903.37 563,548.70 589,120.00 25,571. 30 Contractual Services Telephone and telegraph 2,677.79 2,731.49 2,700.00 (31.49) Traveling expenses 553.72 929.60 450.00 (479.60) postage 79.05 43.95 120.00 76.05 Printing office forms 180.40 146.04 150.00 3.96 Insurance - Motor vehicles 2,802.00 2,l57.00 2,805.00 648.00 Gas service 1,586.59 3,086.60 2,800.00 (286.60) Light and power service 3,748.02 5,124.27 3,250.00 (1,874.27) Water service 1,106.22 1 , 132.68 850.00 (282.68) Repair - Buildings 194.44 157.24 300.00 142.76 Repair - Furniture and office equipment 168.80 116.37 175.00 58.63 Repair - Machinery and equipment 163.21 335.01 300.00 (35.01) Repair - Motor vehicles 104.22 500.03 300.00 (200.03) Repair - Tires 46.75 136.84 50.00 (86.84) Repair - Radio equipment 2,910.47 2,587.56 2,600.00 12.44 Other professional services 10,096.24 2,808.43 500.00 (2,308.43) 26,417.92 21,993.11 17,350.00 (4,643.11) 87. THE CITY OF SALINA Saline County, Kansas GENERAL FUND Schedule 3 (Cont'd.) DETAILED SCHEDULE OF EXPENDITURES For Years Ended December 3l, 1974 1975 (Over) Under Actual Actual Budget Budget FIRE (Cont' d.) Materials and Supplies Expendable tools $ 551. 46 $ 905.18 $ 820.00 $ (85.18) Office supplies 209.46 183.21 300.00 116.79 Books and periodicals 455.76 477.l2 450.00 (27.12) Janitor and toilet supplies 1,356.71 1,641. 22 l,450.00 (l91. 22) Motor vehicles - Fue 1 and lubricants 3,405.41 3,8l6.55 3,200.00 (6l6.55) Seeds, plants, trees, lawn supplies 135.29 57.53 150.00 92.47 Wearing apparel 5,997.95 6,338.85 4,000.00 (2,338.85) Other operating supplies 962.09 724.83 900.00 175.17 Electrical and lighting parts 550.13 860.46 325.00 (535.46) Lumber and lumber products 129.73 47.52 100.00 52.48 Machinery and equipment 871.77 973 . 53 1,000.00 26.47 Metal and metal products 736.52 l71. 02 100.00 (71.02) Motor vehicles - Parts 866.05 2,397.55 1,300.00 (1,097.55) Motor vehicles - Tires 882.79 703.60 ßOO.OO 96.40 Paint and painting materials 604.47 326.45 330.00 3.55 Photograph supplies 112.86 241. 74 180.00 (61. 74) Welding supplies l58.62 161. 90 100.00 (61.90) Other repairs - Maintenance 284.54 1,011.26 300.00 (711.26) 18,271. 61 21,039.52 ~305.00 (5,234.52) Sundry Expenditures Organizational dues 107.50 112.50 110.00 (2.50) Capital Outlay Equipment 1,792.87 399.43 65.00 (334.43) Fire fighting equipment 2,l59.53 10,972 . 00 (10,972.00) Furniture and fixtures 817.58 686.00 ~OO.OO (286.00) Personnel protecting equipment 560.19 1,735.29 l,OOO.OO (735.29) Office mechanical equipment 255.00 5,585.l7 - 13, 7 92. 72 .--L.465.00 (12,327. 7'L) $6l5,285.57 $920,486.55 $623,850.00 $ D63.45 INSPECTION Personal Services Salaries - Department head $ 10,819.60 $ 12,460.00 $ l2,290.00 $ (170.00) Salaries - Regular employees 31,781.31 34,757.39 ....l1L 025.00 3,267.6l 42,600.91 47,217.39 ~315.00 3,097.61 88. THE CITY OF SALINA Saline County, Kansas GENERAL FUND Schedule 3 (Cont'd.) DETAILED SCHEDULE OF EXPENDITURES For Years Ended December 31, 1974 1975 (Over) Under Actual Actual Budget Budget INSPECTION (Cont'd.) Contractual Services Telephone and telegraph $ 1,008.88 $ 1,091. 4l $ l,lOO.OO $ 8.59 Traveling expense 157.67 674.32 130.00 (544.32) Postage 385.56 l87 . 11 300.00 112.89 Printing office forms l87. 92 338.57 350.00 ll.43 Insurance - Motor vehicles 460.00 308.00 460.00 l52.00 Repair - Machinery and equipment l,631.43 1,769.l7 l,500.00 (269.l7) Repair Tires 9.25 5.00 2:0.00 l5.00 Repair - Radio equipment 270.00 383.25 270.00 013.25) 4,110.71 4.756.83 4,130.00 (626.83) Materials and Supplies Office supplies 388.4l 405.89 275.00 (130.89) Books and periodicals 225.l0 136.82 l50.00 l3.18 Motor vehicles - Fuel and lubricants l,268.39 l,3l5.l3 1,350.00 34.87 Motor vehicles - License tags lO.OO 8.00 10.00 2.00 Other operating supplies l5.64 25.00 9.36 Motor vehicles - Tires 203.54 200.00 200.00 Photography supplies 245.40 113. 14 150.00 36.86 2,340.84 l,994.62 2,160.00 165.38 Sundry Expenditures Organizational dues 2l9.00 210.00 210.00 Capital Outlay Furniture and fixtures 192. 27 194.60 100.00 (94.60) $ 49,1+63.73 $ 54,373.44 $ ...d§~5. 00 $~41.56 PARK Personal Services Salaries - Department head $ 11,960.85 $ l3,119.20 $ l2,ß90.00 $ (229.20) Salaries - Regular employees 62,851. 64 74,969.65 83,645.00 8,675.35 Salaries - Part time employees 12,657.50 10,546.52 l4,500.00 3,953.48 87,469.99 98,635.37 .Vl,035.00 l2,399.63 Contractual Services Telephone and telegraph 633.04 753.47 700.00 (53.47) Traveling expenses 88.78 l5.05 lOO.OO 84.95 Insurance - Build ings liab i li ty - Grandstand, others 324.00 210.00 325.00 115. 00 Insurance - Motor vehicles 544.00 582.00 700.00 118. 00 Gas service 1,167.48 1,405.76 1,300.00 (105.76) Light and power service 1,453.89 l,986.03 1,400.00 (586.03) 89. THE CITY OF SALINA Saline County, Kansas GENERAL FUND DETAILED SCHEDULE OF EXPENDITURES For Years Ended December 31, PARK (Cont' d.) Contractual Services (Cont'd.) Water service Repair - Buildings Repair - Machinery and equipment Repair - Tires and Tubes Repair - Radio equipment Solid waste disposal Other contractual services Materials and Supplies Expendable tools Office supplies Books and periodicals Chemicals, drugs, etc. Motor vehicles - Fuel and lubricants Motor vehicles License tags Recreational supplies Memorial Park Stadium Seeds, plants, trees, lawn supplies Other operating supplies Cement and cement products Electrical and lighting parts Lumber and lumber products Motor vehicles - Tires and tubes Paint and painting materials Sand, gravel, rock and chat Sundry Expenditures Organizational dues Sales tax remitted Capital Outlay Building Equipment Park equipment - Mowers 1974 Actual $ 2,6l8.32 54.23 4,689.96 180.80 162.00 350.00 826.14 13,092.64 461.61 19.96 13.55 l,200.l2 2,390.69 16.00 l,125.98 399.11 2,155.47 1,241. 23 201.44 248.00 286.65 428.90 57.96 10,246.67 65.00 65.00 2,025.58 1,442.59 890.92 4,359.09 $115,233.39 1975 Actual $ 2,069.19 1,387.95 6,442.l6 339.77 162.00 340.00 950.86 16,644.24 734.50 45.37 949. 77 3,036.15 14.00 1,409.99 346.57 3,106.30 1,751. 42 374.86 403.54 508.57 39.79 963. 72 126.60 13,811.l5 201. 00 201. 00 1,728.09 595.00 _~060.44 4,383.53 $133,675.29 Budge.!;. $ 2,000.00 800.00 4,500.00 170.00 220.00 350.00 650.00 13,215.00 410.00 30.00 15.00 1,000.00 2,000.00 20.00 1,645.00 400.00 4,660.00 750.00 200.00 300.00 400.00 50.00 300.00 100.00 12,280.00 50.00 50.00 $136,580.00 Schedule 3 (Cont'd.) (Over) Under Budget $ (69.19) (587.95) (1,942.l6) (169.77) 58.00 10.00 (300.86) (3,429.24) (324.50) ( 15 . 37) l5.00 50.23 (1,036.15) 6.00 235.01 53.43 1,553.70 (1,001.42) (174.86) (l03.54) (108.57) 10.21 (663.72) (26.60) (1,531.l5) (151.00) (151. 00) (1,728.09) (595.00) (2,060.44) (4,383.53) $ 2 ,904.71 90. THE CITY OF SALINA Saline County, Kansas GENERAL FUND Schedule 3 (Cont'd.) DETAILED SCHEDULE OF EXPENDITURES For Years Ended December 31, 1974 1975 (Over) Under Actual Actual Bu(~ Budget POLICE Personal Services Salaries - Department head $ 14,615.78 $ 17,392.80 $ l6,430.00 $ (962.80) Salaries - Regular employees 584,445.96 593,236.37 622,920.00 29,683.63 Salaries - Part time employees 7 ,298.12 2,638.16 ~430.00 791. 84 606,359.86 613,267.33 642,780.00 29,5l2.67 Contractual Services Telephone and telegraph 7,521.32 7,682.00 7,000.00 (682.00) Traveling expenses 912.88 438.88 750. 00 311.12 Postage 1,503.01 1,702.95 l,300.00 (402.95) Food - Prisoners 3,885.9l 4,532.75 6,000.00 l,467.25 Printing office forms 1,179.02 2,439.l8 l,ßOO.OO (639.18) Insurance - Motor vehicles 1,772.00 1,585.00 l,lOO.OO 115.00 Insurance - Surety Bonds 126.50 114.50 100.00 (l4. 50) Gas service 2,479.87 3,155.51 3,000.00 (155.5l) Light and power service 3,666.58 5,436.20 3,600.00 (l,836.20) Water service 259.86 291. 84 300.00 8.16 Animal shelter utilities 927.17 l,102.48 1,200.00 97.52 Repair - Buildings l,685.80 3,750.8l 2,000.00 (l,750.8l) Repair - Furniture and office equipment l,308.82 l,840.27 l,500.00 (340.27) Repair - Machinery and equipment 24,826.41 27,755.73 20,000.00 (7,755.73) Repair - Tires 345.32 352.25 200.00 (l52.25) Repair - Radio equipment 3,605.00 4,050.69 3,700.00 (350.69) Rent - Machinery and equipment 2,576.51 2,841. 93 2,500.00 (341. 93) Laundry and towel service 585.93 688.89 750.00 61.11 Medical services 1,362.59 1,703.38 1,400.00 (303.38) Other professional services l,123.56 1,707.72 1,000.00 (707. 72) Solid waste disposal 500.00 400.00 300.00 (100.00) Other contractual services 2,976.35 720.51 2,000.00 1,279.49 _65,130.41 74,293.47 62,100.00 (l2,193.47) Materials and Supplies Expendable tools 1,013.63 1,056.95 650.00 (406.95) Office supplies l, 781. 54 2,601.53 1,600.00 (l,001.53) Books and periodicals 582.01 636.90 550.00 (86.90) Food and supplies for animals 695.08 1,058.96 500.00 (558.96) Motor vehicles - Fue 1 and lubricants 33,962.38 34,511. 66 35,000.00 488.34 Motor vehicles - License tags 97.50 49.50 25.00 (24.50) Wearing apparel 8,759.06 8,729.71 10,500.00 1,770.29 Other operating supplies 763.30 708.43 500. 00 (208.43) Electrical and lighting parts 77.14 29.57 100.00 70.43 Lumber and lumber products 118. 16 57.67 200.00 142.33 Motor vehicles - Tires 4,235.33 6,092.l4 4,000.00 (2,092.14) 91. THE CITY OF SALINA Saline County, Kansas GENERAL FUND Schedule 3 (Cont'd.) DETAILED SCHEDULE OF EXPENDITURES For Years Ended December 31, 1974 1975 (Over) Under Ac tua 1 Actual Bud~ Budget POLICE (Cont'd.) Materials and Supplies (Cont'd.) Paint and painting supplies $ 388.57 $ 108.03 $ 300.00 $ 191. 97 Photography materials 876.76 1,485.53 1,000.00 (485.53) Training and training supplies 1,570.04 2,062.11 -LJ)OO.OO (62.11) 54,920.50 59,188.69 -2~_2}25. 00 (2,263.69) Sundry Expenditures Organizational dues 555.00 190.00 ~.50. 00 260.00 Capital Outlay Equipment 1,953.47 4,762.08 2,700.00 (2,062.08) Furniture and fixtures 944.24 448.80 350.00 (98.80) Officers service equipment 2,098.10 1,427.36 1,700.00 272.64 Office mechanical equipment 584.63 260.l4 300.00 39.86 Automobiles and motorcycles 5,580.44 6,898.38 5,050.00 (1,848.38) $732,546.21 $753,837.87 $767,305.00 $ 13,467.l3 STREET Personal Services Salaries Director of services $ 15,108.40 $ 17,392.80 $ 17,090.00 $ (302.80) Sa laries - Regular employees 157,226.61 186,301. 90 227,06~ 40,763.l0 172,335.01 203,694.70 244,15~ 40,460.30 Contractual Services Telephone and telegraph 327.09 335.12 360.00 24.88 Traveling expenses 8.66 7.94 100.00 92.06 Insurance - Motor vehicles 2,406.00 2,494.00 2,410.00 (84.00) Gas service 874 . 94 l,209.77 l,OOO.OO (209.77) Light and power service 223.53 393.93 400.00 6.07 Water service 70.51 87.69 100.00 l2.31 Repair - Machinery and equipment 28,513.29 27,746.78 28,000.00 253.22 Repair - Tires and tubes 1,669.17 2,668.18 1,720.00 (948.18) Repair - Radio equipment 742.85 852.30 700.00 (152.30) Laundry and towel service 57.46 117 . 25 40.00 (77.25) Other professional services 6.50 20.00 50.00 30.00 34,900.00 35,932.96 34,880.00 (1,052.96) Materials and Supplies Expendable tools 555. 11 753.20 850.00 96.80 Office supplies 39.91 11. 30 25..00 13.70 Chemicals and drugs Fuel and lubricants except motor 1,067.70 747.22 800.00 52.78 Motor vehicles - Fuel and lubricants 15,494.89 21,083.70 17,325.00 (3,758.70) 92. THE CITY OF SALINA Saline County, Kansas GENERAL FUND Schedule 3 (Cont'd.) DETAILED SCHEDULE OF EXPENDITURES For Years Ended December 31, STREET (Con t 'd. ) Materials and Supplies (Cont'd.) Motor vehicles - License tags Other operating supplies Lumber and lumber products Machinery and equipment parts Metal and metal products Motor vehicles - Tires and tubes Sand, gravel, rock, salt, chat Sweeper parts Sundry Expenditures Organizational dues Capital Outlay Equipment Radio equipment Street equipment STREET LIGHTING Contractual Services Light and power service TRAFFIC CONTROL Personal Services Salaries - Regular employees Salaries - Part time employees Contractual Services Telephone and telegraph Traveling expenses Insurance - Motor vehicles Light and power service Repair Machinery and equipment Repair - Tires and tubes Repair - Radio equipment Repair - Traffic lights Other professional services 1974 Actual 1975 (Over) Under Actual Bu¿~ Budget $ 46.50 $ 30.00 $ (l6. 50) 1,401. 85 550.00 (851.85) 284.34 150.00 (134.34) 922.30 l,OOO.OO 77.70 264.29 150.00 (114.29) 284.50 775.00 490.50 l,269.23 1,350.00 80.77 2,780.79 ~~80. 00 699.21 29,849.22 ~~85 . 00 (3,364.22) 15.00 15.00 $ 34.00 187.68 131. 64 928.50 63.97 95.l8 2,550.71 5,282.50 26,431.79 25.00 l,550.39 (1,550.39) 595.00 (595.00) 5,100.00 ----100.00 (4,900.00) 7,245.39 200.00 (7,045.39) $233,691. 80 $276,722.27 $305,735.00 $ 29,Ol2.73 . $ 87,576.21 $ 93,018.55 $ 98,000.00 $ 4 , 981. 45 $ 24,324.62 $ 28,971.88 $ 32,765.00 $ 3,793.l2 2,101.40 26,426.02 28,971. 88 32,765.00 3,793.12 295.65 239.48 300.00 60.52 392.16 72.83 300.00 227.l7 210.00 275.00 210.00 (65.00) 5,152.55 8,105.10 5,300.00 (2,805.10) 1,632.30 3,528.66 800.00 (2,728.66) 28.24 46.87 50.00 3.13 l08.00 153.00 110.00 (43.00) 1,841. 66 814.l0 2,000.00 1,l85.90 2,666.20 2,707.55 2,800.00 92.45 12,326.76 15,942.59 11,870.00 (4,072.59) 93. THE CITY OF SALINA Saline County, Kansas GENERAL FUND Schedule 3 (Cont'd.) DETAILED SCHEDULE OF EXPENDITURES For Years Ended December 31, 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 SWIMMING POOLS Personal Services Salaries - Regular employees Contractual Services Telephone and telegraph Gas service Light and power service Water service Repair - Buildings Repair - Machinery ,nd equipment Other professional,ervices Liability insurance 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 1974 Actual 1975 (Over) Under Ac tua 1 Budget Budget $ 131. 97 $ 150.00 $ l8.03 1, l87 .81 l,O50.00 (137.81) 10.00 5.00 (5. 00) 17.70 300.00 282.30 2,536.07 2,500.00 (36.07) 32.46 35.00 2.54 lO.70 80.00 69.30 99.86 50.00 (49.86) 4,026.57 ~70.00 l43.43 $ 252. 77 l, 041. 46 4.00 4,454.81 2,314.37 17.28 75.70 23.39 8,l83.78 4,386.80 $ 5l,323.36 $ 48,941. 04 $ 48,805.00 $ (136.04) $ 12,792.40 $ 15,302.52 $ l4,025.00 $ (l,277.52) 151. 55 164.47 lL~O.OO (24.47) 12. 72 26.26 L~O. 00 13.74 498.25 876.85 650.00 (226.85) 1,138.48 1,687.88 l,400.00 (287.88) 224.00 l,314.24 l,OSO.OO (264.24) 300.00 300.00 304.37 242.30 300.00 57.70 338.00 (338.00) 2,329.37 4,650.00 3,880.00 (770.00) 125.79 87.21 110.00 22.79 57.93 81.84 100.00 18.l6 631. 86 393.10 500.00 l06.90 22.00 306.11 100.00 (206.11) 48.74 112.08 200.00 87.92 10.57 83.95 150.00 66.05 24.65 57.27 20.00 (37.27) 1,066.33 584.29 300.00 (284.29) 37.11 1,978.40 l,500.00 (478.40) 2,024.98 3,684.25 2,980.00 (704.25) 324.38 302.4l 400.00 97.59 94. THE CITY OF SALINA Saline County, Kansas GENERAL FUND Schedule 3 (Cont'd.) DETAILED SCHEDULE OF EXPENDITURES For Years Ended December 31, 1974 1975 (Over) Under Actual Ac tua 1 Bud~ Budget SWIMMING POOLS (Cont 'd.) Capital Outlay Equipment $ 450.00 $ 554.63 $ $ (554.63) $ 17,921. l3 $ 24,493.81 $-1.L.285.00 $ (3,208.8l) ADMINISTRATION AND PLANNING Personal Services Salaries - Department heads $ 3l,281.20 $ 35,932.80 $ 35,295.00 $ (637.80) Salaries - Regular employees 25,100.68 32,674.98 32,910.00 235.02 Salaries Part time employees 333.20 ----Lj)00. 00 l,OOO.OO 56,715.08 68,607.78 69,205.00 597.22 Contractual Services Telephone and telegraph 606.22 989.97 890.00 (99.97) Traveling expenses 469.57 714.03 500.00 (214.03) Postage 280.58 342.86 250.00 (92.86) Insurance - Motor vehicles 88.00 149.00 90.00 (59.00) Repair - Furniture and office equipment 164.03 137.47 17 5. 00 37.53 Repair - Machinery and equipment 1,136.56 994.56 275.00 (719.56) Repair - Tires 34.27 10.00 lO.OO Other pycfessional services 1,565.38 99.25 5 DO. 00 400.75 4,344.61 3,427.l4 2,690.00 (737.l4) Materials and Supplies Office supplies 462.24 608.37 500.00 (108.37) Books and periodicals 744.51 309.65 4/5.00 165.35 Motor vehicles - Fuel and lubricants 295.45 361. 00 2"75.00 (86.00) Other operating supplies l82. 16 72.37 200.00 l27.63 Motor vehicles - Tires 51. 10 104.34 50.00 (54.34) 1,735.46 l,455.73 1,500.00 44.27 Sundry Expenditures Organizational dues 247.50 263.00 3l0.00 47.00 Capital Outlay Office equipment 251. 26 $ 63,293.91 $ 73,753.65 $ 73,705.00 $ (48.65) INSURANCE AND CONTINGENCIES Contractual Services Group insurance $ 37,487.31 $ 44,798.31 $ 42,240.00 $ (2,558.3l) Medical services 459. 60 376.25 550.00 173.75 Workmen's Compensation 14,664.00 52,610.91 45,174.56 42,790.00 (2,384.56) 95. THE CITY 01 SALINA Saline County, Kansas GENERAL FUND DETAILED SCHEDULE OF EXPENDITURES For Years Ended December 3l, Schedule 3 (Cont'd.) 1974 1975 (Over) Under Actual Actual Bud~ Budget INSURANCE AND CONTINGENCIES (Con t 'd.) Sundry Expenditures Contingencies $ 43,651. 72 $ 46,480.47 $ 30,000.00 $ (16 ,480.47) Civil defense system 9,166.87 ~JOO.OO (166.87) 43,651.72 55,647.34 ~)OO. 00 (16,647.34) $ 96,262.63 $100,821. 90 $~/90. 00 $ (19,031. 90) BAND Contractual Services Appropriation CEMETERY Personal Services Salaries - Regular employees Contractua 1 Telephone Traveling Insurance Gas service Light and power service Water service Repair - Buildings Repair - Machinery and equipment Repair - Tires Other professional services Disposal charges Services and telegraph expenses 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 materials Sand, gravel, rock and chat Sundry Expenditures Organizational dues $ 12,500.00 $ 15,000.00 $ 22,375.9l $ 25,479.36 194.35 7.l8 111. 00 388.53 9.41 78.00 1,115.16 885.97 21.62 114.45 200.25 108.00 391. 64 28.73 78.00 391.30 961.69 39.19 2,925.67 2,198.80 10.27 12.11 40.40 42.54 675.3l 121. 71 78.06 659.33 126.22 188.42 75.62 77.70 59.46 101. 03 29.óO 163.16 19.18 111. 65 1,211.27 1,380.50 $~IOO.OO $ $~85.00 $ (894.36) 230.00 29.75 50.00 50.00 110.00 2.00 450.00 58.36 20.00 (8.73) 100.00 22.00 600.00 208.70 700.00 (261. 69) 50.00 10.8l 100.00 100.00 25.00 25.00 2,435.00 236.20 30.00 (10.40) 85.00 42.46 600.00 (59.33) 125.00 (1. 22) 240.00 51. 58 25.00 25.00 50.00 20.40 100.00 (63.16) 40.00 20.82 200.00 88.35 1,495.00 114.50 35.00 35.00 96. THE CITY OF SALINA Saline County, Kansas GENERAL FUND Schedule 3 (Con t 'd. ) DETAILED SCHEDULE OF EXPENDITURES For Years Ended December 3l, CEMETERY (Cont'd.) Capital Outlay Land Equipment GENERAL IMPROVEMENT Personal Services Salaries - Regular employees Salaries - Part time employees Contractual Services Insurance - Motor vehicles Repair - Machinery and equipment Repair - Tires Materials and Supplies Expendable tools Motor vehicles - Fuel and lubricants Motor vehicles - License tags Other operating supplies MEMORIAL HALL Personal Services Salaries - Regular employees Contractual Services Telephone and telegraph Insurance - Liability 3 years Gas service Light and power service Water service Repair - Building boiler Repair - Machinery and equipment 1974 1975 (Over) Under Actual Actual Bud~ Budget $ 400.00 $ $ 200.00 $ 200.00 l,268.00 1,668.00 200.00 200.00 $ 28,l80.85 $ 29,058.66 $~750. 00 $ (308.66) $ 25,315.19 $ 26,511.67 $ 26,540.00 $ 28.33 1,670.58 4,713.50 ~IOO. 00 (713.50) 26,985. 77 31,225.17 ~40. 00 (685.17) 65.00 65.00 65.00 219.99 741. 35 350.00 (391.35) 3.00 40.00 37.00 284.99 809.35 455.00 (354.35) 14.77 209.57 150.00 (59. 57) 243.47 261. 58 390.00 128.42 4.00 7.50 5.00 (2.50) 3.00 5.66 50.00 44.34 265.24 484.31 595.00 110.69 $ 27,536.00 $ 32,5l8.83 $ 31 ,590. 00 $ (928.83) $ 6,342.20 $ 6,742.23 $ 7,190.00 $ 447.77 142.44 142.44 185.00 42.56 187. 00 458.00 (458.00) 2,341.52 2,403.64 2,400.00 (3.64) 224.19 444.73 300.00 (144.73) 239.39 248.l9 250.00 1.81 406.10 42.71 lOO.OO 57.29 2,878.49 l,039.47 200.00 (839.47) 6,419.13 4,779.l8 3,435.00 (1,344. l8) 97. THE CITY OF SALINA Saline County, Kansas GENERAL FUND Schedule 3 (Con t 'd.) DETAILED SCHEDULE OF EXPENDITURES For Years Ended December 3l, 1974 1975 (Over) Under Actual Actual Bud~ Budget MEMORIAL HALL (Cont I d.) Materials and Supplies Expendable tools $ 35.39 $ 85.29 $ 50.00 $ (35.29) Other operating supplies 84.42 393.46 100.00 (293.46) Lumber and lumber products 40.06 53.73 25.00 (28.73) Paint and painting materials 38.80 50.00 l1. 20 Janitor supplies 47.05 (47.05) 159.87 618.33 225.00 (393.33) Sundry Expenditures Public address system 170.00 365.00 11-00.00 35.00 $ 13,091. 20 $ l2,504.74 $ --U.J~5 0 . 00 $ (1,254.74) PUBLIC HEALTH Contractual Services Appropriation - City $ 41,735.00 $ 20,165.00 $~.65.00 $ INDUSTRIAL DEVELOPMENT Contractual Services Other professional services $ 19,702.51 $ 19,988.38 $~OO.OO $ 11. 62 NOXIOUS WEED Personal Services Salaries $ 4,473.04 $ 7,642.09 $ 5,000.00 $ (2,642.09) Contractual Services Repairs - Machinery and Equipment 1,272.43 2,210.88 l,2:25.00 (985.88) Repairs - Tires and tubes 99.73 198.34 125.00 (73.34) 1,372.16 2,409.22 1,350.00 0,059.22) Materials and Supplies Chemicals 490.90 544.50 600.00 55.50 Fuel and lubricants 848.41 l,068.73 660.00 (408.73) Machinery and equipment - Repair parts 100.00 100.00 Motor vehicle - Tires and tubes 50.00 125.00 75.00 1,339.31 1,663.23 l,485.00 078.23) Sundry Expenditures Transfer to other funds 648.69 $ 7,833.20 $ 11,714.54 $ 7,835.00 $ (3,879.54) 98. THE CITY OF SALINA Saline County, Kansas GENERAL FUND Schedule 3 (Cont'd.) DETAILED SCHEDULE OF EXPENDITURES For Years Ended December 31, TREE MAINTENANCE Personal Services Salaries - Regular employees Salaries - Part time Contractual Services Insurance - Equipment Repair - Machinery and equipment Materials and Supplies Chemicals Motor vehicles - Fue1& and lubricants FLOOD WORKS Personal Services Salaries - Regular employees Contractual Services Insurance - Motor vehicles Repair - Machinery and equipment Repair - Tire and tubes Other professional services Other contractual services Materials and Supplies Expendable tools Chemicals Motor vehicles - Fuel and lubricants Motor vehicles - License tags Other operating supplies Cement and cement products Motor vehicles - Tires and tubes Paint and painting supplies Sand, gravel, rock and chat 1974 Ac tua 1 1975 Actual (Over) Under Budget Budget $ 6,500.00 $ l,883.24 ---.b 500. 00 (253.75) ~ 000.00 l,629.49 65.00 27.00 500.00 (2,671.09) 565.00 (2,644.09) 100.00 100.00 150.00 88.66 250.00 l88.66 $~n5.00 $ (825.94) $ 5,923.43 $ 4,6l6.76 2,111.36 2,753.75 8,034.79 7,370.5l 42.00 38.00 425.04 3,171.09 467.04 3,209.09 58.06 6l.34 58.06 61.34 $ 8,559.89 $ lO,640.94 $ 22,495.39 $ 25,852.28 $-1U95.00 $ (157.28) 330.00 321. 00 335.00 14.00 l,3l7.64 2,735.80 l,750.00 (985.80) 24.00 31. 50 125.00 93.50 30.00 62.00 100.00 38.00 459.66 lOO.OO 100.00 2,161.30 3,l50.30 2,410.00 (740.30) 24.11 36.18 20.00 (l6.18) 956.50 l,140.00 8/0.00 (270.00) 1,291.12 1,437.00 1,400.00 (37.00) 8.00 8.00 10.00 2.00 23. 72 64.42 75.00 lO.58 84.05 75.00 75.00 11. 82 100.00 88.18 59.84 42.52 50.00 7.48 lO1. 73 306.27 lOO.OO (206.27) 2,549.07 3,046.21 2,700.00 (346.21) 99. FLOOD WORKS (Cont'd.) Sundry Expenditures Transfer to other funds Capital Outlay Radio equipment THE CITY OF SALINA Saline County, Kansas GENERAL FUND DETAILED SCHEDULE OF EXPENDITURES For Years Ended December 31, 1974 Actual 1975 Actual $ $ 3,773.62 595.00 $ 30,979.38 $ 32,643.79 Budget $ $ 30..805.00 Schedule 3 (Con t 'd. ) (Over) Under Budget $ (595.00) $ (l,838.79) 100. THE CITY OF SALINA Saline County, Kansas CONSTRUCTION FUND - RECEIPTS. EXPENDITURES AND BALANCES Schedule 4 For the Year Ended December 3l, 1975 Balance Balance 1-1-75 Receipts Expenditures Transfers 12-31-75 Flood Control 65-2 CP-2 $ 25,871.63 $ - $ - $ - $ 25 ,871. 63 Park Improvements 65-3 CP-3 16,973.21 12,500.00 570.l6 - 28,903.05 City-County Building 65-4 CP-4 70,397.32 - l,540.78 - 68,856.54 Lakewood Park 65-5 CP-5 87,115.40 43,696.00 l08,597.78 - 22,213.62 I & S Improvements 65-6-1 CP-6 18,413.72 - - - l8,413.72 I & S CRP Study 65-6-2 CP-6 6,070.00 - 3,845.00 - 2,225.00 I & S Fire Equipment 65 -6 -3 CP-6 3,112.98 - - - 3 , 112. 98 I & S S. P. Improvements 65-6-4 CP-6 5,543.95 - - - 5,543.95 Police, Fire and Burglar Alarms 65-7 CP-7 (703.34) 978.56 l4 ,441. 22 - (14,166.00) Miscellaneous Street Improvements 65-8 CP-8 (34,794.80) - - 34,794.80 Community Theater 65-10 (20,4l4.l5) - - 20,414.15 Street Improvements 65-l2 CP-lO (50,481.12) 2,851.20 450.43 48,080.35 Street Improvements 65-13 CP-13 37 ,092. 94 34,583.39 16,048.54 (55,627.79) Sanitary Sewers 65 -14 CP -14 (7,475.32) - 4,300.90 11,776.22 Heather Ridge 65 -15 CP -15 - 6,494.38 5,909.87 (584.5l) Water - Sewer 65 -11 CP-ll (68,026.89) - - 68,026.89 Sidewalks 65 -l7 CP-17 - 47,544.40 113,307.97 - (65,763.57) Sanitary Sewers 65 -18 CP -18 - 742.93 2,843.00 - (2,100.07) Computer Reserve 65-97 CP-97 3,500.00 5,500.00 - 500.00 9,500.00 Balance of Sidewalks 65 -98 CP-98 (1l,093.04) 3,177.59 1,924.57 - (9,840.02) Twin Oaks Job 65 -l6 CP -l6 - 40,809.69 306,l97.05 - (265,387.36) Bonds Issued 41,083.28 434,340.58 354,806.15 (37,408.10) 83,209.61 Solid Waste Equipment Reserve - 8,000.00 - - Q (\(\(\ /\/\ v,vvv.vv Planters State Bank Trust - 10,000.00 lO,OOO.OO - Bonnie Ridge Improvement 65-l2 CP-l2 28,330.29 61,641. 72 - (89,972.01) DR #2 Street Improvements CP-l 143,284.74 62,000.00 23,389.70 - 18l,895.04 TOTALS $293,800.80 $ 77 4 , 860. 44 $968,173.12 $ - $-.lQQ,488.l2 I-' 0 I-' . THE CITY OF SALINA Saline County, Kansas WATER AND SEWERAGE FUND CONSOLIDATED For the Year Ended December 31, 1975 Revenues Water Sewage Miscellaneous sales Tapping service Sanitation fees Deposits on meters Miscellaneous Transfer - Water and Sewerage Interest on investments Total Revenues Expenditures Water supply expense Softening and treatment expense Pumping expense Distribution expense Customer accounting and collections Administrative - General expense Sewage treatment Collections remitted to Sanitation Fund Capital expenditures Sales tax Customer deposit refunds Bond principal Bond interest Commission and postage Transfer to System Sinking Fund Total Expenditures Revenues Over (Under) Expenditures Fund Balance - December 31, 1974 Fund Balance - December 3l, 1975 102. Operating Fund $1,065,238.28 399,484.57 20,354.16 13,250.57 349,734.05 25,365.00 324.27 l,873,750.90 2l,344.94 309,738.'76 81 ,4l8. 33 116, 546 .l~7 l68,966.65 212,899.00 261,525.57 344,000.00 199,304.90 27,l74.60 24,610.00 211, 091. 97 1,978,621.19 (104,870.29) 283,848.26 $ 178,977 .97 Schedule 5 System Sinking Fund $ 211,091.97 211,091. 97 135,000.00 75,820.00 271. 97 211,091. 97 104,349.65 $104,349.65 THE CITY OF SALINA Saline County, Kansas WATER AND SEWERAGE FUND CONSOLIDATED Schedule 5 For the Year Ended December 3l, 1975 Plant System System Reserve Reserve Construction Consolidated Fund Fund Fund Total Eliminations Tota 1s $ $ $ $1,065,238.28 $ $1,065,238.28 399,484.57 399,484.57 20,354.l6 20,354.16 l3,250.57 l3,250.57 349,734.05 349,734.05 25,365.00 25,365.00 324.27 324.27 211,091.97 (211,091.97) 36,033.46 l4,172.10 50,205.56 50,205.56 36,033.46 14, 172.l0 2,135,048.43 (211,091.21) l,923,956.46 2l,344.94 2l,344.94 309,738.76 309,738.76 8l,418.33 8l,4l8.33 116,546.47 116,546.47 168,966.65 168,966.65 212,899.00 2l2,899.00 26l,525.57 26l,525.57 344,000.00 344,000.00 25,2l9.26 59,893.23 284,417.39 284,4l7.39 27,174.60 27,174.60 24,610.00 24,6l0.00 135,000.00 135,000.00 75,820.00 75,820.00 271.97 271. 97 211,091.97 (211,091. 97) 25,219.26 59,893.23 2,274,825.65 (211, 091. ~ø 2,063,733.68 36,033.46 (11,047. 16) (59,893.23) (139,777.22) (139,777.22) 492,162.23 194 ,371. 87 59,893.23 1,134,625.24 l,134,625.24 $528,195.69 $183,324.71 $ $ 994,848.02 $ $ 994,848.02 l03. THE CITY OF SALINA Saline County, Kansas WATER AND SEWERAGE FUND COMPARATIVE OPERATING EXPENSES STATEMENT Schedule 5 (Cont'd.) WATER SUPPLY EXPENSES Maintenance - Well pumps and equipment Well power Well house signals River intake power Maintenance - Building and grounds Maintenance - River basin December 3l, 1975 1974 $ 5,170.80 $ l31. 98 10,602.50 6,938.37 2,402.38 2,297.39 2,411.30 1,178.22 32.86 22.90 725. 10 2,208.02 21,344.9/t l2 , 77 6. 88 35,188.00 32,065.20 48,709.10 47,449.30 27,535.4i7 16, 191. 91 5,3l6.0a 3,851.75 66.89 76.48 152,614.7E: 147,500.96 8,954.63 l3,425.52 45.79 3,801.61 5,840.68 3,657.44 11,544.16 9,065.03 3,828.78 3,672.93 299,644.36 280,758.13 21,192.93 15,852.73 44,205.l0 36,622.35 13,158.07 7,494.60 391. 02 352.08 193.55 108.00 643.97 545.15 43.56 433.73 238.l5 131. 61 1 , 351. 98 1 ,441. 99 81,418.33 62,982.24 SOFTENING AND TREATMENT EXPENSES Supervision Salaries Electric power Gas service Building operating supplies Chemicals Maintenance - Equipment Maintenance - Buildings Electric power - Calcining plant Gas service - Calcining plant Supplies - Calcining plant PUMPING EXPENSES Supervision Salaries Electric power Gas service Lubricants Building operating supplies Maintenance - Electrical equipment and pumps Maintenance - Station building and grounds Wearing apparel l04. THE CITY OF SALINA Saline County, Kansas WATER AND SEWERAGE FUND COMPARATIVE OPERATING EXPENSES STATEMENT Schedule 5 (Cont 'd. ) DISTRIBUTION EXPENSES Supervision Salaries Meter maintenance salaries Meter maintenance supplies Vehicles - Equipment expense Tapping supplies Maintenance - Distribution mains Maintenance - Storage tanks Maintenance - Hydrants Miscellaneous materials and labor December 31, 1975 1974 $ 19,048.13 $ l4,260.l5 53,099.07 44,654.84 8,872.69 8,094.27 1,683.29 l,306.99 7 ,035 . 92 7,837.l6 9,899.16 6,906.84 10,247.36 8,554.10 3,241. 13 840.04 2,349.L¡,l l,311.5l l,070.3l 2,437.56 116,546.47 96,203.46 CUSTOMERS' ACCOUNTING AND COLLECTION EXPENSES Office salaries Servicemen and meter readers salaries Servicemen and meter readers supplies Collection stations Maintenance - Office equipment Office supplies Vehicle expense Postage Lease electronic data processing equipment Wearing apparel 58,697.37 6l,493.46 63,267.17 57,403.96 167.60 854.52 1,841. 35 1,852.l0 2,335.l8 2,l76.90 5,253.80 4,213.92 6,176.47 5,l23.60 17,058.67 l5,970.27 l3,806.00 11,353.72 363.04 l78. 91 168,966.65 l60,621.36 17,392.80 l5,840.80 7,690.89 7,338.04 3,936.70 3,964.57 990.22 l,682.92 675.00 2,384.00 29,640.89 26,168.79 6,008.35 7,213.05 783.7.2 l, 331. 84 ADMINISTRATIVE AND GENERAL EXPENSES Supervision Salaries Telephone expense Office supplies Special engineering Social Security Insurance - Buildings Sales tax 105. THE CITY OF SALINA Saline County, Kansas WATER AND SEWERAGE FUND COMPARATIVE OPERATING EXPENSES STATEMENT Schedule 5 (Cont'd.) TOTAL OPERATING EXPENSES December 31, 1975 1974 $ 45,000.00 $ 40,000.00 769. 4~- 2,107.20 l,346.35 20.6l 33,970.3L¡, 26,607.97 28,l08.63 21,975.93 l,lOO.OO 7,700.00 3,247.50 7,277.13 274.l2 570.42 9,381.00 6,900.00 20,977.50 18,265.00 l,605.55 2,229.70 212,899.00 199,577. 97 32,4l5.43 28,988.40 119,397.86 104,667.11 47,284.68 28,714.47 4,667.52 4,276.54 l,905.96 1,284.79 23,007.39 13,654.21 1,413.60 l,773.43 10,060.98 8,305.23 4,489.04 2,380.23 l6,162.2l 12,648.99 632.53 332.00 88.37 26l,525.57 207,025.40 $1,162,345.32 $1,019,945.44 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 Maintenance - Government Center 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 Maintenance - Buildings and grounds Maintenance - Pumping stations Maintenance - Sanitary sewers Vehicle expense Wearing apparel Q's TV expenses l06. THE CITY OF SALINA Saline County, Kansas WATER AND SEWERAGE FUND COMPARATIVE PLANT AND PROPERTY STATEMENT December 31, 1975 1974 FURNITURE AND FIXTURES $ 88,067.68 $ 87,460.68 PLANT, MAINS, EQUIPMENT AND OTHER PROPERTY Distribution Manholes Mains Hydrants Valves Stand pipe Sunset stand pipe Meters 55,168.02 55,l68.02 1,906,428.22 1,915,870.28 186,116. l2 185,680.28 227,039.57 227,039.57 60,914.36 60,914.36 101,303.31 101,303.3l 406,2l9.04 394,953.11 2,943,188.64 2,940,928.93 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 3l4.724.28 16,532.86 16,532.86 3 , 725 . 48 3,580.40 18,976.l5 18,976.l5 28,545.49 28,545.49 36,601. 4l 36,601.4l 6,185.44 6,185.44 l5,l86.88 15,186.88 1,105,051. 95 1,105,051. 95 257,013.92 256,232.45 183,638.82 183,638.82 21,626.19 21,626.19 16,190.07 l6,190.07 124,802.70 124,802.70 36,654.09 36,654.09 1,870,731. 45 l,869,:304.90 Water Supply Real estate Pump house Wells Well pumps Flow lines Pumping Stations Real estate Improvements Pump house Reservoirs Pumps Venture meters Suction lines Water softener equipment River intake pump Underground reservoir Land - Underground reservoir and basins Water supply exploration Gypsum Hill water tower High service pump Schedule 5 (Con t 'd. ) Increase or (Decrease) $ 607.00 (9,442.06) 435.84 11,265.93 2,259.71 145.08 781.47 926.55 107. THE CITY OF SALINA Saline County, Kansas WATER AND SEWERAGE FUND COMPARATIVE PLANT AND PROPERTY STATEMENT Schedule 5 (Cont'd.) December 31, 1975 1974 Increase or (Decrease) PLANT, MAINS, EQUIPMENT AND PROPERTY (Cont'd.) General Equipment Storage building Chlorinator equipment Trucks and compressors Laboratory equipment Water office improvement OTHER Sewage Plant Sewage plant and equipment Sewage lines $ l3,O72.04 $ l3,072.04 $ l7,032.73 17,032.73 173 , 308. 72 165,593.33 7,715.39 14,622.45 14,622.45 8,500.59 8,500.59 226,536.53 218,821.14 7,715.39 600,6l5.50 600,000.00 615.50 300,823.75 300,1323.75 90l,439.25 900,823.75 615.50 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 820,165.62 817,6l5.0l 2,550.61 542,913.63 542,913.63 520,511.67 494,2:19.l8 26,292.49 123,457.85 123,457.85 1,467,497.40 1,224,047.26 243,450.14 3,474,546.l7 3,202,252.93 272,293.24 9,731,166.32 9,447,355.93 283,810.39 $9,819,234.00 $9,534,816.61 $284,417.39 TOTAL PLANT, MAINS, EQUIPMENT AND OTHER PROPERTY TOTAL PLANT AND PROPERTY 108. THE CITY OF SALINA Saline County, Kansas INVESTMENTS December 31, 1975 FUNDS: Parking Meter Sanitation Street Machinery Cemetery Endowment Mausoleum Endowment Firemen's Pension Policemen's Pension Federal Revenue Sharing Water and Sewerage Bond Reserve System Reserve Construction $527,500.00 182,000.00 TOTAL DETAIL OF INVESTMENTS: Certificates of Deposit - First National Bank and Trust Company 10651, dated 2-3-75, 5.8%, 1 year 10883, dated lO-1-75, 7 1/4%, 48 months l0884, dated 1-29-75, 6.54%, 1 year $350,500,,00 lO,OOO..OO 398,500..00 Certificate of D£posit - Planters State Bank 5830, dated 1-29-75, 6.369%, 1 year 583l, dated l-29-75, 6.369%, 1 year l56 ,400.00 119,265.00 Certificate of Deposit - National Bank of America 800, dated ll-6-75, 5.602%, 90 days Certificate of Deposit - First State Bank and Trust Company 1622, dated 10-7-75, 6.547%, 9l days Savings Account - Homestead Savings and Loan 47651-M, 5.25% Savings Account - Security Savings and Loan 6091, 5.25% Savings Account - Colonial Savings and Loan H-31526,5.25% TOTAL Schedule 6 Cost $ 35,000.00 60,000.00 25,000.00 22,600.00 l6,900.00 156,400.00 119,265.00 209,978.00 709,500.00 lO,OOO.OO $1,364,643.00 $ 759,000.00 275,665.00 lOl,355.00 108,623.00 40,000.00 40,000.00 40,000.00 $1,364,643.00 109. BONDS OF INDEBTEDNESS General Obligation Flood control Flood control Flood control Library City-County Building Park Airport Park Airport Park Ash Street sewer Park Total General Obligation Special Assessment Curb, gutter, paving Curb, gutter, paving Curb, gutter, paving Off street parking Curb, gutter, paving Curb, gutter, paving Curb, gutter, paving Curb, gutter, paving Curb, gutter, paving Curb, gutter, paving Paving Paving Curb, gutter, paving Curb, gutter, paving Paving Paving Paving Paving Paving Curb, gutter, paving Total Special Assessment TEMPORARY NOTES Waterworks and Sewer Sewer Sewer Total Temporary Notes REVENUE BOND Water and Sewer Total 10. THE CITY OF SALINA Saline County, Kansas STATEMENT OF INDEBTEDNESS December 3l, 1975 Series FL-178 FL-l86 FL-193 LB-200 CB-20l PK-203 G-206 G-209 AS-210 PK-216 P-l83 P-185 P-l89 OFP-l90 P-l91 P-194 P-l97 P-l98 P -l99 P-202 P-204 P-205 P-207 P -208 P-211 P -2l2 P-213 P - 214 P-2l5 P-2l7 Date of Issue 5- 5-58 6- l-6l 11- l-63 11- 1-65 11- 1-66 11- 1-66 l2- 1-67 lO- 1-68 l2- 1-68 4- l-74 l2- 1-59 11- l-60 11- l-61 11- 1-62 11- 1-63 11- 1-63 11- l-64 11- l-65 11- l-65 11- l-66 11- l-67 11- l-67 11- l-68 11- 1-68 l2- l-68 4- 1-70 12- 1-70 l2- l-71 l- 1-74 10- 1-75 4-23-73 11-l8 - 74 11-18 - 74 7- 1-61 Schedule 7 Interest Rate 2 - 3 3 - 3 1/2 2 7/8 - 3 1/2 3.3 - 3.5 3 3/4 - 5 3.80 4.21 4.21 5.25 4.1 - 4.2 4 - 3 l/2 - 3 - 3 - 3 - 3 1/2 - 3 1/2 - 3 3/8 - 3.3 - 5 - 4.5 - 4.5 3.375 2 3/4 2 3/4 2 1/2 2 1/2 3 1/8 2 3/4 3 1/4 3.25 3.75 3.70 2.70 4 1/4 3.90 5.25 5 1/4 - 6 4.5 - 4.7 3 1/2 - 3 5/8 4.10 - 4.75 5.38 - 5 - 5.25 3 1/2 - 5 THE CITY OF SALINA Saline County, Kansas STATEMENT OF INDEBTEDNESS Schedule 7 December 3l, 1975 Amount Outstanding 1975 Outstanding Issued l2-3l-75 Issued Payments l2-3l-75 $ 666,000.00 $ l32,000.00 $ $ 33,000.00 $ 99,000.00 1,132,000.00 400,000.00 55,000.00 345,000.00 260,000.00 130,000.00 13,000.00 117,000.00 675,000.00 395,000.00 35,000.00 360,000.00 l,lOO,OOO.OO 715,000.00 55,000.00 660,000.00 150,000.00 45,000.00 l5,000.00 30,000.00 75,000.00 59,000.00 3,000.00 56,000.00 75,000.00 59,000.00 3,000.00 56,000.00 l31,385.l7 79,000.00 13, 000. 00 66,000.00 100,000.00 100,000.00 10,000.00 90,000.00 4,364,385.17 2,114,000.00 235,000.00 1,879,000.00 402,737.72 120,000.00 20,000.00 100,000.00 55l,385.64 189,000.00 27,000.00 162,000.00 605,942.89 240,000.00 30,000.00 2l0,000.00 l,375,365.60 550,000.00 68,000.00 482,000.00 456,283.76 l80,000.00 23,000.00 l57,000.00 986,2l8.l5 490,000.00 47,000.00 443,000.00 630,000.00 60,000.00 60,000.00 265,000.00 l45,000.00 15,000.00 130,000.00 360,000.00 70,000.00 35,000.00 35,000.00 340,000.00 95,000.00 35,000.00 60,000.00 155,000.00 95,000.00 lO,OOO.OO 85,000.00 325,000.00 l20,000.00 30,000.00 90,000.00 58,267.56 43,000.00 3,000.00 40,000.00 376,222.70 l80,000.00 40,000.00 140,000.00 170,813.64 11 0, 000. 00 15,000.00 95,000.00 79,481. 71 64,000.00 4,000.00 60,000.00 l47, 101. 8l 105,000.00 15,000.00 90,000.00 245,861. 00 200,000.00 25,000.00 175,000.00 250,736.00 250,736.00 25,736.00 225,000.00 428,000.00 428,000.00 428,000.00 8,209,418.18 3,306,736.00 428,000.00 527,736.00 3,207,000.00 247,592.60 206,255.14 206,255.14 206,255.14 119,008.00 119,008.00 119,008.00 572,855.74 325,263.14 325,263.14 3,600,000.00 2,095,000.00 135,000.00 l,960,000.00 $l6,746,659.09 $7,840,999.14 $428,000.00 $1,222,999.1'! $7,046,000.00 111. THE CITY OF SALINA Saline County, Kansas STATEMENT OF INDEBTEDNESS December 3l, 1975 Schedule 7 (Cont' d.) Principal Interest Total Fiscal Year 1976 1977 1978 1979 1980 To Maturity Tota Is $ 720,000. 00 $193,628.38 $ 913,628.38 708,000.00 16l,017.71 869,Ol7.71 667,000.00 135,008. 27 802,008.27 607,000.00 110,448.10 717,448.l0 570,000.00 87,840.45 657,840.45 1,814,000.00 203,673.45 2,Ol7,673.45 $5,086,000.00 $891,616.36 $,5,977,6l6.36 112. THE CITY OF SALINA Saline County, Kansas RECONCILIATION - FISCAL AGENCY BALANCE December 31, 1975 Fiscal Agency Balance, December 31, 1975 Coupon Bond Series Number Bond Number Details -- Series P-194 l8 935-940 5 @ $15.63 Series OFP-190 24 1172 1 @ 15.00 Series OFP-l90 25 995-1000 6 @ 14.37 Series OFP-190 25 1047-l060 14 @ 14.37 Series OFP-l90 25 1172 1 @ 15.00 Series OFP-190 25 1320-1321 2 @ 15.00 Series CB-20l 17 l63 1 @ 95.00 Series Water and Sewage 28 1801-l8l5 15 @ 17.50 Series Water and Sewage 28 1911-l930 20 @ 17.50 Series Water and Sewage 28 203l-2040 10 @ 18.00 Series Water and Sewage 28 2081-2085 5 @ l8.00 Series FL-l78 34 622-627 6 @ l5.00 Series G-209 13 52-57 6 @ 21.25 Series G-209 13 64-75 12 @ 21.25 Series P-189 28 5l6-520 5 @ l7.50 Series OFP-l90 26 859-878 20 @ 13.75 Series OFP-190 26 995-1000 6 @ l4.38 Series OFP-l90 26 l047-l060 14 @ 14.38 Series OFP-l90 26 1172 1 @ 15.00 Series OFP-190 26 1274-1283 lO @ 15.00 Series P-l91 26 397 -40l 5 @ l5.00 Series P-19l 26 408-412 5 @ 15.00 Series P-l91 26 435-444 10 @ l5.00 Series FL-l93 24 242-246 5 @ 15.63 Series P-l94 24 884-887 4 @ 15.63 Series P-l94 24 925-934 10 @ l5.63 Series CB-20l 18 163 1 @ 95.00 Series P-183 32 328-332,338-342 lO @ 18.75 Series P-2l2 11 16-19,40-43, 52-55 12 @ 2'7.50 Series P-212 11 61-79 19 @ 30.00 Series P-2l2 16-19 4 @ lO.OO Series P-213 11 l03 -112 10 @ 23.13 Series OFP-190 26 1113-1137 25 @ 15.00 Total Schedule 8 $9,076.42 Amount per Books $ 78.l5 l5.00 86.22 201. l8 l5 . 00 30.00 95.00 262.50 350.00 180.00 90.00 90.00 127.50 255.00 87.50 275.00 86.28 20l.32 15.00 l50.00 75.00 75.00 150.00 78.15 62.52 156.30 95.00 187.50 330.00 570.00 4,000.00 231. 30 375.00 $9,076.42 113. General Liability Water and Sewage Department Golf Course Owners', Landlords' and Tenants' Liab i li ty Kenwood Park Grandstand Salina Community Theatre Lakewood Park Boat Concession and Lodge Memorial Hall Landfi 11 Swimming Pools Sanitation City Building, Equipment, etc. 90% co-insurance Depositor's Forgery Bond Police Department Camera Equipment Boiler and Machinery Policy Vehicle Insurance Policy Automobile Insurance Workmen's Compensation - Employers Liability Water and Sewage Department All Departments except Water and Sewage, and Civil Defense Money and Securities Policy THE CITY OF SALINA Saline County, Kansas INSURANCE COVERAGE December 3l, 1975 Type of Coverage Bodily injury Property damage Bodily injury/property damage Fire and lightning Extended coverage, vandalism and malicious mischief City of Salina including Water - Sewage Scheduled property floater Scheduled policy Comprehensive Medical payments Uninsured motorists Physical damage Employers liability Workmen's Compensation Employers liability Workmen's Compensation Ins ide Money and securities Checks other than payroll Outside Money and securities Checks other than payroll Schedule 9 Amount $ 300/300,000.00 50/50,000.00 300/50,000.00 3,935,000.00 lO,OOO.OO 205.00 275,000.00 100/300/50,000.00 2,000.00 15/30,000.00 60/l80,000.00 100,000.00 Legal Limit lOO,OOO.OO Legal Limit l5,000.00 10,000.00 15,000.00 lO,OOO.OO 114. THE CITY OF SALINA Saline County, Kansas FIDELITY BONDS December 31, 1975 Schedule 10 Effective Expiration Name Title Date Date Amount Honesty Blanket Bond Public Employees 6- l-75 6- l-76 $lO,OOO.OO Norris P. Olson City Manager 5- l-75 5- 1-76 5,000.00 Melvin E. Abbott City Treasurer 3-21-75 3-21-76 50,000.00 Gene Penland Municipal Court Judge 5- 1-75 5- l-76 l,OOO.OO Donald L. Harrison City Clerk and Director of Finances 2-20-75 2-20-76 5,000.00 Robert C. Ca ldwe11 City Commissioner 4-l6-73 4-16-77 10,000.00 Keith Duckers City Commissioner 4-21-75 4-16-79 10,000.00 Gerald F. Simpson City Commis&ioner 4-2l-75 4-16-79 10,000.00 William Usher City Commissioner 4-16-75 4-16-77 lO,OOO.OO Jack Weisgerber City Commissioner 4-16-73 4-16-77 lO,OOO.OO 115. COVERAGE PROVIDED: F.D.I.C. Security Pledged Tota 1 Securing: Bank Statement and Savings Account Balances Certificates of Deposit Total Unsecured t-' t-' (J"I THE CITY OF SALINA Saline County, Kansas FUNDS ON DEPOSIT COMPARED WITH DEPOSITORY SECURITY December 31, 1975 Schedule II First National First State Homestead Security Colonial Bank and Bank and National Planters Savings Savings Savings Trust Trust Bank of State and Loan and Loan and Loan Company Company America Bank Association Association Association $ 140,000.00 $140,000.00 $ 140,000.00 $ l40,000.00 $40,000.00 $40,000.00 $40,000.00 1,l90,000.00 335,000.00 942,000.00 1,080,000.00 1,330,000.00 475,000.00 1 J282, 000.00 1 ,220,000.00 40,000.00 40LOOO.00 40,000.00 507,838.69 210,879.22 597,810.49 540,9l8.45 759,000.00 108,623.00 lOl,355.00 275,665.00 1,266,838.69 3l9,502.22 699,165.49 816,583.45 $- - $ - $ - $ 40,000.00 40,000.00 40,000.00 40,000.00 40,000.00 40,000.00 $ $ $ THE CITY OF SALINA Saline County, Kansas MUNICIPAL COURT Schedule l2 SUMMARY OF ASSESSMENTS, DISBURSEMENTS, AND UNCOLLECTED CASE BALANCE December 31, Uncollected Case Balance, January 1, Assessments Fines assessed Court costs assessed Parking violations assessed Reinstated Total Assessments Beginning Balance and Assessments Disbursements Fines suspended Fines worked out Fines dismissed Cash collected Total Disbursements Uncollected Case Balance, December 31, 1975 1974 $ 13,643.50 $ 19,266.00 l23,509.00 l37,184.34 7,050.00 29,294.97 26,673.55 557.00 692.00 l53,360.97 l71,599.89 l67,004.lj.7 190,865.89 724.00 3,841. 00 l,340.00 2,l56.00 5,391.50 5,704.00 150,900.97 l65, 521. 39 158,356.L~7 177 ,222.39 $ 8,648.00 $ 13,643.50 117, STATE OF KA NSAS STATUTORY COMPLIANCE QUESTIONNAIRE City of Sa lina , --,----- Kansas For the year ended :Q.e~C~1ll~e_~_31, 1975 Prescribed By Director of Accounts and Reports ~'arch 19, 1976 THIS QUESTIONNAIRE SHALL BE MADE A PART OF THE AUDITED FINANCIAL STATEMENT Instructions If the answer to any question indicates statutory violation, the n,atter should be fully discu~sed in the comments section. Questions are designed to be ans'v.'ered yes or no. "¡-¡ot Applicable" is not a useful answer. Independent auditors should amend questions which ào not exactly fit a particular city so that substitute or supple,"entary provisions of the statutes or local regulations are reflected in the question and an~wered by the auditor. See Part V, Section C, Paragraph 2 of the Min"-rr,um .s_t~!1_a <:~ ~~a.i!:. P JO_9:':. C:ITI.' C-l GENERAL --,--- 1. Was there an adequate system of internal control, properly maintained (K.5.A. 12-101)? 2. liquid Were assets accounted for properly (K.5.A . 21-3701 and 21-3703)? 3. fixed assets accounted Were for properly (K. 5. A. 12-101)? 4. Did the district or county attorney's copy of the audited financial statement include a copy of this audit questionnaire (K.5.A.75-1126)? 5. Were audit adjustments to correct erroneous or un- lawful transactions placed on the books of account during the course of the examination, whenever possible (2<:aw Va~2'èX. )~~~~nage J:J.L".~~~L<:~ ~. ~.i~fT1~' 141 Kan. 623)? 6. income Was from investments accounted for and credited to proper funds (K.5. A. 10-131 and 12-1675)? 7. Were all boards, commissions, departments, or s ub- divisions of City audited? (If not, give reason for 75 -11177) §_Eò¡:>a.E~~~~~dit~_- ~:Fü:'~IIl~Lê_Re 1 i e L~ê§.<:>Çi.~f:i 011,,- _The_~a_l in~_Coun!y:-Ci ty their omission, K.5.A. _B:\ÜLd_in~j~.l.,ttbQ.r:LtY-~_JQiIlt_CitY~COJJIl1;:y .R~<'l Ltb~ ItQ~trd, ~li!1~~_i_rp_~!:~~A.t!.~ ~~:t; i !=)' L~a1- i 1.1él-li?tl~il1g .A.~tþ ()~i t y 8. Were expenditures for the library made on order of the library board Not Audited - Separate Audit (K. 5. A. 12-1225)? 9. Were funds of the firemen's relief association invested (K.5.A. 40-1706) or disbursed as authorized (K. 5..11. 40-1707)7 10. Were disbursements from the band fund made in accordance with the terms of a written contract with the band (K.S.A. 12-14204)7 11. interfund transactions made upon Were legislative authority (K.S.A . 79-2934)? 12. Do the minutes contain an adequate record of the proceedings of the governing body (K.5.A . 13-518, 13-2106, etc.)? tiEs; [Nol W ~ I [jJ II UU =--J LX] , L_- [XI I=J Q:j rt [~ f=-Xl [ I r~l [~U í-, LxJ ,-'-, rX] C' [XJ ¡--, C -2 13. ~ere the minutes properly approved by the govercing body (K. 5. A. 13-518, 13-2106, etc.)? 14. Were the directives of the governing body with fi- nancial import carried out (K.5 .A. 12-101)? 15. Were depositories designated for all city officials receiving public moneys (K,5. A. 9-1401)? 16. Were all public n,oneys deposited in desi9nated de- positories (K.5.A.9-1401)? 17. Are bank deposits of all city officials adequately secured (K.5.A.9-1402)? 18. Did the governing body approve collateral security and personal bonds furnished to secure deposits (K. 5, A. 9-1402)? 19. Are fidelity bonds and insurance policies properly filed (K. 5. A. 13-518, 13-2106, etc.)? 20. investments made in accordance with "Ho¡nerule Were Powers" statutory provisions (K.5 ,A. 10-131)? or 21. Were proceeds from city obligations expended for authorized purposes (K .5 .A. 10-117, etc.)? 22. sinking or reserve funds created and used in ¡-Iere accordance with statutory provisions (K, 5, A. 10-]13, etc) ? 23. ¡':ere claims itemized, internally audited and approved as provided by law (K.5 ,A . ]2-105b)? 24. Did the governing body approve a budget appropriating by funds as required by the budget Jaw 79- (K. 5, A. 2925 et. ~ e-'3,' ) ? 25. Were expenditures from city in coJf,pli¿r.ce fuiJds "",de with the budget (K, 5. A. 79-2935)? law 26. ex¡:.enditures from city in cú¡;,pl i "nee funds "-,,,de ~:er e with the cash-basis law (K ,5 ..1\ . 10-1113)? CITY CLERK 27. Did Clerk maintain a fund ledger (K,5. A. 10-1117)? 28. Does clerk ~aintaln required fund Encu,,-brance rE- cords (K. 5 ,A. 10-1117)? ¡,~~ 5~ i!iOl L_- [xJ L=J Ix] ¡-'î .--~ f.I] C, I Lxl '-, ._- r-l I~l XJ CXJ [~ [xl C-J [xJ c.J r--l I,~-J x- [u ¡--l I'-l _JC ¡--I I -1 [J x- Ix] [-J r~xJ 1 - í)(J [~J r::xJ C::J C-3 39. 4 O. 41. 29. Did Clerk open and keep an account of each fund showing the unencumbered budget balance as required (K, S. A. 79-2934) ? 30. ¡-¡as the fiscal agency balance reconciled with out- standing matured bonds and coupons (K.S.A.13-518, 13-2106, etc.)? 31. Were unpaid special assessments certified to the County Clerk to be placed on tax roll (x. S. A. 12- 608, l2-6alO, etc.)? CITY TREASURER ---- ----'--~-----"- 32. Did banks furnish monthly statements of daily bal- ances (K.S.A.13-518, etc.)? 13-526, 33. Were City funds disbursed as provided by K,5.A. 12-105a. 105b and 10-801 et sE-']'? 34. Did the City"Treasurer maintain records independently of those maintained by the City Clerk (K ,5 ,A . 10-]]18)? 35. Were there frequent reconciliations betwEen the City Treasurer and the City Clerk (K, 5. A. 13-518; I 3~ 'J 2 6 ; No separate records maintained etc.)? 36. Did the Treasurer maintain a chronological record of collateral securities pledged to SEcure deposits (X. 5. A. 9-1405)? 37. Did the City Treasurer pay over to Library Treasurer the funds appropriated and collected for maintenance of such public library Separate levying unit (X .5 .A . 12-1226)? 38. Did the City Treasurer publish c¡ualter1y reports as rccquired (X, S.A . 12-1608)? EN'TEKPkJ 5E (UTJLJTY) F Uti D5 - --- ----- --- - ,- --,-,- Were operations of these fur.ds "',uògeted (K,5,A. 79-2925)? Were transfer5 of utility "surpluses" anticipated in the current budget (K ,5 .A. 12-825d)? Were utility fund transfers "",de in cc~pliance with statutory provisions (X. 5. A. 10-1204, 12-H2Sd and K,5.A. 79-2935)? 5J--SJ Œ~~J '--1 "x- 'I r-l -X- [I [Kl CJ [;U D DO LJ I-] [KJ L=_~] 0 LSJ 1- =J LJ ,- -, I=i] l Lx] [=J \---\ -x.. [:-] [](; 1-1 C -4 IC " L . I 42. v.'dS petty cdsh l2-825a) or as provided by fund confined to statutory use (K.S.A. 43. Were charges for utility services local home rule? in accordance with rates fixed by ordinance in the customers' deposit fund equal 12-822)? 44. Did the balance the amount of deposits in effect 45. Was interest credited on quired by statute (K. 5 - A. (K ,5.A. 10-1202, 12-829, etc.)? (K.5.A. 12-822)? œposits annually as re- COI111ENT5 ,-,--- -~--- Interest paid on with- drawal ú~~ ~~ ex] [I [X] CJ LX] CJ [:=J [iJ c-s