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Audit - 1970 I I I I SALINA FIREMEN'S RELIEF ASSOCIATION Salina, Kansas I I I I I REPORT ON EXfu~INATION December 31, 1970 I I I I I I I I I I WOODS & DURHfuy[ Certified Public Accountants Salina, Kansas I I I I I I I I I James Lacy I Gordon Nichols I Laverne Brockway Byrl Glendening I I Edwin Bross I I I I I I I SALINA FIREMEN'S RELIEF ASSOCIATION Salina, Kansas OFFICERS REPRESENTATIVES President Vice President Secretary Treasurer Ed Bowles I I I I I I I I I I I Schedule 1 I Schedule 2 Schedule 3 I Schedule 4 I I I I I I SALINA FIREMEN'S RELIEF ASSOCIATION Salina, Kansas INDEX Accountant's Report. . . . . . . . . . . Receipts, Expenditures and Fund Balance. Investments.................. Comparison of Depository Security with Balances on Deposit. . . . . . . Treasurer's Fidelity Bond . . . . . . . . Page Number 1 2 3 4 5 I I 7ledi/2ed :fuNic ";:/«Æ'.unlanlJ Ø'/lker- in !Julina (e/a:; 7/oi/,/t fJJclu'1 WOODS & DURHAM 60S W. NORTH STREET P. O. BOX 1324 TELEPHONE - AREA 913. TAYLOR 5-5494 I SALINA, KANSAS, 67401 I June 23, 1971 I I I Board of Directors Salina Firemen's Relief Association Salina, Kansas 67401 I Gentlemen: I We have examined the financial records of the Salina Fireme~'s Relief Association, Salina, Kansas, for the year ended December 31, 1970. Our examination was performed in accordance with the applicable provisions of the Minimum Standard Audit Program for Municipalities of the State of Kansas, and accordingly included such tests of the accounting records and such other auditing procedures as we considered necessary in the circumstances. I I In our opinion, the accompanying schedules present fairly the cash position of the Salina Firemen's Relief Association, Salina, Kansas, at December 31, 1970, and the cash transactions for the year then ended. I Respectfully submitted, Jß'U>JfU /¿,¡~ ce~;v;~bliC Accountant in charge of and actively engaged on this audit I I I I I I I 1. I I I I I I I I I I I I I I I I I I I SALINA FIREMEN'S RELIEF ASSOCIATION Salina, Kansas RECEIPTS, EXPENDITURES ~ND FUND BALfu~CE January 1, to December 31, 1970 FUND BALANCE, January 1, 1970 RECEIPTS Kansas Commissioner of Insurance Insurance premium refunds Firemen's Benefit Fund Interest EXPENDITURES Medical and other payments to injured firemen Life and disability insurance premiums Blue Cross - Blue Shield Audit Treasurer's bond FUND BALANCE, December 31, 1970 Represented by: Cash on deposit in The First National Bank & Trust Company, Salina, Kansas, December 31, 1970 Checking account Savings account Certificates of deposit $ 15,171. 00 342.37 1,645.32 5,718.86 158 . 57 5,585.74 12,704.14 150.00 25.00 $ 14,410.64 6,959.69 102,314.67 $123,685.00 Schedule 1 $119 , 430 . 90 22,877 . 55 $142,308.45 18,623.45 $123,685.00 2. I I I I I I I I I I I I I I I I I I I SALINA FIREMEN'S RELIEF ASSOCIATION Salina, Kansas Certificates of Deposit The First National Bank & Trust Company, Salina, Kansas HNESTMENTS December 31, 1970 Serial Number Date of Issue Date of Maturity 5215 6118 4- 1- 70 12-15- 70 4- 1- 72 12-15- 72 Schedule 2 Rate A"T1Oent 5 3/4% $ 82,314.67 5 3/4% 20,000.00 $102,314.67 3. I I I I I I I I I I I I I I I I I I I SALINA FIREMEN'S RELIEF ASSOCIATION Salina, Kansas COMPARISON OF DEPOSITORY SECURITY WITH BAL~~CES ON DEPOSIT December 31, 1970 Schedule 3 F.D.I.C. coverage Security pledged by bank $ 20,000.00 110,000.00 $130,000.00 Total depository security Total cash on deposit at December 31, 1970 - per Schedule 1 $123.685.00 4. I I I I I I I I SALINA FIREMEN'S RELIEF ASSOCIATION Salina, Kansas I I I Treasurer, Salina Firemen's Relief Association I I I I I I I I TREAS1~ER'S FIDELITY BO~~ DeceITber 31, 1970 Date Effective 9-10- 70 Date of Expiration 9-10- 71 Schedule 4 .4mount $10,000.00 5.