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Audit - 1961 . . CITY OF SALINA, KANSAS " FINANCIAL REPORT Covering the Period from January 1, 1961 to December 31,1961 . A. H. LECKBAND & CO. CERTIFIED PUBLIC ACCOUNT ANT SALINA, KANSAS ... . , CITY OF SALINA, KANSAS INDEX . Comments Exhibit "A" Summary Statement of Receipts, Disburse- ments and Balances of Cash and Investments Exhibit "B" Statement of Receipts, Compared with Budget Amounts Exhibit "C" Comparison of Actual Disbursements with the Budget Exhibit "D" Cash Receipts, Disbursements and Balances of the City Treasurer and Reconciliation of Disbursements Exhibit "E" Investments in Custody of City Treasurer , Exhibit "F" Summary and Reconciliation of 1960 Tax Roll Showing Taxes Assessed by the County Clerk, Collected by the County Treasurer and Remitted to City Treasurer and Lists of Uncollected Balances and Unremitted Balances . Exhibit "G" Statement of Taxes Received from County Treasurer Showing Current and Back Tax Received and Distribution to Funds Exhibit "H" Clerk of the City Court - Statement of Receipts, Disbursements and Balances Exhibit "I" Summary of Police Records Exhibit "J" Summary of the Records of the City Building Inspector . Exhibit "K" Comparison of Depository Bonds and Balances of Deposits - Exhibit "L" Fidelity Bonds in Force Exhibit" M" Insurance in Force Exhibit "N" Accounts Receivable Exhibit "0" Statement of Bonded Indebtedness Page Numbers 1 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 CITY OF SALINA) KANSAS . INDEX (Cont. ) Page Numbers - Exhibit "p" Statement Showing Balances and Changes in Temporary Note Indebtedness 30 Schedule "1" General Operating Fund - Detail of Receipts Expenditures, Liabilities and Balances 31 Schedule Ill_A" General Operating Fund - Detail of Receipts from Licenses, Fees and Permits 32 Schedule II1-B" General Operating Fund - Departmental Break- down of Expenditures Compared with Budget 33 Schedule Ill_all General Operating Fund - Detail of Expenditures - Mayor and Commissioners 34 Schedule IIl-bll General Operating Fund - Detail of Expenditures '" - City Manager 35 Schedule 1I1-c " General Operating Fund - Detail of Expenditures - City Clerk and City Treasurer 36 . Schedule 1I1-d'l General Operating Fund - Detail of Expenditure s - City Building 37 Schedule "l_e" General Operating Fund - Detail of Expenditures - City Attorney 38 Schedule 1I1-f" General Operating Fund - Detail of Expenditures - City Court 39 SchEtdule Il1_g11 General Operating Fund - Detail of Expenditures - Police Court 40 Schedule" 1-hll General Operating Fund - Detail of Expenditures - Engineering 41 . Schedule Ill_ill General Operating Fund - Detail of Expenditures - Fire Department 42 - 43 ,. S d 1 "1 .11 General Operating Fund - Detail of Expenditures che u e -J - Inspection 44 Schedule 1I1-k" General Operating Fund - Detail of Expenditures - Park Department 45 - 46 . . Schedule "1-1" Schedule" 1-m" Schedule" 1-n" Schedule" 1-0" Schedule "l-p" Schedule" 1-q" ~ Schedule "l-r" . Schedule lI1_s" Schedule 112" Schedule" 3" Schedule" 411 Schedule" 5" . Schedule" 6" . Schedule "7" Schedule "8" CITY OF SALINA, KANSAS INDEX (Cont. ) General Operating Fund - Detail of Expenditures - Police Department General Operating Fund - Detail of Expenditures - Street Department General Operating Fund - Detail of Expenditures - Waste Disposal General Operating Fund - Detail of Expenditure s - Sewage Disposal General Operating Fund - Detail of Expenditures - Street Lighting General Operating Fund - Detail of Expenditures - Traffic and Parking General Operating Fund - Detail of Expenditures - Swimming Pool s General Operating Fund - Detail of Expenditures - Airport Memorial Hall Fund - Receipts, Disbursements, Liabilities and Balances General and Special Improvement Fund - Receipts Disbursements and Balances General Improvement Fund - Receipts, Disburse- ments and Balances Cemetery Fund - Receipts, Disbursements and Balances Civil Defense Fund and Voice Warning System - Receipts, Disbursements and Balances Public Health Fund - Receipts, Disbursements, Liabilities and Balances Band Fund - Receipts, Disbursements and Balances Page Numbers 47 - 48 49 - 50 51 52 53 54 55 56 57 - 58 59 60 - 61 62 - 63 64 - 65 66 67 . . Schedule "9" Schedule" 10" Schedule "11" Schedule" 11-a" Schedule" 11-b" . Schedule" 12" Schedule" 13" .. Schedule" 14" Schedule" 15" Schedule 1116'1 Schedule" 17" Schedule "18" . Schedule" 19" .. Schedule" 20" Schedule 1121" CITY OF SALINA, KANSAS INDEX (Cont. ) Flood Control Works and Dikes - Receipts, Dispursements, and Balances Noxious Weed Fund - Receipts, Disbursements and Balances Trust and Agency Funds - Receipts, Disburse- ments and Balances Firemen's Pension Fund - Receipts, Disburse- ments and Balances Police Pension Fund - Receipts, Disbursements and Balances Industrial Development Fund - Receipts, Disburse- ments and Balances Bond and Interest Fund - Receipts, Disbursements and Balance s Water & Sewage Department Fund - Receipts, Dis- bursements and Balances Construction Fund - Receipts, Disbursements and Balance s Material Stores - Receipts, Disbursements and Balance s Airport Fund - Receipts, Disbursements and Balances Street Machinery Fund - Receipts, Disbursements and Balances Clearing Accounts - Receipts, Disbursements and Balance s Parking Meter Fund - Receipts, Disbursements and Balances Refuse Department- Receipts, Disbursements and Balances. Page Numbers 68 69 70 71 72 73 74 75 76 77 78 - 79 80 81 82 83 - 84 . CITY OF SALINA, KANSAS , INDEX (Cont. ) Page Numbers Schedule "22" Cash in Custody of City Treasurer and Summary Reconciliation of Bank Balances - Dec. 31, 1961 85 Schedule "22-a") Outstanding Checks - Bank Reconciliations - 86 Schedule "22-b") December 31, 1961 87 Schedule "22-c") 88 Schedule "23" Cash in the Custody of the Clerk of the City Court M. J. Broom - December 31, 1961 89 Schedule "24" Reconciliation of Fiscal Agency Accounts - Out- standing Bonds and Interest Coupons 90 I> Schedule "25" Journal Entries 91 - 91a . WATER & SEWAGE DEPARTMENT Comments 92 - 94 Exhibit "A" Water & Sewage Department - Balance Sheet - December 31, 1961 95 - 95a Exhibit liB" Profit and Loss Statement - Year Ended December 31, 1961 96 Schedule "1" Operating Costs - Year 1961 Compared with Year 1960 97 - 98 . Schedule "2" Plant and Property Accounts - January 1, 1961 and December 31, 1961 99 - 100 I> . Salina. Kansas June 20, 1961 ., To The Mayor and The Board of City Commissioners Salina, Kansas Gentlemen: Pursuant to your instructions, we have made an audit of the books and records of the City of Salina, Kansas covering the year ended December 31, 1961 and now submit our report thereon. A separate section at the back of this report presents comments, exhibits and schedules covering the operating results of the Water and Sewage Department during the year under review. SCOPE OF THE AUDIT . The audit was performed in accordance with the general and specif- ic requirements of the Minimum Standard Audit Program approved by the State Municipal Accounting Board July 23, 1949, and included an examina- tion of the records of all City Offices and Officers except the Municipal Band Board, the Public Library Board and the Public Health Board, which Boards receive money appropriated by the City, but have exclusive con- trol over the disbursements of both the amounts appropriated to them by the City and other money which they may receive. We were not authorized to audit their activities and no report is being rendered on them. ~ COMMENTS The following comments are presented for your information: SUMMARY STATEMENT OF RECEIPTS. DISBURSEMENTS, LIABILITIES AND BALANCES OF CASH AND INVESTMENTS - EXHIBIT "A" . This exhibit shows fund cash and unencumbered balances at the be- ginning and end of the year, together with receipts and Budget Charges dur- ing the year. The composition of the total funds in the hands of the City Treasurer are presented at the foot of the exhibit. The cash receipts and disburse- ments, together with the December 31, 1961, bank balances, are shown in Exhibit "D", The detail of increases and decreases in the Fund Investment accounts are given in Exhibit "E". COMPARISON OF ACTUAL RECEIPTS WITH BUDGET - EXHIBIT liB" j,. This exhibit presents a comparison of actual receipts with the an- ticipated receipts for each fund, together with amounts of excess or de- ficiency in receipts as compared with the budget. Actual receipts were more than anticipated receipts by $146,338.75. 2 . STATEMENT OF EXPENDITURES COMPARED WITH BUDGET APPROPRIATION - EXHIBIT "c" This statement sets forth the disbursements charged against each fund and comparison with the 1961 Budget figures. Tax-Levying Fund expenditures were all under the budgeted amounts. Non-Tax supported Funds exceeding the Budget were: The Water and Sewage Department and The Airport Fund. EXHIBIT "D" Exhibit "D" shows a Reconcilement of the Receipts, Disbursements and Balances of the City Treasurer. . SCHEDULES 1 TO 21, INCLUSIVE .. These schedules set forth the detailed Receipts, Budget Charges and beginning and ending Balances by funds for the year under audit. A com- parison of actual Receipts and Budget charges with Budgetary amounts is shown for all funds included in the Budget. Salaries paid to officers and regular employees during the year 1961 were found to be in accordance with the rates specified by ordinances and the limitations prescribed by the statutes Classification of Salaries was scrutinized. GENERAL OPERATING FUND SCHEDULE "1" "l-A" "l-B" and "l-a" to "l-s" , , , . Disbursements of the General Operating Fund Departments increased by $9,197.03 over 1960. The following summary compares the various General Operating Fund departmental disbursements for the 1961 with those for the preceding year. . Consolidated Fund Departments 1960 1961 . Mayor and Commissioners $10,725.77 $ 21, 123.56 City Manager 13,796.22 17,736.36 Clerk and Treasurer 46,567.85 49,734.21 . City Building 10, 190.85 15,480. 11 City Attorney 10,803.90 10,769.55 City Court 22.530.96 25,496.02 Police Court 3,044.09 3,033.87 Engineering 53,173.91 53,030.19 Fire 226,749. 12 234,473.97 Inspection 16,372.42 10,809.82 Park 46,350. 17 52,444.37 Police 255,493.29 255,418.91 Street, Alley and Sewer 104,982.97 122,004.00 Refuse 77,946.96 Waste Collection and Disposal 23,366.38 17,580.27 Sewage 71,970.39 40,105.39 Street Lighting 44,344.55 54,215.74 Traffic and Parking 46, 386.65 55,634.40 Airport 48,655.00 Swimming Pools 12,420.92 12,668.66 ~ Totals $1,097,217.37 $ 1, 106,414. 40 3 Increase ( Decrease) $ 10,397.79 3,940.14 3,166.36 5,289.26 34.35) 2.965.06 ( 10.22) ( 143.72) 7,724.85 437.40 6,094.20 ( 74.38) 17,021.03 (77,946.96) ( 5,786. 11) (31,865.00) 9,871. 19 9,247.75 48,655.00 247.74 $ 9,197.03 During the year the City collected $52,803.60 from licenses, fees and permits, an increase of $2,256.53 over the amount collected in 1960. Schedule 1-A presents the classification of the various fees, licenses and permits. and compares them to the budgetary estimates. . Franchise Ordinances in effect during the year were examined. In each case receipt s were found to be in accordance with the ordinances and franchise agreements. The amount due from the Kansas Power and Light Company for the last nine months of 1961, amounting to $15,170.03 for Gas and $61,576.76 for Electric Franchise, was received by the City in April, 1962. This re- ceivable is shown in Exhibit "N". Police Court Fines and Forfeitures in the amount of $80,304.00 were im- posed during the year. This represents an increase of $2,970.00 over the pre- ceding year. A statement prepared from the Police Court records is submitted in Exhibit "I". All but $2, 122.00 of 1961 fines were settled during the year. . Distribution of the Cigarette Tax and of the Liquor Enforcement Tax was checked in the County Treasurer's record..... . Receipts of City Court costs and fees amounted to $19,377.90 and were traced to the records of the City Court as shown in Exhibit "H". GENERAL OPERATING FUND DEPARTMENTAL DISBURSEMENTS The detailed departmental expenses are compared with the budget esti- mates in Schedule "l-B" and further analysis is shown in Schedules "l-a to 1-s". All payments were traced to the related warrants. and all vouchers 4 .. were examined and over 10% in number and over 50% in amount of the dis- bursements were compared with the vouchers. No irregularities were found. MEMORIAL HALL FUND - SCHEDULE "2" . A comparison of the 1961 Rental and Concession receipts with those of 1960 is shown below: 1960 Rental and Concession $2,828. 15 1961 Rental and Concession $ 2, 017. 10 1961 Decrease from 1960 $ 811.05 GENERAL AND SPECIAL IMPROVEMENT - (SPECIAL FUND IN LIEU OF BONDS) - SCHEDULE "3" This fund was created in 1946 with the purpose of levying currently for the City's Share of Improvements made, instead of issuing bonds therefor. All receipts were from Current Ad Valorem Taxes. GENERAL IMPROVEMENTS FUND - SCHEDULE "4" .. The income from this Fund consists of taxes, sales tax and weed cutting. All Tax Receipts were confirmed by inspection of Saline County's records. ) CEMETERY FUND - SCHEDULE "5" Verification of Lot and Space Sales was made from the Deed Stubs and checked to the receipts record. The Burial Record was examined. Tax Re- ceipts were verified. CIVIL DEFENSE FUND - SCHEDULE "6" Receipts and disbursements on this fund were proper. PUBLIC HEALTH FUND - SCHEDULE "7" All receipts in this fund are from Ad Valorem Taxes and Sales Tax, and all disbursements were made to the Joint City-County Health Board. .. BAND FUND - SCHEDULE "8" Ad Valorem Taxes and Sales Tax comprised all the receipts to this fund, and all disbursements were made to the Salina Municipal Band Board. FLOOD CONTROL WORKS & DIKES - SCHEDULE "9" .4 All receipts were from Taxes and Disbursements were for Equipment and operating expenses. NOXIOUS WEEDS FUND - SCHEDULE "10" All transactions in this fund appeared to be in order. Only receipts were from Ad Valorem Tax and Sales Taxes. 5 TRUST AND AGENCY FUNDS - SCHEDULE !flllf ~ Statements of receipts, disbursements and balances of cash for all Trust and Agency Funds are included separately under the above schedule. Supporting Schedules "ll-A" and "11-B" set forth comparison of Cash Re- ceipts and Disbursements with Budget Estimates for the Firemen's Pension Fund and the Policemen's Pension Fund respectively. During 1961 the Fire- men's Relief Fund received payments from State Insurance tax in the amount of $9,053.30, a decrease from 1960 of $982.84. ~ The classification of the various receipts and disbursements of the Trust and Agency Funds is set forth in a self-explanatory manner, and it is felt no further comments theron are needed. Particular attention is called to the fact that the balance of the Police Pension Fund, as shown on Schedule "ll-A", is over $10,000.00 by $4#083.57, and Firemen's Pension is over by $1# 012. 02. Neither fund exceeded the bud- geted amounts. INDUSTRIAL DEVELOPMENT FUND - SCHEDULE" 12" There were no receipts during 1961. Disbursements made were in order. ~ BOND AND INTEREST FUND - SCHEDULE "13" Receipts of this Fund include Ad Valorem Taxes levied for the payment of principal and interest on general bond issues, and for the payment of principal and interest on the City's share of Special Improvement Bond Issues. The proceeds of special assessment taxes assessed against prop- erty owners for the owner's share of the cost of special improvements are also included in the receipts of this fund. , . WATER AND SEWAGE DEPARTMENTS - SCHEDULE "14" During 1961 the Sewage Department was combined with the Water De- partment and was thereafter named as Water & Sewage Department. All of the requirements of Ordinance No. 6546, concerning the "Combined Water and Sewage Revenue Bonds of 1961, was put into effect as of September 1, 1961. This schedule shows a summary of the receipts and disbursements of the Water Department, which cleared through the City Treasurer during the year. The balance shown at the end of the year consists of cash only, and does not include investments owned by the Water Department. These investments are listed in detail on Exhibit "E". Additional comments, exhibits and schedules, pertaining entirely to the Water Department, are submitted in a separate section at the back of this report. It should be noted that collections by the Water Department on December 31, 1961 are not reflected in this fund or on any of the other Fund Records at the close of the year. A Cash Fund of $1,500.00 is maintained in the Water Office. A summary of the Water Department's cash at December 31, 1961, is shown in the following: . Cash in custody of City Treasurer - General Reserves Cash fund maintained in office of Water Department December 31, 1961 collections deposited January 1962 Total cash on hand and in bank shown on Water Books $513,859.01 1,500.00 5,166.28 $520,525.29 6 " CONSTRUCTION FUND - SCHEDULE "15" ~ The various Construction Projects Accounts are grouped under this schedule and the receipts. disbursements and balances of each construction project account as well as the total receipts, disbursements and balances of all construction project accounts are shown therein. There was a number of intra-fund postings between jobs. Correcting Journal Entries are shown on Schedule 25 and have been made on the books of record. MATERIAL STORES - SCHEDULE "16" Charges to this fund were for materials purchased and credits are for inter-fund sales. AIRPORT FUND - SCHEDULE "17" ~ The City took over operation of the Airport during 1958, and a separate Fund was established. The various receipts are primarily from Sales and Rentals, aside from the amount of $45,000.00 which the City contributed from the General Operating Fund Disbursements were verified under regular procedure, and appear to be legitimate and in order. The actual disbursements exceeded budgeted amounts by $79,336.78. Due to increased activity the actual receipts ex- ceeded budgeted receipts by $92, 150.46. . BRIDGE OR STREET BUILDING MACHINERY AND EQUIPMENT FUND - SCHEDULE "18" A transfer of $26.000.00 was made to this fund in December 1961, this amount being less than twenty-five per cent of 1961 budget for the street department fund of General Operating Fund. CLEARING ACCOUNTS - SCHEDULE "19" A grouping fund for all collection accounts, labeled "Clearing" was established. Income tax, Social Security Tax, and Receipts received in ad- vance, are all included under this category. PARKING METER REVENUE - SCHEDULE "20" 41 According to Revenue Bond agreement, an account has been established for Parking Meter Revenue, which is shown, together with disbursements from the fund, under Schedule "20". REFUSE DEPARTMENT - SCHEDULE "21" .. The Refuse Department was set up as separate fund but was still accounted for by the water department. CASH IN THE CUSTODY OF THE CITY TREASURER - EXHIBIT "D" Under this exhibit is shown a summary statement of the Treasurer's Cash Balance at the beginning of the year, the receipts and disbursements clearing the Treasurer's Bank Accounts during the year, and the Treasurer's Cash Balance at the close of the year. 7 .. ". Schedule "22" shows the reconciliation of the Bank Balances confirmed to us by the depositories with the December 31, 1961 balances on the Treasurer's books. A list of the Outstanding Checks at that date is set forth in Schedules "22-a-b-c'l. The 1962 deposits shown on this reconciliation (Schedule "22") con- sisted of collections applicable to the year 1961. INVESTMENTS IN CUSTODY OF THE CITY TREASURER - EXHIBIT "E" This exhibit sets forth a description of the investments in the Custody of the City Treasurer as at the beginning and closing dates of the audit period, together with details of the change in investments during the period. Investments in the custody of the treasurer on December 31, 1961, were verified by inspection and correspondence. The income from investments collected during the period was traced into the records of cash received. TAXES " The City's share of the 1960 taxes collected by the County Treasurer was traced into the various City of Salina 1961 Fund Tax Accounts maintained on the records of the Saline County Treasurer. From the records maintained by the County Treasurer and w~thout a detailed examination, it appeared that the County had distributed to the City its share of 1960 Tax Levy Collections, together with Collections during the year on Taxes assessed in prior periods, and that these distributions were made to the City on the basis of the tax levies for the years in which the col- lected Taxes were levied. It was determined that the City credited receipts from the County Treasurer to the City Funds on the same basis. The County Treasurer's allocations of Sales Tax residue to the City appeared to be in accordance with the statutes. , SUMMARY AND RECONCILIATION OF 1960 TAX ROLL SHOWING T AXES ASSESSED AND COLLECTED BY THE COUNTY TREASURER AND UNCOLLECTED BALANCES - EXHIBIT "F" .. This exhibit sets forth the adjusted tax roll applicable to the City of Salina, taxes collected and taxes remitted to the City, and taxes uncollected by the County. . ST ATEMENT OF TAXES RECEIVED FROM THE COUNTY TREASURER SHOWING CURRENT AND DELINQUENT TAXES AND DISTRIBUTION TO FUNDS ON BASIS OF ASSESSMENT - EXHIBIT "G" This statement shows the total amount of taxes received by the City during the year 1961, and the years in which such taxes were levied by the City. The allocations to the City Funds is based on the tax levy for the years in which the collected taxes were levied. Included ill this exhibit is an analysis of delinquent and current, tangible and intangible tax~s received. 8 . The individual fund statements of receipts, disbursements and balances of cash for tax levying funds, Schedules "1" to "13" inclusive, show the total Ad Valorem Taxes received by each tax levying fund. , SUMMARY OF ACCOUNTING PROCEDURE AND VERIFICATION OF RECEIPTS AND DISBURSEMENTS OF CITY CLERK AND CITY TREASURER . Receipts: The City Clerk is the principal collecting and accounting officer. All items of cash received, except taxes and infrequent collections received directly by the City Treasurer, are handled first by the City Clerk or by Clerks in his office. The City Clerk and City Treasurer are provided with standard triplicate receipt forms numbered by the printer, and a re- ceipt is issued for each individual collection made by these officers. The City Clerk deposits collections made through his office on the average of every two or three days, and a test check of his records indicates that de- posits of his collections were made intact and promptly. The City Treasurer reports each of his collections separately to the Clerk, and such collections are recorded on the Clerk's cash receipts record. The City Clerk's records indicated that the City Treasurer had promptly de- posited all sums of money coming into his hands. Duplicates of receipts issued during the audit period by the City Clerk and City Treasurer were test-checked into the Clerk's record of cash re- ceived, and the mathematical accuracy of that record was verified. The au- ditor scrutinized the fund classification of the receipts, as shown on the Clerk I s cash record, for verification of fund distribution, and the classifi- cation of receipts within the funds was test-checked. Monthly totals of fund receipts were traced from the receipts record into the fund ledger. The duplicate cash receipts were test -checked into the receipts analysis record, and that record was tested as to accuracy of totals. Records of licenses issued and other available evidence of cash received were also test-checked into the Clerk's and Treasurer's cash books. The collections of the Director of Finance were traced into the Treasurer's Bank Accounts; Collections of the Treasurer were also traced into his various bank accounts. The four local banks were approved as depositories by the Governing Body on October 6, 1959. No cash was on hand in the office of the City Clerk at January 1, 1962, since all cash received was deposited intact. All 1962 deposits applicable to the year 1961 were entered on the books as at December 31, 1961. Certain collections made in 1961 were applicable to 1962, and are shown in a separate fund called 1962 receipts paid in advance, and are included in "Clearing Accounts" . .. ~ ... Disbursements: All claim vouchers paid during the year were ex- amined and test-checks of postings and extensions were made. Claim Vouch- ers were test-traced into the Clerk's ordinance registers, and the fund dis- tributions were all checked to the General Ledger Sheets. The mathematical accuracy of the City Clerk's warrant registers were proven, and the fund totals of each appropriation ordinance were traced into the fund ledger. Post- 9 . ings were test-checked from the Clerk's warrant register to the disburse- ments analysis record, and that record was proven for accuracy of totals. . The City uses a warrant form for making disbursements, which be- comes a check on bei ng run through a check-writing machine which im- prints all signatures. All checks cancelled during the year were examined and traced to the appropriation ordinance record. Fund Ledger: The City maintains separate fund accounts for the cash and investments of each City Fund. All postings to the Fund Ledger were traced from their source into the Fund Ledger, and the mathemati- cal accuracy of the Ledger was proven. Fund Ledger Balances were com- puted' and a total balance was abstracted from that record. Treasurer's Records: The Treasurer's record of checks issued, and deposits made, and bank balances is maintained by a bookkeeper in the of- fice of the City Clerk as an independent record. Statement of total receipts, disbursements and balances, as shown by this record, are set forth in Ex- hibit "D". 1. CLERK OF THE CITY COURT STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH - EXHIBIT "H" -. This exhibit sets forth the cash balances in the custody of the Clerk of the City Court, at the beginning and end of the audit period, together with receipts and disbursements during the year 1961. These figures were taken from the records of the Clerk of the City Court. Reconciliation of the Clerk of the City Court cash balances at the Farmer's National Bank, Salina, Kansas, is shown on Schedule "23". Can- celled checks were examined for signature and endorsement. The Clerk of the City Court maintains a record of cash received and disbursed, a ledger of cases, and ordinarily a monthly reconciliation of case balances with the cash balance, which reconciliation rarely reconciles, varying either over or under. However, since the case ledger cards are not posted since Septembe r 1961, no reconcilement is possible to be made. . .. Verification was made by comparison of cancelled checks with dis- bursements as recorded, by proof of monthly Postings by addition, by com- parison of all duplicate receipts to the receipt record, and comparison of such totals with amounts recorded, and by test-check of individual items to the amount recorded, by verification from the records or reports of City and County officials as to amounts shown paid to them, by test-checking of items of receipts and disbursements to the Dockets and to the Case Ledgers. We suggest the Clerk of the City Court be given assistance in bringing all his records up to date and that his bookkeeping system be revised. This was discussed with the Clerk of the Court, the City Clerk and City Manager. 10 POLICE COURT FINES AND FORFEITURES j A Police Sergeant acts as collection officer for the Judge of the Police Court. Entries on the Police blotter show the amount of the Appearance Bond deposited, fine imposed or other deposition of the case; fines collected or paid by work; and other information regarding the case. Receipts for fines paid are issued from a duplicate receipt book, the duplicate being re- tained for all except still traffic violations, which are entered in total each day. These totals were test-checked by addition of tickets, and duplicates were test-checked to the docket. . Cash, as received, in fines and Bond Forfeitures, is placed in numbered case envelopes which are accumulated until the end of each Blotter Page, when these envelopes, together with other similarly numbered case envelopes con- taining fines, workout, parole, dismissal evidence, are turned over to the Police Judge who reconciles the cash and other items with his docket records, and prepares an analysis thereof which he submits to the City Clerk, together with the cash received. Traffic fines are turned over daily. Dismissal evidence was furnished for 1961 Dismissals. The analysis of tines imposed for the year 1961, as prepared and submitted by the Police DepartrrE nt to the City Manager, was examined and found correct. SUMMARY OF POLICE COURT RECORDS - EXHIBIT "I" \. This exhibit shows the January 1, and December 31, 1961 balances of uncollected fines by the following years: 1959, 1960, together with the 1961 collections, paroles, workouts, and dismissals for each year. Verification was made by test additions of the duplicate receipts, and comparison with cash reported and paid to the City Clerk. Tests were made from duplicate receipts to the envelopes, and from envelopes to the Police Blotter. Tests of monthly fines and collections were made for the year 19b 1 from the Blotter, and compared with those reported to the City Clerk and City Manager. SUMMARY OF THE RECORDS OF THE CITY BUILDING INSPECTOR - EXHIBIT IlJl1 .., This exhibit shows a classification of the collections made by the building inspector, together with the remittances made to the City Clerk during the period from January 1, to December 31, 1961. . Cash received from the collections of fees and issuance of permits as shown by the duplicate receipts, were traced into the Register of Col- lections maintained in the Building Inspector's Office, and from that Regis- ter to the monthly reports and remittances to the City Clerk. Fee charges appear to be in accordance with the rates set by ordinances. ... COMPARISON OF DEPOSITORY BONDS AND BALANCES OF DEPOSIT - EXHIBIT "K" This statement compares the balances on deposit as at December 31, 1961, with the amounts of depository bonds pledged by the banks as collateral to assure the payment of these deposits. The local banks have pledged United States Government, Kansas Municipal Bonds, or Temporary Notes as collateral for deposit of public moneys. It appeared that there was sufficient collateral pledged at all times as required by law. 11 .. The Governing Body does not approve depository bonds as required under section 13-2107 of G. S. 1949. All depository bonds were confirmed by correspondence with banks holding same for safekeeping. FIDELITY BONDS IN FORCE - EXHIBIT ilL" Fidelity bonds in Force as of December 31, 1961, as detailed under the exhibit were inspected and checked to the statutes and 1960 revised ordin- ances to determine that such bonds meet statutory requirements as to type, amount and approval. All Fidelity Bonds, except those of the Clerk of the City Court and the Marshal of the City Court, are in custody of the City Clerk. The bonds of the Clerk of the City Court and the Marshal of the City Court are drawn in favor of the State of Kansas rather than in favor of the City of Salina, as provided by G. S. 1949 under 20-1420 and 20-1421. All other fidelity bonds were drawn in favor of the City of Salina. The liability of Surety Companies on all fidelity bonds was confirmed by correspondence with the Home Office of the Surety Companies, and it was ascertained that each of these companies was authorized to do business in the State of Kansas. INSURANCE IN FORCE - EXHIBIT "Mil . This exhibit presents a summary statement of the Insurance coverage on the various properties owned by the City, together with the type of in- surance thereon. Policies are issued, in most instances, to cover a period of either three or live years. The properties listed under the heading of City Buildings and Properties with a total coverage of $568,090.00 are insured by a group of 33 companies with each policy having an eighty or ninety per cent co-insurance clause. The Memorial Hall Building and contents are insured by a group of 19 companies for $231,000.00. Each of the policies in this group contains a ninety per cent co-insurance clause, all policies expire August 1, 1966. Airport policies carry 80% and Sewage Building Policies carry 90% co- insurance. ... Insurance coverage on other properties not included in the above groups and other types of protection are listed separately. "" It was determined that all insurance companies writing insurance on the City's property were authorized to do business in the State of Kansas. ACCOUNTS RECEIVABLE - EXHIBIT "N" Accounts due to the various funds of the City as at December 31, 1961, as determined by our examination are shown on this exhibit. No independent verification was made with debtors. This exhibit does not include unpaid taxes. 12 LIABILITIES No separate schedule has been presented of Liabilities, as they are classified by funds under Exhibit "A". The amounts included as liabilities were determined from inspection of the records maintained by the City Clerk's office. JUDGMENTS There are no adverse judgments of record against the City of Salina according to the judgment docket in the office of the Clerk of the District Court. There is a personal injury suit pending against the City of Salina wherein the plaintiff, Margaret G. Vladar, is asking for $10,000.00. The Clerk of the District Court informs us that the Judge has this case under advisement. The number assigned to the case is #23442. STATEMENT OF BONDED INDEBTEDNESS - EXHIBIT 110" 11 This statement presents# in detail, the bonded indebtedness of the City of Salina at December 31, 1960, and December 31# 1961, together with bonds issued and retired during 1961. The following statement shows amount of bonds maturing each year. Due Each Year Total Bonds Year Due Total $ 868, 110.74 926,947.32 849#000.00 836,000.00 761,000.00 725#000.00 636,000.00 550,000.00 490,000.00 389,000.00 349,000.00 290,000.00 295,000.00 300,000.00 305,000.00 315# 000. 00 320,000.00 297#000.00 307,000.00 292,000.00 215#000.00 195,000.00 200#000.00 210,000.00 220,000.00 $11, 141,058.06 .. 1962 1963 1964 1965 1966 1967 1968 1969 1970 1971 1972 1973 1974 1975 1976 1977 1978 1979 1980 1981 19B2 1983 1984 1985 1986 ~ ~ 13 The following schedule shows the total Bonded Indebtedness outstanding at the close of each of the last ten years. Bonded Indebtedness 'f' December 31, 1951 1952 1953 1954 1955 1956 1957 1958 1959 1960 1961 $ 1,538,099.96 1,836,017.06 3,633,426.13 3,953,396.19 4,794,503.64 4,843,694.67 5,727,208.81 6,243,242.95 6,938,846.68 7,207,914.02 11,141,058.06 RECONCILIATION OF THE CITY OF SALINA FISCAL AGENCY ACCOUNT - SCHEDULE "24" The balance shown as unpaid December 31, 1961, has been compared with the Fiscal Agency statement and was confirmed with the State Treasurer. Cancelled bonds and coupons paid by the Fiscal Agency during the year 1961 were carefully examined and checked against the bond record, and found to be proper charges. TEMPORARY NOTE INDEBTEDNESS - EXHIBIT "p" This statement shows the amount of Temporary Note Indebtedness owed by the City at December 31, 1961. These notes will be repaid out of the proceeds of bond sales. JOURNAL ENTRIES Journal Entries for corrections for the year 1961 are shown on Schedule 25 and were placed on the books during the course of the audit. MINUTES AND ORDINANCES .. The minutes of the meetings of the governing body during the audit period, ordinances enacted during the period, and the 1960 revised ordinances were reviewed for matters pertaining to the audit. The Minutes appeared to be complete and in good order. ~ GENERAL During the course of the audit, explanations of various matters were obtained from officers and employees of the City. We wish to express our appreciation for the co-operation and assistance of all those with whom we came in contact. 14 CERTIFICATE We certify that, in our opinion, subject to the foregoing comments, the accompanying exhibits and related schedules properly reflect the financial condition of the City of Salina, Kansas, as at December 31, 1961, and the results of its operations for the period from January 1, 1961 to December 31, 1961, inclusive. We further certify that, subject to the comments pertaining to the Water and Sewage Department, as shown on the pages immediately follow- ing Schedule "25" of this report, the exhibits and schedules pertaining to the Water and Sewage Department correctly reflect the financial conditions of that Department as at Decenb er 31, 1961, and the results of the opera- tions of that Department for the period from January 1, 1961 to December 31, 1961, inclusive. Respectfully submitted, A. H. Leckband & Co. ? If / By -'~Z'Rd:t< IL ~____ A. H. L' b nd, Licensed Municipal Public Accountant, #119 in charge of and actively engaged on this audit. ., 15 A Exhibit AND CITY OF SALINA, KANSAS STATEMENT OF RECEIPTS, DISBURSEMENTS, BALANCES OF CASH AND INVESTMENTS 1961. JANUARY 1 to DECEMBER 31, INCLUSIVE SUMMARY Cash Balances 12-31-61 Liabilities 12-31-61 Unencumbered Cash 12-31-61 Charges 1961 Cash Accountability Unencumbered Receipts 1961 Unencum- bered Cash 1-1-61 Liabilities 1-1-61 Paid in '6 1 Cash Balances 1-1-61 YEAR, , 495.60 454.93 679.45 748.94 72 13, 13, 1 436.74 666.90 714.79 25 1, 1. 058.86 788.03 964.66 748.94 47 11 11, 1 414.40 524.36 862.94 000.00 106, 11, 139, 63 1 473.26 312.39 827.60 748.94 153 23, 151, 64, 1, 163.83 346.62 082.87 379.83 111. 5 151, 62, 1 43 77 73 11 309 965 744 369 42, 17, 2. 356.00 43 77 73 11 309 321 744. 369 42, 18 2 Budgeted General Operating Memorial Hall Refuse General Cash Funds 146.36 773. 18 501.52 239.40 893.40 180.90 012.02 607.89 955.26 859.01 083.57 23.20 12, 5 4. 11 32, 221, 513. 14, 58 15 74 39 77.86 149 731 898 97 4, 14, 11 247.78 676.03 501.52 239.40 815.54 180.90 012.02 458. 15 955.26 127.62 083.57 23.20 7 5 4, 11 21, 221, 499. 14, 049.64 152.77 438.71 600.00 068.81 415.68 968.29 906.78 197.77 726.37 087.47 000.00 45, 13, 20. 11. 10, 1, 10, 154, 887, 524, 15 6 4, 297.42 828.80 940.23 839.40 884.35 596.58 980.31 364.93 153.03 853.99 1 71. 04 023.20 52, 18. 20, 11, 14. 1, 21, 176, 109, 023. 29, 6, 1 5 299.82 810.17 069.24 452.35 024.43 496. 13 311. 01 327.18 622.96 260.57 733.85 49 12 20, 11, 11, 1. 10, 167. 945. 017. 14, 5, 997.60 018.63 870.99 387.05 859.92 100.45 669.30 037.75 530.07 593.42 437.19 023.20 2, 6 11, 9, 163, 6, 14, 6 3. 00 17 120 584 12, 60 63 99 05 09 45 30 75 07 42 19 20 997 138 870 387 444. 100 669 037 530 593 437 023 2, 6, 11 9 163, 6. 14, 6 16 & Spe cial Improvement General Improvement Cemetery Public Health Band Flood Control Noxious Weed Firemen's Pension Development Airport Bond & Interest Water & Sewage Police Pension Industrial 40 63 57 39 00 64 76 84 17 67 35 918.654 535 040 494 723 715 372 137 224. 461 538 18 27. 5, 49, 7 6 53. 15 20 59 59.773 399 773 8 48 535.57 641. 19 494.00 950.05 715.76 372.84 137.17 53,224.67 307.01 858.881 538 9, 27, 4, 49, 7 6 99 766.96 105.54 680.48 700.58 000.00 000.00 297.75 359.29 375.81 413 021 995, 150, 14, 58, 10. 10, 2. 47, 31, 7 4. 47 53 73 00 53 34 84 17 75 96 82 295 302. 746. 494. 630. 416. 372. 137. 297. 583. 682. 7.880. 534, 159, 27. 19, 108, 17. 16, 2, 100. 31, 5, 380.86 846.70 681. 08 000.00 850.33 578.50 650.00 140.00 400.00 190.00 450.85 591 371. 150, 26, 13, 36. 11, 5, 1, 78, 29, 7 5 914.61 455.83 065.65 494.00 780.20 837.84 722.84 997. 17 897.75 393.96 231. 97 288 162, 9, 1, 5, 71, 5, 10, 22, 2, 17 13.060 78 83 65 00 20 84 84 17 75 96 97 974. 455. 065. 494. 780. 837. 722. 997. 897. 393. 231. 301 162, 9. 1, 5. 71, 5 EndowmentlO, T ru st 22, 2. Totals Fund s Not Bud Construction Clearing Accounts Street Machinery Material Stores Firemen's Relief Cemetery Endowment Hillcrest Memorial Hillcrest Memorial Parking Meters Civil Defense eted 34 154 39 360.02 705 706, 625 1 13 28 327 100 9, 26 378 697 41 700.40 286 320, 5, 664.67 017, 6 46 787 724, 5, 21 877 292, 877.21 292, Totals ~ 69 74 556.259 1 341 12 14 960 897 13 168.32 Purchased '61 48.889.00 316 13 82 791 581 17 13.060 99 594.851 Funds All Investments Firemen's Totals JI. 48.889.00 000.00 000.00 000.00 889.00 10. 10 000 068 2 2 75 10 00 518 833 650 23 4, 11 000.00 000.00 000.00 10, 10 2.000 75 10 00 23.518 833 650 4 11. Relief Mausoleum Endow- ment Trust Cemetery Endowment Water & Sewage 85 40.001 889.00 068, 2 85 40.001 Totals CITY OF SALINA, KANSAS STATEMENT OF RECEIPTS, COMPARED WITH BUDGETED AMOUNTS Year 1961, January 1 to December 31, Inclusive Actual Amount Amount Receipts 1961 over under 1961 Budget Bud get Budget Tax-Levying Funds General Operating 1,111,163.83 1,099,066.68 12,097. 15 Memorial Hall 5,346.62 6,507.01 1. 160.39 Cemetery 12.810.17 12, 111. 16 699.01 General & Special 1m prove m ent 62,379.83 61,712.49 667.34 General Improvement 4~,299.82 47,978.62 1,321. 20 Public Health 20,069.24 19,824.38 244.86 Band 11,452.35 11,367.06 85.29 Noxious Weeds 1,496. 13 1.477.08 19.05 Firemen's Pension 10,311. 01 9,704.42 606.59 Police Relief & Pension 14,733.85 14, 119.62 614.23 " Bond & Interest 945,622.96 814,621.26 131,001. 70 Flood Control 11,024.43 10,881.71 142.72 Total Tax-Levying Fund8 2,255,710.24 2, 109,371. 49 146,338.75 ... ., Non-Tax-Levying Funds Material Stores Water and Sewage Clearing Accounts Construction Civil Defense Firemen's Relief Hillcrest Memorial Trust Hillcrest Memorial Endowment Street Machinery Parking Meter Revenue Cemetery Endowment Airport Refuse Total Non-Tax Levying Fund s Total - All Funds 1.6 Exhibit "B" 13,850.33 5,017,260.57 150,681. 08 5,371,846.70 29,450.85 36,578.50 1,400.00 515,100.00 4,502, 160.57 5,140.00 26,000.00 78,190.00 11,650.00 167,327.18 151.082.87 70,000.00 8,190.00 75,176.72 150,725.00 92, 150.46 357.87 11,060,458.08 13,316,168.32 17 Exhibit "c" CITY OF SALINA, KANSAS COMPARISON OF ACTUAL DISBURSEMENTS \VI TH THE BUDGET ~ Year 1961. January 1 to December 31. Inclusive Total Anticipated Amount Amount Disbursements Disbursements under over Exhibit "A" "Budget" "B d t" "B d t" u ge u ge Tax Levying Funds General Operating 1, 106,414.40 1, 108,722.00 2,307.60 Memorial Hall 11,524.36 11,875.00 350.64 General & Special Improvements 63,000.00 63,300.00 300.00 General Improvement 45,049.64 50,000.00 4,950.36 Cemetery 13, 152. 77 14,715.00 1,562.23 Public Health 20,438.71 20,438.71 Flood Control 10,068.81 11,206.24 1,137.43 Noxious Weeds 1,415.68 1,500.00 84.32 Firemen's Pension 10,968.29 20,770.00 9,801.71 .. Police Relief & Pension 15,087.47 25,696.00 10,608.53 Bond & Interest 887,197.77 937,810.00 50,612.23 Band 11,600.00 11,600.00 Total Tax Levying Funds 2, 195,917.90 2,277,632.95 81,715.05 Non-Tax Levying Funds Cl~aring Accounts 150,105.54 Construction 4,995,766.96 Stores Accounts 14,680.48 Firemen's Relief 58,700.58 Hillcrest Memorial Endowment 10,000.00 Water and Sewage 4,524,726.37 514,600.00 4,010,126.37 Airport 154,906.78 75,570.00 79,336.78 Refuse 139,862.94 150,725.00 10,862.06 Parking Meters 47,359.29 68,940.00 21,580.71 Industrial Development 6,000.00 6,536.77 536.77 Civil Defense 31,375.81 Cemetery Endowment 10,000.00 Hillcrest Memorial Trust 2,297.75 Total - Non-Tax- Levying Funds 10, 145,782. ::>0 Total - All Funds ~2,341,700.40 18 Exhibit "D" .. CITY OF SALINA, KANSAS CASH RECEIPTS, DISBURSEMENTS & BALANCES OF THE CITY TREASURER AND RECONCILIATION OF DISBURSEMENTS . Year 1961, January 1 to December 31, Inclusive Balance, January 1, 1961 594,851. 99 Receipts 1961 (Exhibits "A" and "B" 13,316,168.32 Total Accountability 13,911,020.31 Disbursements 1961 Budget Charges 12,341,700.40 Plus 1-1-61 Liabilities Paid 13,060.17 12,354,760.57 Less Liabilities 12-31-61 69,100.28 12,285,660.29 Balance December 31, 1961 .....625,360.02 Cash December 31, 1961 The Farmers National Bank 559,527.04 The Planters State Bank 628,023.98 The National Bank of America 337,809.00 The First Trust Company 100,000.00 .. 1,625,360.02 Total Cash in Banks 19 Exhibit "E" . CITY OF SALINA, KANSAS INVESTMENTS IN CUSTODY OF CITY TREASURER December 31, 1961 Balance Additions Reductions Balance Fund 1-1-61 1961 1961 12-31-61 Firemen's Relief City of Salina Bonds "c" *23,518.75 23,518.75 City of Salina Temporary Note s 48,889.00 48,889.00 Cemetery Endowment City of Salina Temporary Notes 11,560.00 11,560.00 . City of Salina Temporary Notes 10,000.00 10.000.00 Mausoleum Endowment City of Salina Bond s 4,833.10 4,833. 10 City of Salina Temp:>rary Note 10,000.00 10.000.00 Water & Sewage Department U. S. Treasury Notes and Bills ~ 2,000,000.00 2,000,000.00 >:' 25 $1,000 Bonds " 20 Exhibit "F" CITY OF SALINA, KANSAS SUMMARY & RECONCILIATION OF THE 1960 TAX ROLL. SHOWING TAXES ASSESSED BY THE COUNTY CLERK. COLLECTED BY THE COUNTY TREASURER AND REMITTED TO THE CITY TREASURER - ALSO LIST OF UNCOLLECTED AND UNREMITTED BALANCES - DECEMBER 31. 1961 Collected by Received by Amount Un- Adjusted County City Collected by Co. Tax Roll Treasurer Treasurer Treasurer General Operating Intangible Tax 27~015.01 27,158.50 27,158.50 ( 143.49) Tangible Tax 593~409.85 583~977.52 583,977.52 9~432.33 Total General Operating 620~424.86 611~136.02 611~ 136.02 9,288.84 Memorial Hall 2~722.54 2,679.49 2~679.49 43.05 Civil Defense 12~525.83 12~326.94 12~326.94 198.89 General & Special Im- provement 63~019.59 62~018.68 62,018.68 1~ 000.91 General Improvement 44~832.34 44~ 119.02 44,119.02 713.32 Cemetery 4~695.87 4~ 621. 21 4~621.21 74.66 Public Health 18,836.24 18,537.35 18,537.35 298.89 Band 10,747.73 10,576.47 10,576.47 171. 26 Flood Control 10,225.08 10~062.63 10~062.63 162.45 Noxious Weed 1,392.93 1~ 370. 36 1,370.36 22.57 Firemen's Pension 4,120.76 4~054.82 4,054.82 65.94 Police Relief & Pension 9, 159.58 9,013.61 9,013.61 145.97 Bond & Interest 494,833.57 486,968.47 486,968.47 7,865.10 Total Ad Valorem & In- tangible Taxes 1,297,536.92 1,277,485.07 1,277~485.07 20,051. 85 Special Taxes Paving 331,378.10 320~704.94 320,704.94 10,673.16 Sewer 55~950.88 54~133.51 54,133.51 1,817.37 Water 44,054.93 3 9~110. 38 39~ 110.38 4,944.55 .. Weeds 901.00 806.50 806.50 94.50 Sidewalks 8~136.36 8~447.29 8 ~ 4 47 . 29 (310.93) Total Special Taxes 440,421.27 423,202.62 423,202.62 17~218.65 Total - All Funds 1~ 737,958. 19 1~700,687.69 1~ 700. 687.69 37.270.50 21 Exhibit "G" 0\ . CITY OF SALINAj KANSAS STATEMENT OF TAXES RECEIVED FROM COUNTY TREASURER SHOWING 1960 TAX AND PRIOR YEARS' TAXES RECEIVED AND DISTRIBUTION TO FUNDS - YEAR 1961 Delinquent 1960 Current Funds Tax Tax Total s Ad Valorem & Intangible Tax General Operating Ad Valorem 4~583.44 583~977.52 588,560.96 Intangible 349.88 27. 158.50 27.508.-'38 Total General Operating 4~933.32 611, 136.02 616,069.34 Memorial Hall 41. 07 2~679.49 2~720.56 General & Special Improvement 361. 15 62,018.68 62,379.83 General Improvement 357.33 44, 119.02 44,476.35 Cemetery 24.02 4,621.21 4,645.23 .. Public Health 128.37 18,537..35 18,665.72 Band 71.63 10,576.47 10,648.10 Noxious Weed 10.44 1, 370. 36 1,380.80 Firemen's Pension 11. 65 4,054.82 4,066.47 Police Pension 74.29 9,013.61 9,087.90 Bond & Interest 3,707.52 486,968.47 490,675.99 Flood Control 80.09 10,062.63 10, 142.72 Civil Defense - Voice Warning 97.70 12,326.94 12,424.64 Total Ad Valorem & Intangible 9,898.58 1,277,485.07 1,287,383.65 Special Taxes Paving 4,776.61 320,704.94 325,481.55 Sewer 1,864.36 54,133.51 55,997.87 (a) Water 624.63 39,110.38 39,735.01 (b) Weeds 33.00 806.50 839.bO (c) Sidewalks 20.98 8,447.29 8,468.27 Total Special Taxes 7,319.58 423~202.62 430,522.20 . Total - All Funds 17,218.16 1,700,687.69 1,717,905.85 Distribution - Specials (a) To Water Fund - Accounts Receivable 80.40 (b) To General Improvement - Weeds 839.50 (c) To Construction Fund - Sidewalks 8,468.27 To Construction Fund - Water Services 39,854.61 22 Exhibit "H" ~ CITY OF SALINA.. KANSAS CLERK OF THE CITY COURT STATEMENT OF CASH RECEIPTS. DISBURSEMENTS AND BALANCES .Year 1961.. January 1 to December 31.. Inclusive Balance January 1.. 1961 4..179.32 Receipts City Fees 19,667.61 Sheriff Fees 2..272.22 Judicial Fees 312.75 Fines 19,905.55 Costs 672.47 Miscellaneous 25,945.78 . Total Receipts 68..776.38 Total Accountability 72,955.70 ~ Disbursements City Fees to City Clerk 18.. 139.05 Sheriff's Fees to Sheriffs 2, 152.48 Judicial Fees to County Treasurer 289.50 Fines to County Treasurer 17,892.78 Costs Returned 372.40 Miscellaneous 22,982.94 Total Disbursements .61.. 829. 15 Balance December 31.. 1961 11, 126.55 Balance per Cash Verification 10,870.63 Difference 255.92 . . Cash in Bank - Per Schedule 23 Cash on Hand - Verified by Count on December 31, 1961 10..778~86 91.77 Total Cash on Hand and in Bank - December 31. 1961 10..870.63 23 Exhibit "I" ~ ~ CITY OF SALINA. KANSAS SUMMARY OF POLICE RECORDS Year 1961, January to December 31, Inclusive 1959 1960 1961 Total Fines Imposed Balance Uncollected 1-1-61 440.00 2,267.00 2,707.UO Bond Collected 220.00 220.00 . 1961 Fines Imposed 80,304.00 80,304.00 Total Accountability 440.00 2,267.00 80,9524.00 83,231. 00 \ Accounted For by: Cash Collected and Remitted to City Clerk Fines worked out Paroled and/ or Dismissed Total Credits 440.00 1,627.00 75,843.00 77,470.00 620.00 1,590.00 2, 21U. 00 20.00 969.00 1,429.00 2,267.00 78,402.00 81, 109.00 2,122.00 2, 122.00 440.00 Balances Uncollected 12-31-61 ~ 24 Exhibit "J" . CITY OF SALINA, KANSAS SUMMARY OF THE RECORDS OF THE CITY BUILDING INSPECTOR Year 1961, January 1 to December 31, Inclusive Collections Building Permits and Inspections 8,921. 25 Gas Inspections 1, 112.75 Plumbing Inspections 2,734.45 Electric Inspections 3,692. 10 " Sign Permits 134.50 Air Conditioning Permits 6.00 Fence Permits 104.00 Sandblasting Permits 2.00 .. Total Collected - 1961 16,707.05 Due from 1960 1. 50 Total Accountabil ity 16,708.55 Total Remitted to City Clerk 16,707.05 Balance due City Clerk 1. 50 .. 25 Exhibit "K" ~ . .CITY OF SALINA. KANSAS COMPARISON OF DEPOSITORY BONDS AND BALANCES OF DEPOSITS December 31, 1961 Depositories Farmers Planters National First National State Bank of State Bank Bank Ame rica Bank .Names of Accounts Donald Harrison, City Treasurer 559~527.04 675,446.40 337~809.00 100,000.00 W. T. Broom, Clerk ,a, of the City Court 17~072.41 Totals 576~599.45 675,446.40 337~809.00 100,000.00 .. Less F.D.I.C. 10,000.00 10,000.00 10~000.00 10,000.00 Balance Securable by Collateral 566~599.45 665,446.40 327,809.00 90,000.00 Required 70% 396~o19.61 465,812.48 229,466.30 63,000.00 Bonds Deposited by Banks 515,729.30 509,669.97 309,000.00 70,000.00 .. .. 26 Exhibit "L" ~ " CITY OF SALINA, KANSAS FIDELITY BONDS IN FORCE December 31, 1961 Date Date of $ N am e Title Effective Expiration Amount Ralph Exline City Commissioner 4-14-59 Continuous 10,000.00 Gaylord E. Spangler City Commissioner 4-11-61 Continuous 10,000.00 Harry Banker City Commissioner 4 -11-61 Continuous 10,000.00 Donald L. Tucker City Commissioner 4-11-61 Continuous 10,000.00 R. W. Bull City Commissioner 4-14-59 Continuous 10,000.00 William J. Broom Clerk of City Court 4-10-61 4-10-63 2,000.00 C. F. Leiker Marshal of City Court 4-4-61 4-4-63 2,000.00 Leland M. Srack City Manager & Supt. of Waterworks 2-1-52 5,000.00 ~ Harold E. Peterson City Clerk & Director of Finance 1-1-53 Continuous 5,000.00 D. L. Harrison City Treasurer 6-1-58 Continuous 50,000.00 Ivy Thompson (Waterworks Cashier) (Blanket Position) 5,000.00 . H. M. Eller Police Judge 3-9-37 Continuous 1,000.00 Harold F. Harper City Engineer 1-15-46 Continuous 5,000.00 Robert A. Lange Building Inspector 6-1-59 Continuous 1,000.00 Glenn M. Horner Airport Manager 1-1-58 Continuous 5,000.00 . .... CITY OF SALINA. KANSAS INSURANCE IN FORCE December 31, 1961 City Group Building & Contents Waterworks Group Wat er Tower Pumping Stations & Contents 1/ 2 Ton Pickup Truck Safe Workmens Compensation Manufacturers & Contractors Water Softener Sewage Disposal Group Building & Contents Building & Contents ~ Municipal Airport Hangers Ticket Office Liability Dwelling 4 Miscellane ous Rolling Stock - 82 Vehicles Messenger & Burglary, Robbery, Office Cemetery Dwelling & Garage Steam Boiler Cameras Forgery Animal Shelter Firemen I s Relief Fund - Bond Refuse Building Kenwood Park Liability Swimming Pool Robbery ... Type of Coverage $ Amount of Coverage 27 Exhibit "M" Co-Insurance % 80 - 90 90 90 Fire & Ext. 131,500.00 80 500.00 (B.I. 100/500,000.00 ( P.D.250,OOO.00 6,500.00 Memorial Hall Group Building & Contents Fire & Cont. 231,000.00 90 Owners, Landlords & Tenants Workmens Compo & Liability p. & P. Damage 300,000.00 Fire & Ext. 568,090.00 Windstorm Fire & Ext. Compo Bur glary Liability Accident Fire & Ext. 142,500.00 49,600.00 1,000.00 42,000.00 50/100,000 760,000.00 Fire & Ext. Fire & Ext. 225,000.00 3,500.00 Fire, Theft, etc. 25-50-5 4,250.00 Fire & Ext. Explosion 7,000.00 50,000.00 205.00 10,000.00 5,000.00 5,000.00 67,900.00 15/100,000 8,300.00 , CITY OF SALINA~ KANSAS ACCOUNTSRECENABLE December 31~ 1961 General Operating Police Fines 2, 122.00 City Building Inspector 1. 50 Gas & Electric Franchise 76,746.79 ... Total General Operating 78,870.29 Cemetery Morticians Fees 270.00 Olaf Pearson 116.00 Total Cemetery 386.00 Total 79,256.29 . .. 28 ExhibitlN" 29 o Exhibit CITY OF SALINA KANSAS ST ATEMENT OF BONDED INDEBTEDNESS December 31. 1961 Amount Outstanding 12-31-61 New Issues 1961 Amount Paid 1961 Out- standing 1-1-61 Amount of Original Issue Rate 0/0 Final Maturity Date Date of Issue I 10,000.00 20,000.00 124.000.00 000.00 000.00 000.00 000.00 000.00 000.00 000.00 318.000.00 00 00 00 00 000 000 000 000 42 95 110, 32. 140, 60 60 223 210 325 103. 000.00 000.00 000.00 000.00 000.00 000.00 000.00 000.00 000.00 000.00 000.00 000.00 000.00 00 00 00 00 00 00 00 000. 000. 000. 000. 000 000 000 19 10, 10, 62, 811. 14. 24, 28, 32, 8. 472, 30, 12, 11. 53, 53. 38, 30, 47 15 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 000 000 000 000 000 000 000 000 000 000 000 000. 000 000 000 000 000 000 000 000 000 19. 20, 30, 186, 811, 56, 119, 138, 32. 40, 472, 170, 72, 60. 11. 371, 53, 261, 240, 372, 118 86 68 97 76 00 89 90 00 00 00 00 66 00 00 92 89 45 00 00 30 25 850 676 625 700 000 940 314 000 000 000 000 381 000 000 438 032 537 000 000. 407 792 195 104, 107, 625. 000, 143, 239, 275. 200. 80, 600, 292, 120, 60, 46. 531, 312. 375, 300, 466, 148, 1, 875 . o 1 2 1 3 3 625 1. 625-3. 1. 625 1. 625 2-2.25 2-2.75 2.75-3-3.5 2.75-2.375 2 3 3 3 2 3 75 25 00 00 00 625 -2.75-2 3-3.25-4 5 5 25 50 5-1 50 5-3 3-3 3-3 1961 1962 1963 1963 1973 1964 1965 1965 1961 1965 1970 1966 1966 1965 1961 1967 1961 1967 1968 1968 1968 1978 12-1-50 12-1-51 12-1-52 7-1-53 8-1-53 11-1-53 11-1-54 11-1-54 12-1-54 8-1-55 10-1-55 11-1-55 11-1-55 12-1-55 11-1-56 11-1-56 3-1-57 3 -1-5 7 7-1-57 11-1-57 11-1-57 5 -1-58 Purpose of Issue Gutter. Paving Gutter, Paving Gutter. Paving Sewer & Pumping Sta, Waterworks Revenue Paving Curb, Gutter. Paving Public Parks Public Parking Armory Waterworks Revenue Curb, Gutter, Paving Curb. Gutter, Paving Offstreet Parking Curb. Gutter Curb. Gutter, Paving Sewers Airport Improvements Sewage Disposal Curb, Gutter Sewers & Pumping StaG Flood Control Curb, Curb, Curb, Series 166 "c" 169 170 PA-2 152 154 157 158 "B" 161 163 164 PA-1 171 172 173 174 175 176 177 178 ,.. 000.00 000.00 000.00 000.00 000.00 000.00 725. 10 385.64 000.00 297.60 706.83 942.89 561 304. 176. 90, 819, 380. 452, 551. 132, 276, 320. 605 1 00 60 83 89 000 297 706 942 132, 276, 320, 605 1, 000.00 000.00 000.00 502.41 563. 15 737.72 33 38 22 15 91, 22 000.00 000.00 000.00 502.41 563. 15 737.72 725. 10 385.64 594, 342, 198, 105, 910, 402, 452, 551, 00 27 13 41 15 72 10 64 00 60 83 89 000 301 742 502. 563 737 725 385 000 297 706 942 666 381, 221, 105. 910, 402. 452, 551, 132, 276. 320, 605, 1, 5- 00 75 75 1969 1969 1970 1970 1980 1971 1981 1981 1972 1972 1982 11-1-58 11-1-58 12-1-58 12-1-59 12-1-59 11-1-60 11-1-60 5-1-61 11-1-61 11-1-61 11-1-61 Paving & Sewers Curb. Gutter. Paving Paving Curb, Gutter, Paving Curb, Gutter, Paving Flood Control Sanitary Services Curb, Gutter. Paving Street Improvements Water & Sewage Issue of 196 1 Curb. Gutter, Pumping StaG Sewers 179 180 181 182 183 184 185 186 S187 P188 P189 25-3.5 :a 600.000.00 3 000.00 600. 3, 000.00 600, 3. 6-5 25-3.5-3 3 1986 7-1-61 06 058 141 11 32 947 5.934, 803.28 803.28 000.00 000.00 803.28 001 686 283, 2b 001. 2, 2. 1 914.02 Bond & Interest Water Department Parking Meter Fund Total 7,207 ( ( ( ( Paid From ... 30 p" Exhibit IN CITY OF SALINA KANSAS STATEMENT SHOWING BALANCES AND CHANGES TEMPORARY NOTE INDEBTEDNESS 1961, January 1 to December 31, Inclusive - Balance 12-31-61 Paid or Renewed 1961 Issued or Renewed 1961 Balance 1-1-61 Payable to Interest Rate % Date of Issue Year Note Number 46 00 28 02 30 00 00 19 15 45 97 480. 889. 562. 881. 729. 000. 000. 718. 429. 396. 169. 408 68, 155, 278, 396, 307, 40, 207, 75, 133, 183, 1, 00 75 00 05 40 15 20 25 82 05 30 28 02 00 00 00 30 48 31 00 00 05 99 431 829. 163. 566. 551. 794. 000. 000. 982. 422. 000. 610. 000. 148. 801. 068. 323. 775. 663. 085. 813. 131. 052. 35, 59, 227, 169, 35, 51, 247, 440, 34, 92, 667, 107, 060, 125, 104, 142, 99, 115, 122, 115, 29, 120, 219, 1, 46 00 28 02 30 00 00 19 15 45 97 00 00 00 30 48 31 00 00 99 408,480. 68,889. 155,562. 278,881. 396,729. 307,000. 40,000. 207,718. 75,429. 133,396. 183, 169. 35,,431. 59,829. 227, 163. 169,566. 35,551. 51,794. 247,000. 440,000. 92,422 1, 05 00 75 00 05 40 15 20 25 82 05 30 28 02 000. 610. 000. 148. 801. 068. 323. 775. 663. 085. 813. 131- 052. 982 34, 667, 107, 060, 125, 104, 142, 99, 115, 122, 115, 29, 120, 219, 1, Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer 50 50 - 4 00 00 00 00 00 00 00 00 00 00 50 50 50 50 50 50 50 50 50 50 50 50 50 50 50 50 50 50 50 50 50 4. 4. 4. 4. 4. 4. 4. 4. 4. 4. 3. 3. 3. 3. 3. 3. 3. 3. 3. 3. 3. 3. 3. 3. 3. 3. 3. 3. 3. 3. 3. 3. 3. 10-59) 8-25-59 Various 1960 6-14-60 6-14-60 6 -28 -60 6 -28 -60 9-60 9-60 9-60 9-60 4-60 4-60 5-61 10-17-61 11.;.15 -61 11-15-61 11-15-61 11-15-61 11-15-61 11- 7-61 11-28-61 11-28-61 11-28-61 6 - 6 -61 6 - 6 -61 1- 3-61 6 - 6 -6 1 5 - 9 -61 5- 9-61 5 - 2 -61 1-31-61 (12-58 8- 8- 8- 8- 10- 10- 9- FL-2 (1-67 1-3-ST -39 (1-41)-OSP-100 (1-5)-PT-44 (1-4) -PT -45 (1-6)-PT-46 (1-4) -PT -47 (1-4) -PT -48 (1-5)-PT-49 (1-4)-PT-50 (1) - PT - 5 1 (1-5)-PT -52 (1- 9) - PT - 53 (1-16)-PT -55 (1-7) -BL 200 (1-6)-PT-52A (1-11)-PT-53A (1-16)-PT-54A (1-33) -OSP-100A (52-53)-OSP-100 (1-8)-PT-56 (1-5) -PT -57 (1-9)-PT -58 (1-12)-FL 300 6-PT -52 (10 -11) - PT - 5 3 (1-9)-PT -54 (10-16)-PT -54 5 - PT -47 (7 -8) -PT -46 (42 -51) -OSP -100 (68-85)-FL-2 .. . .. 82 255. 255, 3, 40 212. 422 4, 90 013. 614, 32 4, 454. 063, 3, 9- 1-59 5 - 9 -61 1-ST -41 (5 -8) -PT -45 ~ 31 Schedule "1" . CITY OF SALINA, KANSAS GENERAL OPERATING ST ATEMENT OF RECEIPTS. DISBURSEMENTS AND BALANCES AND COMPARISON WITH 1961 BUDGET Year 1961, January 1 to December 31, Inclusive .. Amount Amount Actual Over Actual Under Actual Budget Budget Budget Balance January 1. 1961 42,309.43 9,655.32 32,654.11 Receipts Ad Valorem Tax 588,560.96 583,395.65 5,165.31 (Sch. "G") Intangible Tax (Sch. "G") 27,508.38 27.050.00 458.38 Sales Tax 50,696.03 50,696.03 Cigarette Tax 37,011.51 30,000.00 7,011.51 Liquor Enforcement Tax 9,975.87 9,000.00 975.87 Gasoline Tax 48,253.05 55,000.00 6.746.95 Parking Meter Revenue 27,000.00 27,000.00 Franchises 126,385.78 119,000.00 7,385.78 Police Court Fines & Costs 77.470.00 55,000.00 22,470.00 Services & Sales 6,100.79 2,900.00 3,200.79 Highway Maintenance 6.479.00 6,000.00 479.00 Reimbursements 3,801.40 2,000.00 1,801.40 Licenses, Fees, & Per- mits (Sch. "l-A") 52,803.60 37,525.00 15,278.60 Rental s 566.00 800.00 234.00 Dog Impounding 1,348.50 400.00 948.50 Concessions 548.41 300.00 248.41 Engineering Fees 40,000.00 70,000.00 30,000.00 City Court 19,377.90 10,000.00 9.377.90 Swimming Pool Admiss- ions 10,454.30 11.000.00 545.70 Fire Protection 2,228.26 2.000.00 228.26 Discontinued Funds 1,594.09 1,594.09 Total Receipts 1, 111. 163.83 1,099,066.68 12.097. 15 Total Accountability 1, 153,473.26 1,108,722.00 44,751. 26 Budget Charges (Sch. 1-B) 1,106,414.40 1, 108,722.00 2,307.60 Unencumbered Balances 12-31-61 47,058.86 47.058.86 Liabilities 12-31-61 25,436.74 Cash Balance December 31, 1961 72,495.60 '. > 32 Exhibit" 1-A" CITY OF SALINA. KANSAS GENERAL OPERATING FUND DET AIL OF RECEIPTS FROM LICENSES, FEES AND PERMITS AND COMPARISON WITH 1961 BUDGET Y ear 1961~ January 1 to December 31, Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Cereal Malt Beverage 4,950.00 5,000.00 50.00 Retail Liquor Licenses 8,600.00 7,000.00 1~600.00 VVholesale Liquor Licenses 2,500.00 2~500.00 Amusement Devices 2,250.00 1,500.00 750.00 Public Dance Licenses 231. 00 150.00 81. 00 Music Machine Licenses 1,042.50 1,000.00 42.50 Minature Pool Table and Shuffle Board Licenses 1,062.50 1,000.00 62.50 Pool Hall & Bowling Alley Lie. 1,032.50 800.00 232.50 Skating Rinks 100.00 100.00 Theatre & Opera House 300.00 300.00 Auction Sales & Auctioneer 225.00 100.00 125.00 Billboard Advertising 225.00 100.00 125.00 \ Concrete Construction 370.00 200.00 170.00 Electrician Licenses 631. 00 600.00 31. 00 Fireworks Dealer Licenses 1,100.00 400.00 700.00 Gas Fitters 175.00 150.00 25.00 Insurance Companies 10.00 10.00 Junk Dealers (Auto & Parts) 450.00 5UO.00 50.00 Pawn Brokers 600.00 600.00 Plumbers Licenses 880.00 500.00 380.00 Taxicab Licenses 405.00 250.00 155.00 Taxicab Driver Licenses 520.00 250.00 270.00 Street Advertising 207.00 75.00 1::12.00 Trailer Camps 1,415.00 1,415.00 Vender, Peddler (Itinerant) 545.00 545.00 Building Department 16,707.05 12,000.00 4,707.05 House Moving Permits 3,066.90 150.00 2,916.90 Food & Milk Licenses 2,048.40 1,400.00 648.40 Dog Licenses 971.75 750.00 221. 75 Refuse Haulers Licenses 183.00 1bO.00 33.00 Total s 52,803.60 37~525.00 15~278.60 Totals - Cash Expenditures Actual Outlay Budget Capital Actual 33 Sundry Actual B 1 Schedule & Supplies Budget Materials Actual CITY OF SALINA, KANSAS DEPARTMENT ANALYSIS OF 1961 EXPENDITURES AND DISBURSEMENTS AND COMPARISON OF 1961 EXPENDITURES WITH 1961 BUDGET APPROPRIATIONS Year 1961 Januarv 1 to December 31. Inclusive Services Budget Contractual Actual Services Budget Personal Actual . 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 722 Budget 400 995 980 490 110 075 245 605 120 035 745 950 000 827 820 500 075 750 000 21, 11, 44, 12, 12, 23, 3, 54, 239, 18, 64, 267, 106, 15, 66, 49, 63, 13, 20, 123.56 736.36 734.21 480.11 769.55 496.02 033.87 030.19 473.97 809.82 444.37 418.91 004.00 580.27 105.39 215.74 634.40 668.66 655.00 21, 17, 49, 15, 10, 25, 3, 53, 234, 16, 52, 255, 122, 17, 40, 54, 55, 12, 48, 700.00 850.00 Budget 1,500.00 150.00 450.00 2,873.89 203.15 87.50 400.00 4, 100.00 1,400.00 100.00 775.00 536.43 200.00 500.00 3,400.00 300.00 10,000.00 7,000.00 5.500.00 10 151 888 180 157 190 50 62 91 15 35 39 55 18 24 27 72 62 48 88 60 1, 7, 3, 75 778.66 027.14 68.20 294.43 742.36 177.67 500.00 7,500.00 300.00 124 1 7 6 8 5 1, 25 204.56 255.74 655.00 00 00 00 00 00 25. 30. 25. 25. 150 10.00 68.98 10.00 15.00 374.50 26.000.00 175.00 925.00 275.00 835.00 500.00 000.00 075.00 270.00 2, 11 4, 22, 21, 2, 7, 1,144 12 406 894 116 680 375 149 577 500 1, 2, 9, 4, 24, 22, 3, 9, 500.00 000.00 260.10 000.00 200.00 975.00 13 583.84 034.06 5, 1, 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 19 1, 5, 7, 400 775 250 350 250 250 155 215 065 955. 685. 500. 025. 800. 300. 500. 875. 975. 3, 3 8 2 6 20 8 I, 20, 49, 4, 1 739 919 334 960 267 4.448 17 .59 .14 .16 .20 .18 93.32 524.25 366.36 691.75 944.77 733.48 434.55 154.69 385.54 215.74 622.27 529. 15 17 I, 5, 6, 3, 7, 2, 3, 23 5 3 11 54 5 1 00 00 00 00 00 00 00 00 00 00 00 00 00 00 00 500 8,970 34,330. 3,740. 11,760 18,850 3,090 48,690 215,700 14,480 43,200 217,800 71,475 11,952 37,750 00 00 23 80 00 70 00 10 25 60 45 95 30 70 00 500 14,462 35 887 339 345 732 940 311 117. 923. 509. 192. 242 847 075 5 10, 19, 2, 45, 210, 13, 37, 198, 63, 10, 18, Schedule 500.00 000.00 37, 10, 223.73 589.61 32, 9, I-a 1-b 1-c 1-d 1-e 1-f 1-g 1-h 1-i 1-j 1-k 1-1 1-m 1-n 1-0 1-p 1-q 1-r 1-s Department Mayor and Com- missioners City Manager Clerk & Treasurer City Buildings City At torney City Court Police Court Engineering Fire Inspection Park Police Street . \ Waste Disposal Sewage Street Lighting Traffic & Parking Swimming Pools Airport 1,108 414.40 I, 106, 750.00 37 19 3, 47.009 20, 22.855.00 12 903 45 74 00 005 93 36 96.898 325.00 165 31 364 159, 787.00 789, 42 239 728, Totals .. 34 Schedule Ill-a" .... ~ CITY OF SALINA~ KANSAS GENERAL OPERATING FUND DETAIL OF EXPENDITURES - MAYOR AND COMMISSIONERS 'Year 1961, January 1 to December 31, Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Personal Services - Salaries 500.00 500.00 -. Contractual Services Traveling Expenses 2,344.00 1,500.00 844.00 Contributions 5,370.00 3,250.00 2,120.00 . Legal Advertising 843.50 2,500.00 1,656.50 Surety Bonds 362.24 150.00 212.24 Miscellaneous 11,000.00 11,000.00 Ordinance Revision 8,819.43 1,000.00 7,819.43 Total Contractual 17,739.17 19,400.00 1,660.83 Materials & Supplies Books & Periodicals 10.50 10.50 Sundry Expenditures Organization Dues 2,873.89 1,500.00 1,373.89 ... Total Disbursements 21, 123.56 21,400.00 276.44 . 35 Schedule "l-b I 36 Schedule "l-c " CITY OF SALINA~ KANSAS GENERAL OPERATING FUND ~ DET AIL OF EXPENDITURES~ CITY CLERK AND CITY TREASURER Year 1961, January 1 to December 31, Inclusive Amount of Amount of Actual Over Actual Under . Personal Services Actual Budget Budget Budget Salaries - Officials & Dept. Heads 7,200.00 7,200.00 Salaries - Reg. Employees 18,630.00 17,880.00 750.00 Salaries - Part Time Emp. 171. 50 500.00 328.50 Audit 3,650.00 2,500.00 1, 150.00 Judges & Clerks - City Election 3, H38. 60 3,500.00 331. 40 Prof e s sional 21. 50 2,750.00 2,72H.50 Judges & Clerks - County & State Election 3,045.63 3,045.63 Total Personal Services 35,887.23 34,330.00 1,557.23 Contractual Services Telephone & Telegraph 761. 34 700.00 61. 34 Traveling Expenses 358.10 150.00 208.10 Postage 579.84 650.00 70.16 '" Printing Office Forms 2,211.65 1,600.00 611.65 Printing Election Supplies 350.00 ;J50.00 Legal Advertising 100.00 1UO.00 Insurance & Surety Bonds 131. 00 350.00 219.00 . Social Security 041. 22 700.00 58.78 Repairs - Office Equipment 637.24 400.00 237.24 Other 13.75 100.00 86.25 Freight & Express 150.00 150.00 Total Contractual Services 5,334.14 5,250.00 84.14 Materials & Supplies Office Supplies 4, 189.86 2,000.00 2, 189.86 Books & Periodicals 788.26 300.00 488.26 Election Supplies 2,339.81 1,500.00 839.81 Other 570.98 300.00 270.98 Total Materials & Supplies 7,888.91 4,100.00 3,788.91 Sundry , Organization Dues 52.50 350.00 297.50 Refunds 35.00 100.00 65.00 Total Sundry 87.50 450.00 302.50 .. Capital Outlay Furniture & Fixtures 507.43 100.00 407.43 Office Mechanical Equipment 29.00 750.00 721. 00 Total Capital Outlay 536.43 850.00 313.57 Total Expenditures 49,734.21 44,980.00 4,754.21 ;)7 Schedule "l-d" -0\ r CITY OF SALINA. KANSAS GENERAL OPERATING FUND DET AIL OF EXPENDITURES - CITY BUILDING Year 1961, January 1 to December 31, Inclusive Amount Amount of Actual Over Actual Under Actual Budget Budget Budget Personal Services Salaries, Regular Employees 5, 112.80 3,240.00 1,872.80 Salaries, Part Time Employees 250.00 250.00 Professional Services 227.00 250.00 23.00 Total Personal Services 5,339.80 3,740.00 1,599.80 .. Contractual Services Fire Insurance 1,096.17 2,800.00 1, 103.83 Social Security 142.30 100.00 42.30 '. Gas 2,611.50 2,000.00 611. 50 Electricity 715.8U bOO.OO 115.80 Water 445.42 350.00 95.42 Building Repairs 1, 143.20 1,000.00 143.20 Furniture Repairs 165.96 400.00 234.04 Laundry & Towel Service 39.81 100.00 60.19 Total Contractual Services 6,960.16 7,350.00 389.84 Materials & Supplies Tools 143. 14 75.00 6H. 14 Janitor & Toilet Supplies 2,238.62 HOO.OO 1,438.62 Electrical Supplies 294.30 300.00 5.70 Lumber 471.02 75.00 396.02 Paint 33.07 150.00 116.93 . Total Materials & Supplies 3, 180. 15 1,400.00 1,780. 15 Total Expenditures 15,480.11 12,490.00 2,990.11 ~ 38 Schedule "l-e" .\ CITY OF SALINA, KANSAS GENERAL OPERATING FUND DETAIL OF EXPENDITURES - CITY ATTORNEY Year 1961. January 1 to December 31, Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Personal Services Salaries Officials 5. 100.00 5, 100.00 4 Salarie s Re gular Employees 3,795.00 3,960.00 165.00 Legal 1.200.0U 1,200.00 Professional 250.00 1,500.00 1,250.00 ... Total Personal Serv- ices 10,345.00 11,760.00 1.415.00 Contractual Services Social Security 267.20 250.00 17.20 .Materials & Supplies Office Supplies 157.35 100.00 57.35 Total Expenditures lO~769.55 12~ 110.00 1. 340.45 . -I .' CITY OF SALINA~ KANSAS GENERAL OPERATING FUND DET AIL OF EXPENDITURES - CITY COURT Year 1961~ January 1 to December 31, Inclusive 39 Schedule "l-f" 40 "1 " Schedule -g .' , CITY OF SALINA. KANSAS GENERAL OPERATING FUND DET AIL OF EXPENDITURES - POLICE COURT Year 1901. January 1 to December 31, Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Personal Services Salaries of Officials 2,940.00 2,940.00 ~ Professional 150.00 1:J0.00 Total Personal Services 2.940.00 3.090.00 1:J0.00 -. Contractual Services Traveling Expenses 75.00 75.00 Surety Bonds 5.00 5.00 Social Security H8.32 75.00 13.32 Total Contractual Services 93.32 155.00 61. 68 Materials and Supplies Office Supplies . ::>5 .55 , Total Expenditures 3,245.00 211. 13 3,033.87 .. CITY OF SALINA. KANSAS GENERAL OPERATING FUND DET AIL OF EXPENDITURES ~ ENGINEERING Year 19tH, January 1 to December 31, Inclusive Amount of Actual Over Budget .. ; Personal Services Salaries ~ Officials & Dept. Heads Salaries ~ Regular Employees Salaries - Part Time Employees Professional ~ Total Personal Services Contractual Services Telephone & Telegraph Auto Use Allowance Traveling Expense Postage Blue Prints Printing Office Forms Legal Printing Insurance ~ Motor Vehicles Surety Bonds Social Security Repairs ~ Furniture & Fixtures Repairs - Motor Vehicles Tires Repairs - Machinery & Equip. ~ Total Contractual Services Material & Supplies Office Supplies Books & Periodicals Drafting & Engineering Supplies Motor Vehicles Fuel & Lub. Motor Vehicles License Tags Lumber & Lumber Products Machinery & Equip. Parts Motor Vehicle Tires & Tubes , Total Materials & Supplies Sundry Expenditures Organization Dues .. Capital Outlay Furniture & Office Equip. Trucks Total Capital Outlay Total Expenditures Actual 7,200.00 3B,066.60 44.50 45,311.10 352.33 187.60 12.99 487.58 163.99 121. 84 12.50 1,271. 27 136.00 778. 15 3,524.25 274.83 153.45 444.97 659.36 55.00 537.26 8.06 273.25 2.406.18 10.00 878.66 900.00 1. 778.66 Budget 7,200.00 39,240.00 500.00 1. 750. 00 48,690.00 300.00 200.00 250.00 25.00 800.00 75.00 50.00 225.00 15.00 800.00 100.00 300.00 75.00 3.215.00 250.00 50.0n 750.00 400.00 50.00 300.00 75.00 300.00 2.175.00 25.00 500.00 500.00 53.030.19 54,605.00 52.33 88.99 471. 27 36.00 478. 15 309.25 24.83 103.45 259.36 5.00 237.26 231. 18 378.66 900.00 1.278.66 41 Schedule "l-h" Amount ot Actual Under Budget 1,173.40 500.00 1,705.50 3.378.90 200.00 62.40 12.01 312.42 50.00 103. 16 2.50 75.00 305.03 66.94 26.75 15.00 1. 574. 81 42 Scnedule "l_i" . CITY OF SALINA. KANSAS GENERAL OPERATING FUND DETAIL OF EXPENDITURES - FIRE DEPARTMENT Year 1961, January 1 to December 31, Inclusive Amount Amount of Actual Over Actual Under Actual Budget Budget Budget Personal Services Salaries - Officials & Dept. Heads 7,200.00 7,200.00 Salaries - Regular Employees 202,899.25 203,500.00 600.75 Medical 18.00 18.00 Professional 5,000.00 5,000.00 ~ Total Personal Services 210,117.25 215,700.00 5,582.75 Contractual Services .. Auto Use Allowance 600.00 600.00 Telephone & Telegraph 1,438.93 1,200.00 238.93 Traveling Expenses 92.09 350.00 257.91 Postage 27.56 50.00 22.44 Printing Office Forms 20.76 35.00 14.24 Motor Vehicle Insurance 508.76 715.00 206.24 Social Security 312.58 240.00 72.58 Gas 1,474. 13 1,400.00 74.13 Electricity 929.00 700.00 229.00 Water 359.34 400.00 40.66 Building Repairs 117.03 350.00 232.97 Furniture & Fixture Repairs 35.50 125.00 89.50 Machinery & Equipment Repairs 408.84 400.00 8.84 ., Motor Vehicle Repairs 51. 92 250.00 198.08 Radio Equipment Repairs 50.00 50.00 Fire Hydrant Rental 651. 00 900.00 249.00 Laundry & Towel Service 333.92 250.00 83.92 ~ Motor Vehicle Tire Re- pair s 5.00 50.00 45.00 Total Contractual Services 7,366.36 8,065.00 698.64 43 Schedule "l-i" (Cont.) . Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Materials & Supplies Tools 60.20 300.00 239.80 Office Forms 391. 02 350.00 41. 02 Books & Periodicals 108.88 100.00 8.88 Cremicals, Drugs, etc. 80.92 400.00 319.08 Janitor & Toilet Supplies 782.11 500.00 282. 11 Motor Vehicle Fuel, etc. 256.76 700.00 443.24 Seeds, Plants & Trees 8.44 200.00 191.56 Wearing Apparal 4,943.79 5,400.00 456.21 Electrical Suppl1es 425.48 300.00 125.48 Other 523.31 500.00 23.31 Machinery & Equipment Parts 627.36 475.00 152.36 Motor Vehicle Parts 558.04 700.00 141. 96 .. Motor Vehicle Tires 301.13 450.00 148.87 Paint & Painting Supplies 134.62 300.00 165.38 'I,. Photographic Supplies 100.81 200.00 99. 19 Radio Parts 50.00 50.00 Welding Supplies 359.41 400.00 40.59 Miscellaneous 231. 96 600.00 368.04 Total Materials & Supplies 9,894.24 11~ 925. 00 2.030.76 Sundry Expenditures Organization Dues 68.98 30.00 38.98 Capital Outlay Fire Fighting Equipment 5,955.92 3,000.00 2,955.92 Furniture & Fixtures 1,071.22 400.00 671. 22 )' Total Capital Outlay 7,027.14 3,400.00 3,627.14 .. Total Expenditures 234,473.97 Zl},120.00 4,646.03 44 S d 1 111 .11 che u e -J . CITY OF SALINA, KANSAS GENERAL OPERATING FUND DET AIL OF EXPENDITURES - INSPECTION Year 1961, January 1 to December 31~ Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Personal Services Salaries Regular Emp. 13,792.50 13,980.00 187.50 Professional 131. 10 500.00 368.90 Total Personal Services 13,923.60 14,480.00 556.40 Contractual Services Auto Use Allowance 1,207.50 1,300.00 92.50 Traveling Expenses 132.08 100.00 32.08 .. Postage 50.39 100.00 49.61 Printing Office Forms 385.20 400.00 14.80 Surety Bonds 5.00 5.00 Social Security 382.12 400.00 17.88 -. Repairs to Furniture 200.00 200.00 Telephone & Telegraph 529.46 450.00 79.46 Total Contractual Services 2,691.75 2,955.00 263.25 Materials & Supplie s Office Supplies 68.08 100.00 31. 92 Books & Periodicals 48.19 75.00 26.81 Electrical Supplies 100.00 100.00 Total MCitprials & Supplies 116.27 275.00 158.73 Sundry Expenditures Organization Dues 10.00 25.00 15.00 , Capital Outlay Furniture 68.20 300.00 231. 80 . Total Expenditures 16,809.82 18,035.00 1,225. 18 45 Schedule "l-k" " . CITY OF SALINA. KANSAS GENERAL OPERATING FUND DETAIL OF EXPENDITURES - PARK :DEPARTM~NT Year 1961, January 1 to December 31, Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Personal Services Salaries - Officials & Dept. Heads 7,200.00 7,200.00 Salarie s - Re gular Employees 16,024.80 19.000.00 2,975.20 Salaries - Other Depts. 500.00 500.00 Salaries - Part Time . Employees 14.266.15 15,500.00 1,233.85 Professional 18.50 1.000.00 981. 50 Total Personal Services 37.509.45 43,200.00 5,690.55 " Contractual Services Auto Use Allowance 60.00 60.00 Telephone & Telegraph 357.49 200.00 157.49 Traveling Expenses 3.63 100.00 96.37 Printing Office Forms 25.00 25.00 Motor Vehic1e Insurance 193.49 200.00 6.51 Social Security 1.052.73 950.00 102.73 Gas 426.07 200.00 226.07 Electricity 438.14 350.00 88.14 Building Repair s 1,253.00 4,000.00 2,747.00 Machinery & Equip- ment Repairs 191. 83 400.00 208.17 Motor Vehicle Repairs H.12 150.00 141. 88 ~ Motor Vehicle Tire Repairs 20.27 50.00 29.73 Building Insurance ... Total Contractual Ser- vices 3,944.77 6,685.00 2,740.23 46 Schedule" 1-1<." (Cont.) ,. Amount of Amount of Actual Over Actual Under Actual Budget Budget. Budget Material & Supplies Tools 30.23 100.00 69.77 Books & Periodicals 3.50 25.00 21.50 Chemicals, Drugs, etc. 100.00 100.00 Janitor & Toilet Supplies, 88.33 100.00 11.67 Motor Vehicle Fuel & Lub. 621.83 750.00 128.17 Motor Vehicle License Tags 60.00 60.00 Recreational Supplies 46.89 150.00 103. 11 Blue Jay Park 1,304.60 700.00 604.60 Seeds, Plants & Trees 226.11 500.00 273.89 Electrical Supplies 232.02 150.00 82.02 Lumber 645.81 350.00 295.81 4 Machinery & Equipment Repair s 376.18 500.00 123.82 Motor Vehicle & Tire Parts 107.54 250.00 142.46 .. Paint & Painting Supplie s 461. 94 400.00 61. 94 Cement 160.09 100.00 60.09 Sand, gravel & chat 22.73 100.00 77.27 Other Operating Supplies 292.92 500.00 207.08 Total Materials & Supplies 4,680.72 4,835.00 154.28 Sundry Expenditures Organization Dues 15.00 25.00 10.00 Capital Outlay Mowers 176.00 3,000.00 2,824.00 Recreational Equipment 416.39 1,000.00 583.61 . Trucks 2,000.00 2,000.00 Landscape Improvement 28U.UO 2,000.00 1,720.00 Buildings 5,422.04 2,000.00 3,422.04 . Total Capital Outlay 6,294.43 10,000.00 3,705.57 Total Expenditures 52,444.37 64,745.00 12,300.63 47 Schedule "1-1" CITY OF SALINA, KANSAS GENERAL OPERATING FUND DETAIL OF EXPENDITURES - POLICE DEPARTMENT (- Year 1961, January 1 to December 31, Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Personal Services Salaries Officials & Dept. Heads 7,200.00 7,200.od Salaries Regular Employees 169,806.00 185,000.00 15, 194.00 Salaries Part Time Employees 20,012.50 20,000.00 12.50 Medical 685.35 600.00 85.35 Professional 489.10 5,000.00 4,510.90 Total Personal Services 198" 192.95 217,800.00 19,607.05 . Contractual Services Auto Use Allowance 1,236.82 1,250.00 13.18 Telephone & Telegraph 3,237.74 2, 250. 00 987.74 ... Traveling Expenses 463.00 500.00 37.00 Postage 616.67 850.00 233.33 Feeding Prisoners 3,283.50 2,750.00 533.50 Blue Prints & Photography 100.00 100.00 Printing Office Forms 1,959.96 950.00 1,009.96 Legal Advertising 75.00 75.00 Motor Vehicle Insurance 575.84 500.00 75.84 Surety Bonds 15.00 15.00 Social Security 1,202.45 750.00 452.45 Gas 51.09 100.00 48.91 Electricity 923.60 700.00 223.60 Building Repairs 247.87 800.00 552. 13 Furniture & Fixture Repairs 710. 15 150.00 560.15 10- Machinery & Equipment Repairs 124.47 200.00 75.53 Motor Vehic1e Repairs 8,898.34 8,000.00 898.34 . Motor Vehicle Tire Repairs 104.43 300.00 195.57 Motor Vehicle Wash & Lub. 43.75 150.00 106.25 Laundry & Towel Service 10.16 60.00 49.84 Building Insurance 43.64 oU.OO 0.36 Total Contractual Services 23,733.48 20,500.00 3,233.48 48 Schedule" 1-1" (Cont.) .. Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Materials & Supplies Tools 25.29 100.00 74.71 Office Supplies 3,522.10 2,000.00 1,522. 10 Books & Periodicals 263.70 350.00 86.30 Chemicals, Drugs, etc. 26.93 80.00 53.07 Ani mal Food 221.62 250.00 28.38 Janitor & Toilet Supply 24.93 350.00 325.07 Motor Vehicle Fuel & Oil 12,255.68 11, 100.00 1,155.68 Motor Vehicle License Tags 107.25 150.00 42.75 Wearing Apparel 4,563.67 4,900.00 336.33 Electrical Parts 518.05 150.00 368.05 Machinery & Equipment Parts 20.90 100.00 79.10 ~ Motor Vehicle Parts 58.75 200.00 141. 25 Motor Vehicle Tires 1,518.91 1,200.00 318.91 Paint & Painting Supplies 40.70 200.00 159.30 '" Photographic Supplies 927.89 600.00 327.89 Radio Part s 18.85 18.85 Lumber 41. 69 350.00 308.31 Other 218.71 420.00 201. 29 Total Materials & Supplies 24,375.62 22,500.00 1,875.62 Sundry Expenditures Organization Dues 154.50 150.00 4.50 Refunds 220.00 220.00 Total Sundry Expenditures 374.50 150.00 224.50 .- Capital Outlay Automobiles & Motorcycles 8,071.46 6,000.00 2,071.46 Furniture & Fixtures 670.90 1,000.00 329.10 '" Total Capital Outlay 8,742.36 7,000.00 1,742.36 Total Expenditures 255,418.91 267,950.00 12,531. 09 49 Schedule "l-m" ~ ,. CITY OF SALINA~ KANSAS GENERAL OPERATING FUND DET AIL OF EXPENDITURES - STREET DEPARTMENT Year 1961, January 1 to December ::n, Inclusive Amount of Amount 01 Actual Over Actual Under Actual Budget Budget Budget Personal Services Salaries Regular Employees 62,623.30 70,800.00 8,176.70 Medical 619.00 675.00 56.00 Total Personal Services 63,242.30 71,475.00 8,232.70 " Contractual Services Telephone & Telegraph 225.71 150.00 75,71 Printing Forms 154.30 100.00 54.30 Motor Vehicle Insurance 817.16 900.00 82.84 ~ Social Security 1,826. 16 1,850.00 23.84 Gas 432.32 500.00 67.68 Electricity 96.89 75.00 21.89 Water 339.02 150.00 189.02 Building Repairs 93.51 100.00 6.49 Furniture & Fixture Repairs 5.50 50.00 44.50 Machinery & Equipment Repairs 128.73 1,000.00 871.27 Motor Vehicle Repairs 173.77 130.00 43.77 Motor Vehicle Tire Repairs 247.15 200.00 47. 15 Sewer Repairs 798.83 120.00 678.83 Street, Sidewalk and Bridge Repairs 56.00 200.00 144.00 Machinery Rental 2,000.00 2,000.00 Motor Vehicle Rental 500.00 500.00 Laundry & Towel Service 39.50 39.50 Total Contractual Services 5,434.55 8,025.00 2, 580.iJ:5 4 50 Schedule" 1 - mil (Cont.) (' Amount of Amount of Actual Over Actual Under Actual Budget Budget BudgEt Materials & Supplies Tools 31. 18 300.00 268.82 Office Supplies 22.17 50.00 27.83 Janitor & Toilet Supplies 130.83 200.00 69. 17 Motor Vehicle Fuel & Lub. 5,371. 02 6,000.00 628.98 Motor Vehicle License Tags 371. 00 400.00 29.00 Asphalt and Road Oil 2,395.88 2,000.00 ;j95.tl8 Cement 1,831. 97 500.00 1,331. 97 Electrical Parts 55.33 50.00 5.33 Hardware 104.97 50.00 54.97 Lumber 248.32 ;j00.00 51. 68 Machinery Parts 3,7U8.08 1,850.00 1,858.08 .. Metals 15.00 500.00 484.40 Motor Vehicle Parts 1, 119.35 1,000.00 119.35 Motor Vehicle Tires 1,038.54 1, 250.00 211. 46 Paint & Painting Supplies 97.32 100.00 2.68 1 Sand, gravel, chat 969.75 3,500.00 2,530.25 Sewer Pipe & Tile 5U.00 50.00 Sweeper Parts 3,620.50 2,000.00 1,020.50 VVelding Materials 111. 81 200.00 88.19 Other 905.86 700.00 205.86 Total Materials & Supplies 22, 149.48 21,000.00 1, 149.48 Sundry Expenditures Transfer to Street Machinery 26,000.00 26,000.00 Capital Outlay Garage Equipment 1,533.57 750.00 783.57 Street Equipment 106.44 1,000.00 893.56 . Trucks 1, 39::S. 75 ::S,OOO.OO 1,606.25 Street & Sidewalk Improvem ents 2, 143.91 750.00 1,393.91 ). Total Capital Outlay 5,177.67 5,500.00 ;j22.33 Total Expenditures 122,004.00 106,000.00 16,004.00 51 Sche dul e "l-n II . CITY OF SALINA, KANSAS GENERAL OPERATING FUND DET AIL OF EXPENDITURES - WASTE DISPOSAL Year 1961.. January 1 to December 31.. Inclusive_ Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Personal Services Salaries Regular Employees 10,672.30 11, 952. 00 1,278. 70 Salaries Other Departments 175.40 175.40 . Total Personal Services 10..H47.70 11,952.00 1, 104.30 Contractual Services Equipment Insurance 69.84 69.84 Social Security 369.01 300.00 69.01 Equipment Repairs 2,715.84 1,500.00 1.215.84 Total Contractual Service s 3. 154.69 1,800.00 1,354.69 Materials & Supplies Motor Vehicle Fuel 1,338.70 500.UO 838.70 Machinery & Equipment Parts 1.325.61 1,500.00 174.39 Sand. Rock. etc. 530.67 530.67 Other 382.90 75.00 307.90 ~ Total Material & Supplies 3,577.88 2.075.00 1,502.88 Total Expenditures 17,580.27 15,827.00 1,753.27 . 52 Schedule "1-0" CITY OF SALINA. KANSAS GENERAL OPERATING FUND DET AIL OF EXPENDITURES - SEW AGE DISPOSAL Year 1961~ January 1 to December 31~ Inclusive Amount of Amount of . Actual Over Actual Under Personal Services Actual Budget Budget Budget Salaries Regular Employees 18,075.00 37,000.00 18,925.00 Professional 750.00 '{50. 00 Total Personal Services 18,075.00 37,750.00 19,675.00 Contractual Services Auto Use Allowances 281. 88 6UO.OU 318.12 Telephone & Telegraph 193.H3 375.00 181. 17 Printing Offtce Forms tiO.OO 50.00 Motor Vehicle Insurance 124.87 150.00 25. 13 Social Security b42.34 650.00 107.00 Gas 1, 1'74.88 2,500.00 1,325. 12 Electricity 0,517.50 12,000.00 5,482.50 Building Repairs 400.00 400.00 Motor Vehicle & Tire Repairs 89.43 125.00 35.57 a Waste Collection & Disposal 110.0U 450.00 340.00 Machinery & Equip. Repairs 2,350.81 3,000.00 649. 19 Total Contractual Services 11,385.54 20,300.00 8,914.46 Materials & Supplies Tools 64.26 150.00 85.74 Office Supplies 16.26 75.00 ti8.74 Chemicals, Drugs, etc. 5,338.66 2,000.00 3,338.66 Janitor & Toilet Supplies 92.22 250.00 157.78 Motor Vehicle Fuel 420.61 '750.00 323.39 Motor Vehicle License Tags 45.0U 60.00 15.00 Electrical Parts 4.80 100.00 95.20 Machinery & Equip. Parts 2,576.64 3,000.00 423.36 Motor Vehicle Parts 34.30 100.0U 65.70 Motor Vehicle Tires 41. 44 200.00 15H.56 Lumber 63.82 1bO.00 80. 18 Paint & Painting Supplie s 366.09 350.00 10.09 .. Sand, Rock & Chat 331. 59 50.00 281. 59 Books & Periodicals 35.00 35.00 Other 98.91 9~.91 . Total Materials & Supplie~ 9,500.60 7,270.00 2,230.60 Capital Outlay Furniture & Fixtures 44.25 1,500.00 1,455.75 Trucks 1. 100.00 1. 100.00 Total Capital Outlay 1, 144.25 1,500.00 355.75 Total Expenditures 40,105.39 66,820.00 26,714.61 53 11 11 Schedule 1-p of CITY OF SALINA. KANSAS GENERAL OPERATING FUND DET AIL OF EXPENDITURES - STREET LIGHTING Year 1961, January 1 to December 31, Inclusive Amount Amount of Actual Over Actual Under Actual Budget Budget Budget Contractual Services 6 Electricity 54,215.74 49,500.00 4,715.74 "" Total Expenditures 54,215.74 49,500.00 4,715.74 . ~ 54 "1 II CITY OF SALINA, KANSAS Schedule -q GENERAL OPERATING FUND DETAIL OF EXPENDITURES - TRAFFIC AND PARKING Year 1961, January 1 to December 31, Inclusive .. Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Personal Services Salaries Regular Employees 28,808.30 33,000.00 4,191.70 Salaries - Other Dept's. Employees 2,000.00 2,000.00 Professional 3,415.43 2,500.00 915.43 Total Personal Services 32,223.73 37,500.00 5,276.27 Contractual Services Auto Use Allowance 372.00 425.00 53.00 Traveling Expenses 125.00 125.00 Printing Office Forms 43.90 25.00 18.90 Social Security 864.70 500.00 364.70 Electricity 3,951.07 3,500.00 451. 07 Machinery & Equipment . Repair s 62.58 100.00 37.42 Radio Equipment Repairs 100.00 100.00 Traffic Light Repairs 138.08 100.00 38.08 Motor Vehicle Repairs 189.94 189.94 ~ Total Contractual Services 5,622.27 4,875.00 747.27 Materials & Supplies Tools 51. 60 100.00 4H.40 Signs 122.00 1,500.00 1,378.00 Electrical Traffic Light Parts 1,833.93 9,500.00 7,666.07 Motor Vehicle Parts 34.16 34.16 Motor Vehicle Tires 44.38 44.38 Paint & Painting Supplies 2,072.45 1,000.00 1,072.45 Radio Parts 34.76 400.00 365.24 Parking Meter Parts 1,010.03 600.00 410.03 Other Repair Parts 147.26 100.00 47.26 Office Supplies 43.57 43.57 Machinery & Equip. Part s 189.70 189.70 . Total Materials & Supplies 5,583.84 13,200.00 7,616.16 Capital Outlay Motorcycles 1,290.00 1,290.00 ~~ Signs 9,569.30 2,500.00 7,069.30 Traffic Control Equip. 1,345.26 5,000.00 3,654.74 Total Capital Outlay 12,204.56 7,500.00 4,704.56 Total Expenditures 55,634.40 63,075.00 7,440.60 55 Schedule" 1-r" CITY OF SALINA, KANSAS GENERAL OPERATING FUND DET AIL OF EXPENDITURES - SWIMMING POOLS Year 1961, January 1 to December 31, Inclusive ~ Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Personal Services Salarie s Re gular Employees 9,589.61 9,500.00 89.61 Salaries Other Departments 500.00 500.00 Total Personal Services 9,589.61 10,000.00 410.39 Contractual Services Telephone & Telegraph 24.85 25.00 . 15 Traveling Expenses 75.00 75.00 Printing & Binding 50.00 50.00 Social Security 287.94 275.00 12.94 . Gas 24.89 50.00 25. 11 Electricity 582.80 600.00 17.20 Building Repairs 543.31 400.00 143.31 Machinery & Equipment ~ Repairs 65.36 400.00 334.64 Laundry & Towel Service 100.00 100.00 Total Contractual Services 1,529. 15 1,975.00 445.85 Materials & Supplies Tools 16.41 25.00 8.59 Office Supplies 9.75 50.00 40.25 Chemicals, Drugs, etc. 190.02 400.00 209.98 Janitor & Toilet Supplies 40.84 50.00 3. 16 Recreational Supplies 27.03 50.00 22.97 Electrical Parts 17.80 50.00 32. 10 Machinery & Equipment Parts 215.10 50.00 165. 10 Paint & Painting Supplies 511. 01 300.00 211. 01 Cement . Total Materials & Supplies 1,034.06 975.00 59.06 ,. Sundry Expenditures Sales & Admission Taxes 260.10 500.00 239.90 Capital Outlay Equipment 255.74 300.00 44.26 Total Expenditures 12~668.66 13,750.00 1,081. 34 56 Schedule "1-s" . CITY OF SALINA, KANSAS GENERAL OPERATING FUND DET AIL OF EXPENDITURES - AIRPORT Year 1961, January 1 to December 31, Inclusive Amount Am ount Actual Over Actual Under Actual Budget Budget Budget Sundry Expenditures Transfer to Rev 01 ving Fund 45,000.00 20,000.00 25,000.00 1 Capital Outlay Buildings 3,655.00 3,655.00 .. Total Expenditures 48,655.00 20,000.00 28,655.00 . . 57 Schedule "2" , CITY OF SALINA. KANSAS .MEMORIAL HALL FUND ST ATEMENT OF RECEIPTS. DISBURSEMENTS AND BALANCES AND COMPARISON WITH THE 1961 BUDGET .; Year 1961, January 1 to December 31, Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Balance January 1, 1961 18.321. 77 5.367.99 12.953.78 Receipts Ad Valorem Tax 2#720.56 2,710.05 10.51 Sales Tax 446.96 446.96 Office Space Rentals 385.00 500.00 115.00 Auditorium Rental s 1,466.50 2,000.00 533.50 Concessions 78.10 200.00 121.90 Furniture Rental 87.50 50.00 37.50 Public Address & . Timekeeper 147.00 600.00 453.00 Sale of Commodities 15.00 15.00 Total Receipts 5#346.62 6,507.01 1# 160.39 III Total Accountability 23#668.39 11,875.00 11,793.39 Disbursements Personal Services Salaries Regular Employees 4,179.90 4#850.00 670.10 Salaries Part Time Employees 500.00 500.00 Professional 190.25 100.00 90.25 Total Personal Services 4#370.15 5#450.00 1,079.85 Contractual Services , Telephone & Telegraph 197.97 200.00 2.03 . Building Insurance 1,910.94 2,000.00 89.06 Social Security 125.51 150.00 24.49 Gas 2#079.77 1,500.00 579.77 Electricity 260.52 450.00 189.48 Water 245.34 275.00 29.66 Building Repairs 982.32 750.00 232.32 Machinery & Equipment Repair s 69.00 69.00 Total Contractual Services 5,871. 37 5,325.00 546.37 58 Schedule "211 (Cont.) ~ ; Amount of Amount of Actual Over Actual Under Actual BudJ?;et Bud J?;et Budget Materials & Supplies Tool s 12.94 50.00 37.06 Janitor & Toilet Supplies 55.85 200.00 144.15 Seeds, Plants, etc. 50.00 50.00 Electrical Parts 32.79 100.00 67.21 Hardware 21. 90 25.00 3. 10 Paint & Painting Supplies 217.98 75.00 142.98 Lumber 312.94 312.94 Total Materials & Supplies 654.40 500.00 154.40 . Sundry Expenditures Public Address System 176.00 600.00 424.00 Refunds 25.00 25.00 -- Total Sundry Expenditures 201. 00 600.00 399.00 Capital Outlay Furniture & Fixtures 427.44 427.44 Total Disbursements 11,524.36 11,tl75.00 350.64 12,144.03 12, 144.03 Liabilities - 1-1-61 Paid 1961 356.00 ~56.00 Unencumbered Balance 12-31-61 11,788.03 11,788.03 w Liabilities 12-31-61 1,666.90 Cash Balance Dec. 31, 1961 13,454.93 59 Schedule "3" . ;. CITY OF SALINA, KANSAS GENERAL AND SPECIAL IMPROVEMENT FUND ST ATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES AND COMPARISON WITH 1961 BUDGET Year 1961, January 1 to December 31, Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget . Balance January 1, 19tH 2, ::.s69. 11 1,587.51 781. 60 Receipts Tangible Taxes 62,379.83 61,712.49 667.34 Total Accountability 64,748.94 63,300.00 1,448.94 Disbursements Street Surfacing 30,000.00 30,000.00 Buildings 63,000.00 33,300.00 29,700.00 Total Expenditures 63,000.00 63,300.00 300.00 Balance December 31, 1961 1,748.94 1,748.94 , . 60 Schedule "4" .. CITY OF SALINA. KANSAS GENERAL IMPROVEMENT FUND .STATEMENT OF RECEIPTS. DISBURSEMENTS AND BALANCES AND COMPARISON WITH 1901 BUDGET Year 1961, January 1 to December 31, Inclusive . Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Balance January 1, 1961 2,997.60 2, 021. ~8 976.22 Receipts Tangible Taxes 44# 4r/6. 35 43,899.65 576.70 Sales Tax 3,928.97 3,928.97 Weed Cutting 894.50 150.00 744.bO Total Receipts 49,299.82 47,978.62 .1, 321. 20 I Total Accountability 52#297.42 50,000.00 2#297.42 Disbursements .. Personal Services Salaries Regular Employees 6,105.70 4,000.00 2,105.70 Salaries Other Departments 27,439.25 30,000.00 2,560.75 Salaries Part Time Employees ~,OOO.OO 1,000.00 Total Personal Services 33,544.95 35,000.00 1,455.05 Contractual Services Social Security 985.12 950.00 35. 12 Building -Repairs 1,500.00 1,500.00 Machinery & Equipment Repairs ~,OOO.OO 3,000.00 ., Motor Vehicle Repairs 500.00 500.00 Motor Vehicle Tire Repairs 200.00 200.00 Sewer Repairs 150.52 300.00 149.48 Street, Sidewalk & , Bridge Repairs 1,842. 13 1,750.00 92. 13 Machinery Rental 201. 50 500.00 298.50 Total Contractual Services 3,179.27 8,700.00 5,520.73 60 Schedule "4" . ! CITY OF SALINA. KANSAS GENERAL IMPROVEMENT FUND ,STATEMENT OF RECEIPTS. DISBURSEMENTS AND BALANCES AND COMPARISON WITH 1901 BUDGET Year 19tH, January 1 to December 31, Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Balance January 1, 1961 2,997.60 2,021. ;j8 976.22 Receipts Tangible Taxes 44,4'/6.35 43,899.65 576.70 Sales Tax 3,928.97 3,928.97 Weed Cutting 894.50 150.00 744.50 Total Receipts 49,299.82 47,978.62 .1, 321. ~Q , Total Accountability 52,297.42 50,000.00 2,297.42 . Disbursements . Personal Services Salaries Regular Employees 6, 105. '70 4,000.00 2,105.70 Salaries Other Departments 27,439.25 30,000.00 2,560.75 Salaries Part Time Employees -.1:,000.00 1,000.00 Total Personal Services 33,544.95 35,000.00 1,455.05 Contractual Services Social Security 985. 12 950.00 35.12 Building -Repairs 1,500.00 1,500.00 Machinery & Equipment Repairs ;j,OOO.OO 3,000.00 - Motor Vehicle Repairs 500.00 500.00 Motor Vehicle Tire Repairs 200.00 200.00 Sewer Repairs 150.52 300.00 149.48 Street, Sidewalk & t Bridge Repairs 1,842. 13 1,750.00 92. 13 Machinery Rental 201.50 500.00 298.50 Total Contractual Services 3,179.27 8,700.00 5,520.73 61 Schedule "4" . " Amount ot Amount of Actual Over Actual Under Actual Budget Bud get Budget Materials & Supplies Tools 100.00 100.00 Motor Vehicle Fuel & Lub. 147.38 500.00 352.62 Asphalt & Road Oil 700.00 700.00 Bricks & Masonry 200.00 200.00 Cement 500.00 500.00 Hardware 20U.00 200.UU Lumber '7'1. bS l,UOO.OO 922.42 Machinery & Equipment Parts 189.83 1,000.00 tilO.07 Metals 200.00 2UO.00 Motor Vehicle Tires 200.00 200.00 Paint & Painting Supplies 150.00 150.00 "- Sand, Gravel & Chat 1,694.95 1,200.UU 494.95 Other 1,686.8H 250.00 l,446.8H ~ Total Materials & Supplies 3,S06.82 6,200.00 2,393.18 Sundry Expenditures Refund s 45.00 100.00 55.0U Capital Outlay Fixed Equipment 4,473.60 4,47;J.60 Total Expenditures 45,U49.64 50,000.00 4,950.36 Balance Unencumbered 12-31-61 7,24'(.78 7,247.78 Liabilitie s 12-31-61 4,898.58 . Cash Balance December 31, 1961 12, 146.36 ~ 62 Schedule "5" CITY OF SALINA. KANSAS ,. CEMETERY FUND ST ATEMENT OF RECEIPTS. DISBURSEMENTS AND BALANCES AND COMPARISON WITH 1961 BUDGET Year 1961, January 1 to December 31. Inclusive . Amount of Amount of Actual Over Actual Under Actual Bud~et Bud~et Budget Balance January 1,1961 6,138.63 2,603.84 3,534.79 Receipts Tangible Taxes 4,645.23 4,640.47 4.76 Sales Tax 260.69 260.69 Burial & Removal Fees 5,264.00 5,300.00 36.00 Grave Marker Permits 120.00 50.00 70.00 Interest 666.25 675.00 8.75 Title Transfer Fees 35.00 10.00 25.00 Upkeep Services 119.00 75.00 44.00 Sale of Lots 1,250.00 1,000.00 250.00 Sale of Grave Space 450.00 100.00 350.00 Reimbursements "' Total Receipts 12,810.17 12, 111. 16 699.01 Total Accountability 18,948.80 14,715.00 4,233.80 'I Disbursements Personal Services Salarie s Regular Employees 11,747.80 11,000.00 747.80 Salaries Other Departments 500.00 500.00 Salaries Part Time Employees 104.40 750.00 645.60 Total Personal Services 11,852.20 12,250.00 397.80 Contractual Services Telephone & Telegraph 190.27 175.00 15.27 Printing Office Forms 25.00 25.00 . Legal Prin ting 30.45 25.00 5.45 Motor Vehicle Insurance 30.57 50.00 19.43 Social Security 355.56 300.00 55.56 Water 92.40 100.00 7.60 ... Building Repairs 54.64 100.00 45.36 Machinery & Equipment Repairs 35.59 100.00 64.41 Motor Vehicle Repairs 12.53 50.00 37.47 Motor Vehicle Tire Repairs 1. 00 25.00 24.00 Total Contractual Services 803.01 950.00 146.99 63 Schedule "51' (ConL) . Amount of Amount of . Actual Over Actual Under Actual Budget Budget Budget Materials & Supplies Tools 15.59 50.00 34.41 Fuel & Lubricants 25.00 25.UU Motor Vehicle Fuel 112.03 175.00 62.97 Motor Vehicle License Tags 15.00 15.00 Seeds, Plants, etc. 25.00 25.00 Machinery & Equipment Parts 64.53 17b.00 11U.47 Motor Vehicle Parts 22. 1b 75.00 52.85 Motor Vehicle Tires 75.00 75.UO Paint & Painting Supplies 200.00 200.00 Sand, gravel, etc. .4U 100.UO 99.60 Cement 10.70 10.70 ... Total Materials & Supplies 240.4:0 915.00 674.6U .. Sundry Expenditure s Refunds 225.00 100.00 125.00 Capital Outlay Machinery & Equipment 3UO.00 3UO.00 Landscape Improvements 32. 16 2UO.OU 107.84 Total Capital Outlay 32. 16 500.00 467.H4 Total Expenditures 13: 1:)2. 77 14,715.00 1,562.23 5,796.03 5,796.03 Liabilities 1-1-61 Paid 1961 120.00 120.00 . Unencumbered Balances 12-31-61 5,676.03 5,676.03 Liabilitie s 12 -31-61 97. 15 r- Cash Balance - December 31, 1961 5,773. 18 64 Schedule "611 .. .. CITY OF SALINA. KANSAS .CIVIL DEFENSE FUND & VOICE WARNING SYSTEM STATEMENT OF RECEIPTS. DISBURSEMENTS AND BALANCES Year 1961, January 1 to December 31, Inclusive Civil Defense Vo ice Warning Total s Balance January 1, 1961 2,187.95 44.02 2,231. 97 ,. Receipts Grants Grants - State Miscellaneous Ad Valorem Tax Sales Tax Total Receipts 9,250.00 9,250.00 6,589.83 6,589.83 119. 70 119.70 12,424.64 12,424.64 1,066.68 1,066.68 15,959.53 13,491. 32 29,450.85 18,147.48 13,535.34 31,682.82 .. Total Accountability Disbursements Personal Services Wages Regular Employees 11, 132.80 11, 132.80 .. Contractual Services Auto Use Allowance Telephone & Telegraph Traveling Expense Postage Printing Office Supplies Motor Vehicle Insurance Social Security Motor Vehicle Repairs 216.87 1.377.87 1,949. 16 52.50 43.35 110.90 332.99 262.36 216.87 1,377.87 1,949. 16 52.50 43.35 110.90 332.99 262.36 Total Contractual Services 4,346.00 4,346.00 ,. 65 Schedule 116" (Cont) . . Civil Voice Defense Warning Total s Materials & Supplies Radio Equipment Repairs 59.31 59.31 Office Supplies 453.83 453.83 Motor Vehicle License Tags 60.00 60.00 Other 221.21 221.21 Machinery & Equipment Parts 272.26 272.26 Motor Vehicle Parts 106.11 106.11 Other 113.47 113.47 Total Materials & Supplies 1,286. 19 1,286. 19 .. Sundry Expenditures Organization Dues 15.30 15.30 Paid Temporary Note 11,941. 25 11,941. 25 Transferred to General ~ Operating 1,594.09 1,594.09 Total Sundry Expenditures 15.30 13,535.34 13,550.64 Capital Outlay Equipment 1,060. 18 1,060.18 Total Disbursements 17,840.47 13,535.34 31,375.81 Balance Unencumbered 12-31-61 307.01 None 307.01 Liabilities 12-31-61 154.34 154.34 Cash Balance December 31, 1961 461. 35 461. 35 , ~ 66 Schedule "7" ~ . " CITY OF SALINA. KANSAS PUBLIC HEALTH FUND ST ATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES AND COMPARISON WITH 1961 BUDGET Year 1961, January 1 to December 31, Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Balance January 1, 1961 870.99 613.23 257.76 Receipts ~ Ad Valorem Tax 18,665.72 18,421.96 243.76 Sales Tax 1,403.52 1,403.52 Miscellaneous 22,960.29 22,960.29 -4 Total Receipts 20,069.24 42,785.77 22,716.53 Total Accountability 20,940.23 43,399.00 22,458.77 Disbur sements To Public Health Board 20,438.71 20,438.71 To County & Others 22,960.29 Total Disbursements 20,438.71 43,399.00 22,960.29 Balance Dec. 31, 1961 501.52 501. 52 . . 67 Schedule "8" '" .... CiTY OF SALINA. KANSAS BAND FUND ST ATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES AND COMPARISON WITH 1961 BUDGET Year 1961, January 1 to December 31, Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget f Balance January 1, 1961 387.05 232.94 154.11 Receipts ... Ad Valorem Taxes 10,648.10 10;562.81 85.29 Sales Tax 804.25 804.25 Total Receipts 11,452.35 11,367.06 85.29 Total Accountability ,11, 839. 40 11,600.00 239.40 Disbursements Band Appropriation 11,600.00 11,600.00 Balance Dec. 31, 1961 239.40 239.40 . r CITY OF SALINA. KANSAS FLOOD CONTROL WORKS AND DIKES ST ATEMENT OF RECEIPTS. DISBURSEMENTS AND BALANCES ,AND COMPARISON WITH 1961 BUDGET Year 1961, January 1 to December 31. Inclusive Amount of Actual Over Budget .. " Balance January 1, 1961 Receipts Ad Valorem Tax Sales Tax Total Receipts Total Accountability Disbursements Personal Services Salaries Regular Employees Salaries Other Departments . Total Personal Services Contractural Services Social Security Other Total Contractual Services Materials and Supplies Tools Chemicals & Drugs Motor Vehicle Fuel Cement Machinery & Equip. Parts Motor Vehicle Parts Sand, Gravel & Chat Total Materials & Supplies Jo Actual 16.444.09 10, 142.72 881. 71 11,024.43 27,468.52 5,749.00 2,397.96 8.146.96 244.43 152.95 397.38 11. 38 486.00 219.49 152.40 268.49 38.93 262.28 1,438.97 . Capital Outlay Machinery & Equipment 85.50 Total Disbursements 10,068.81 17.399.71 r Liabilities 1-1-61 Paid 1961 Unencumbered Balance 12-31-61 Liabilities 12-31-61 Cash Balance - 12-31-61 12,584. 17 4,815.54 77.86 4,893.40 68 Schedule "9" Budget Amount of Actual Under Budget 324.53 16,119.56 10,000.00 881.71 142.72 10,881.71 142.72 11,206.24 16,262.28 5,749.00 2,397.96 8,146.96 244.43 152.95 397.38 11.38 486.00 219.49 152.40 268.49 38.93 1,206.24 943.96 1,206.24 232.73 10,000.00 11,206.24 9,914.50 1,137.43 17,399.71 g. 584. 17 4,815.54 69 Schedule "10" ... CITY OF SALINA. KANSAS NOXIOUS WEED FUND ST ATEMENT OF RECEIPTS. DISBURSEMENTS AND BALANCES ... AND COMPARISON WITH 1961 BUDGET Year 1961. January 1 to December 31, Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Balance January 1, 1961 100.45 22.92 77.53 Receipts Ad Valorem Taxes 1, 380.80 1,361.75 19.05 Sales Tax 115.33 115.33 Total Receipts 1,496. 13 1,477.08 19.05 Total Accountability 1,596.58 1,500.00 96.58 ~ Disbursements Personal Services .. Salaries Other Departments 1,147.30 700.00 447.30 Contractual Services Social Security 34.42 20.00 14.42 Machinery & Equipment Repair s 180.00 180.00 Chemicals & Drugs 220.50 200.00 20.50 Total Contractual Services 254.92 400.00 145.08 Materials & Supplies Machinery & Equipment Part s 13.46 100.00 86.54 Motor Vehicle Fuel 300.00 300.00 ,. Total Materials & Supplies 13.46 400.00 386.54 Total Disbursements 1,415.68 1,500.00 84.32 r Balance December 31, 1961 180.90 180.90 70 11 Schedule CITY OF SALINA KANSAS TRUST AND AGENCY FUNDS ST ATEMENT OF RECEIPTS. DISBURSEMENTS AND BALANCES Year 1961 1 to December 31 Inclusive ,. Total all Funds Hillcrest Memorial Trust Fund Memorial Fund Hillcrest Endowment Cemetery Endowment Fund Firemen 's Relief Fund Policemen's Relief & Pension Fund Firemen 's Pension Fund .. 09 115.562. 75 897. 17 997. 10, 84 722. 5, 84 837. 71, 19 437. 14, 30 669. 37 32 12 30 85 20 00 00 15 05 154. 938 260. 053. 00l. 84. 140. 400. 523. 258. 13, 11, 9, 40, 1 3 00 400. 1, 10 00 90 833. 140. 166. 4, 00 650. 11, 00 30 75 20 25 566. 053. 518. 84. 356. 9, 23, 3, 90 46 78 71 087. 812. 129. 703. 9, 4, 47 86 41 11, 4.066. 125. 5. 990. 1961 Taxes Contributions Perpetual Sale of Space & Dues State Insurance Tax Matured Investments Insurance Recoveries Care 1, Receipts Ad Valorem Taxes Sales Employees Balances January Interest Miscellaneous <t 36 45 813. 375. 79, 195, 00 75 400. 297. 1, 2, 00 17 140. 137. 5, 16, 00 84 650. 372. 11, 17, 50 34 578. 416. 36, 108, 85 04 733. 171. 14, 27 01 128. 311. 10, Receipts Total . 00 51 36 97 50 00 75 00 09 636. 917. 739. 561. 12. 140. 157. 889. 054. 24, 2, 3, 4, 2, 68 107, 00 75 75 140. 157. 297. 2, 2. 10,000.00 00 000. 10, 10,000.00 00 000. 10, 00 75 36 97 50 00 58 720. 777. 739. 561. 12. 889. 700. 3, 4, 48 58, 00 47 47 29, 13,896. 1.191. 087. 15, 31 00 29 29 980. 020. 948. 968. 21, 10, 10, Court Disbursements Accountability Disbursements Pensions Paid Refunds Medical Life Insurance Bond Endowment Fund To Clerk of District Investments Total Total 36 00 36 321. 889. 210. 88. 68, 157, None None 17 00 17 137. 000. 137. 6, 10, 16, 84 00 84 372. 000. 372. 7, 10, 17, 76 00 76 715. 889. 604. 49, 48. 98, 57 57 083. 083. 14, 14, 02 02 012. 012. 11, 11, 1961 1961 1961 Fund Balances December 31, 31, 31, Cash Balances Dec. Investments Dec. Total ~ r 71 Schedule "l1-a" . .. CITY OF SALINA. KANSAS FIREMEN'S PENSION FUND ST ATEMENTS OF RECEIPTS, DISBURSEMENTS AND BALANCES AND COMPARISON WITH 1961 BUDGET Year 1961, January 1 to December 31, Inclusive Amount of Amount of Actual Over Actual Under Actual .Budget Budget Budget Balance January 1, 1961 11,669.30 11,065.58 603.72 Receipts Ad Valorem Tax 4,066.47 4,078.56 12.09 Sales Tax 125.86 125.86 Employee Contributions 5,990.41 5,500.00 490.41 .. Miscellaneous 128.27 128.27 Total Receipts 10,311. 01 9,704.42 606.59 t Total Accountability 21,980.31 20,770.00 1,210.31 Disbursements . Sundry Expenditures Pensions Paid 10,020.00 10,020.00 Refunds Made 948.29 750.00 198.29 Reserve 10,000.00 10,000.00 Total Disbursements 10,968.29 20,770.00 9,801.71 Balance December 31, 1961 11,012.02 11,012.02 . ~ 72 Schedule "l1-b" 1. f CITY OF SALINA. KANSAS POLICE PENSION FUND ST ATEMENT OF RECEIPTS. DISBURSEMENTS AND BALANCES AND COMPARISON WITH 1961 BUDGET Year 1961, January 1 to December 31, Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget .. Balance January 1, 1961 14,437.19 11,576.38 2,860.81 Receipts Ad Valorem Taxes 9,087.90 9,007.16 80.74 .. Sales Taxes 812.46 812.46 Employee Contributions 4,703.71 4,300.00 403.71 Miscellaneous 129.78 129.78 Total Receipts 14,733.85 14, 119.62 614.23 Total Accountability 29,171. 04 25,696.00 3,475.04 Disbursements Sundry Expenditures Pensions Paid 13,896.00 14,696.00 800.00 Refunds Made 1,191.47 1,000.00 191. 47 Reserve 10.000.00 10,000.00 . Total Disbursements 15,087.47 25,696.00 10,608.53 Balance Dec. 31, 1961 14.083.57 14,083.57 ~ 73 Schedule "12" .. . CITY OF SALINA. KANSAS INDUSTRIAL DEVELOPMENT FUND STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES AND COMPARISON WITH 1961 BUDGET Year 1961, January 1 to December 31, Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Balance, January 1, 1961 6,023.20 6,536.77 513.57 1 Receipts None Total Accountability 6,023.20 6,536.77 513.57 .- Disbursements Personal Services Professional 6,000.00 6,536.77 536.77 Balance, Dec. 31, 1961 23.20 23.20 . ... 74 Schedule" 13" CITY OF SALINA~ KANSAS BOND AND INTEREST FUND ST ATEMENT OF RECEIPTS~ DISBURSEMENTS AND BALANCES AND COMPARISON WITH 1961 BUDGET Year 1961~ January 1 to December 31. Inclusive . ... Balance January 1, 1961 Receipts Ad Valorem Taxes Special Assessments, Curb, Gutter, Paving & Sewer Special Assessments, Other Accrued Interest Bonds Sold Total Receipts Total Accountability Disbursements ~ Bond Principal General Curb, Gutter & Paving (City) Curb, Gutter & Paving (P.O.) Sewer (City) Sewer (P. O. ) Total Bond Principal Bond Interest General Curb, Gutter & Paving (City) Curb, Gutter & Paving (P. O. ) Sewer (City) Sewer (P. O. ) Total Bond Interest Other Fiscal Agency Com. & Postage Miscellaneous ... -. Total Other Total Disbursements Balance, Dec. 31, 1961 Actual 163,530.07 490,675.99 381,479.42 65,497.35 7,970.20 945,622.96 1, 109, 153.03 149,000.00 109,966.39 260,334.48 108,358.40 59,144.01 686,803.28 34,736.29 34,220.29 82,931. 99 11,631.12 7,177.53 170,697.22 1, 106.07 28,591.20 29,697.27 887~197.77 221,955.26 Budget 123, 188.74 484,978.98 329,642.28 814,621.26 937,810.00 149,000.00 109,966.39 260,334.48 108,358.40 59,144.01 686,803.28 34,736.29 24,246.71 61,856.69 11,631.12 7,177.53 139,648.34 2,000.00 109,358.38 111~ 358. 38 937,810.00 Amount of Actual Over Budget 40,341.33 5,697.01 51,837.14 65,497.35 7,970.20 131,001.70 171,343.03 9,973.58 21,075.30 31,048.88 221,955.26 Amount of Actual Under Budget 893.93 80,767.18 81~ 661.11 50~612.23 75 CITY OF SALINA. KANSAS Schedule "14" WATER AND SEWAGE DEPARTMENT .. ST ATEMENT OF RECEIPTS. DISBURSEMENTS. AND BALAN CES AND COMPARISON WITH 1961 BUDGET Year 1961, January 1 to December 31, Inclusive .. Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Balance January 1, 1961 6,593.42 85,297.67 78,704.25 Receipts Revenue Water & Sewage Revenue 717,364.50 480,000.00 237,364.50 Water Accounts R~eivable 63,920.85 63,920.85 Miscellaneous 45,221.83 30,000.00 15,221.83 Surcharges 1,648.75 5,000.00 3,351. 25 Interest Received 21, 109. 90 100.00 21,009.90 Total Water Revenue 849,265.83 515,100.00 334,165.83 Other Bond Issue 3,600,000.00 3,600,000.00 Reserve Accounts 416,400.00 416,400.00 Refuse Collections 151,594.74 151,594.74 , Total Other 4,167,994.74 4,167,994.74 Total Receipts 5,017,260.57 515,100.00 4,502,160.57 Total Accountability 5,023,853.99 600,397.67 4,423,456.32 ~ Disbursements Operating Accounts Water 417,413.14 378,600.00 38,813. 14 Sewer 37,385. 11 37,385. 11 Total Operating 454,798.25 378,600.00 76,198.25 Other Depreciation 36,000.00 36,000.00 Capital 188,537.00 100,000.00 88,537.00 Water & Sewage Bonds 30,908.25 30,908.25 219,445.25 136,000.00 83,445.25 General Expenditures 674,243.50 514,600.00 159,643.50 Other ,... Investments 2,000,000.00 2,000,000.00 Bonds Retired - Water 1,283,000.00 1,283,000.00 Reserve Accounts 416,400.00 416,400.00 Transfer to Refuse Dept. 151,082.87 151,082.87 ~ 3,850,482.87 3,850,482.87 Total Disbursements 4,524,726.37 514,600.00 4,010,126.37 Balance, Dec. 31, 1961, Unencumbered 499,127.62 85,797.67 413,329.95 Liabilities 12-31-61 14,731.39 Cash Balance Dec. 31, 1961 513,859.01 76 15 Schedule CITY OF SALINA KANSAS CONSTRUCTION FUND ST ATEMENT OF RECEIPTS DISBURSE ME NTS AND BALANCES Year 1961, Januar 1 to December 31, Inclusive . Balances 12-31-61 Balances 1-1-61 \ Transfers Balances Disbursements Receipts Account 27 75 24 17 14 73 35 73 29 16 781 950 629 796 886 7.838 903 829 739 580 120, 34 36 6, 1, 6, 6 14, 8 ( 80) 17,407.86) 3, 157.54) .84 26) 03 40) 19, 85, 4, 24, 10, 61, 18 29) 04) 21 31 48 07 80 007.53) 790.00 658.70) 461. 77) 091. 98) 216.59) 211 962 776. 035 798 821 934. 026 304 301 170 12,349 7, 63 9, 16, 1, 4, 70, 6, 40, 4, ( ( ( ( ( ( ( ( ( ( 27 75 04 17 00 54 84) 26 03) 40 73 53 00) 70 77 98 59 35) 73 29 04 21) 31) 48) 07) 80 29 16 781 950 841 796 294 157 170 349 962. 776. 838. 007. 790. 658. 461. 091. 216. 903. 829. 035. 798. 821. 934. 026 304 301 739 580 120, 34, 76, 6, 19, 3, 4, 12, 7, 63, 7. 9, 16, 1, 4, 70, 6, 6, 6. 19, 85, 4, 24, 10, 61, 18, 14, 8. ( ( ( ( ( ( ( ( ( 35 05 620 561 34 111, 407.86 17, 05 81 68) 35) 83) 797 418 948 329 791 39, 50, 13, 3, 4, 64 48 910.00 080.04 342 121 38, 15 21 92~ 35 05 64) 48) 05 81 68) 35) 83) 00) 407.86) 620 561. 342. 121. 797. 418 948 329 791 910 17, 34, 111, 38, 15, 39, 50, 13, 3, 4, 21, ( ( ( ( ( ( ( 26 48 44 00 98 62 10 10 38 48 41 38 68 35 83 00 087.20 116.87 716.79 05 24 50 302.44 738.17 042.79 134.01 303.50 163.50 412.00 971. 28 10.057 141 420 000 509 373 776 868 926 121 683 299 948 329 791. 910 323, 68, 30, 17, 97, 98, 28, 119, 15, 368, 157, 13, 3. 4, 21, 557.63 250.00 017.50 191 625 979 171 529, 440, 3, 1, 13, 8, 141. 179, 120, 5 1, 015.75 978.76 431 829 771. 946 675 729.30 889.00 000.00 353.57 373.62 396.45 429. 15 583.74 258.85 589.97 285.88 79 29 910.87 813.19 434.40 00 00 23 17 07 118 834 77, 759, 71, 292, 106, 35, 59, 44, 120, 14, 396 131, 70, 1, 97, 133, 140, 081, 2, 75. 38 2, 1, 62 87 43) 16 80 79) 25 84) 76 03) 40 03 99) 50) 17) 58 02 76 44 74 44) 63) 28) 97 48) 81) 80) 53) 40) 00) 45) 609 116 922 555 353 824 573 170 366 962 776 014 345 810. 252. 648. 960. 954. 708. 134. 432. 984. 084. 036. 026. 246. 301. 848. 888. 000. 251. 214, 4, 17, 7, 63, 156, 94, 14, 1, 3, 7, 14, 98, 126, 25, 34, 19, 96, 10, 51, 18, 58, 54, 40. 1, 194, 5 7 18 ( ( ( ( ( ( ( ( ( ( ( ( ( ( Asphalt Paving Sewage Disposal Flood Cont rol Miscellaneous Indian Rock Park Sidewalks 183 Parking Job 406 Job 407 Job 404 Refuse Building Water Services Job 408 185 379 Bonds 182 Off Street Job 391 Job 392 Job 393 Job 389 Job 398 Job 397 Job 400 Job 401 Job 402 Job 403 Job 396 Bonds 184 Job 399 384 382 378 Job Job Job Job ~ . ~ Water Pipe Job 410 Job 414 Bonds 187 1. 46 19 480 718 408 207, 1, 189 Job 409 Key Acres Addition Belmont Addition Job 413 Job 415 Job 416 Job 417 General 188 .. . 92,080.04 538.535.57 (Eng. Operating 538,535.57 96 766 995, 4, 70 846 371, 5 83 455 162, 77 Schedule" 16" " ~ CITY OF SALINA. KANSAS MATERIAL STORES FUND ST ATEMENT OF RECEIPTS. DISBURSE ME NTS AND BALANCES Year 1961~ January 1 to December 31, Inclusive Balance January 1~ 1961 5,780.20 Receipts Reimbursement of Expenditures 13,850.33 \ Total Accountability 19,630.53 .. Disbursements Gas and Oil Office Mechanical Equipment Motor Vehicle Parts Paint & Painting Supplies 13,211.41 1~ 333. 30 124.22 11.55 Total Disburserne nts 14,680.48 Balance December 31~ 1961 Unencumbered 4,950.05 Liabilities 12-31-61 773.59 Cash Balance December 31, 1961 5~723.64 It ~ 78 Schedule" 17" CITY OF SALINA, KANSAS AIRPORT FUND STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES AND COMPARISON WITH 1961 BUDGET . year 1961, January 1 to December 31, Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget. Budget Balance January 1, 1961 9,037.75 1,223.28 7,814.47 Receipts Rent of Buildings 2,662.46 2,750.00 87.54 Rent of Ground 45.00 50.00 5.00 Rent of Landing Ground 2,359.18 1,000.00 1,359. 18 Rent of Hangers 7,415.00 4,500.00 2,915.00 Sale of Gasoline & Oil 93,255.68 40,000.00 53,255.68 Gas Tax Refunds from State 15,254.48 5,000.00 10,254.48 Cargo Service 71. 00 350.00 279.00 Sale of Concessions 464.50 350.00 114.50 Reimbursement of Expenses 119.86 176.72 56.86 % of Cafe Sales 680.02 1,000.00 319.98 Transfer 45,000.00 20,000.00 25,000.00 Total Receipts 167,327.18 75,176.72 92, 150.46 Total Accountability 176,364.93 76,400.00 99,964.93 . Disbursements Personal Services Salaries Regular Employees 20,865.25 15,860.00 5,005.25 Salaries Other Depts. 500.00 500.00 Professional 670.00 1,000.00 330.00 Total Personal Services 21,535.25 17,360.00 4,175.25 Contractual Services Telephone & Telegraph 289.66 250.00 39.66 Printing Office Forms 15.84 75.00 59.16 Building Insurance 2,778.19 3,000.00 221.81 Motor Vehicle Insurance 58.15 150.00 91.85 Surety Bonds 20.00 20.00 Social Security 602.25 500.00 102.25 .. Gas 594.78 1,000.00 405.22 Electricity 3,547.78 3,000.00 547.78 Water 720.74 650.00 70.74 , Building Repairs 1,090. 12 750.00 340.12 Machine & Equip. Repairs 217.27 750.00 532.73 Furniture & Fix. Repairs 681.90 200.00 481.90 Laundry & Towel Service 82.36 50.00 32.36 Motor Vehicle Repairs 322.13 100.00 222.13 Rent Machinery 329.30 2,000.00 1,670.70 Traveling Expenses 166.15 100.00 66.15 Total Contractual Services 11,516.62 12.595.00 1.078.38 79 Schedule "17" (Cont.) . .. Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Materials & Supplies Tools 608.74 150.00 458.74 Office Supplie s 202.83 200.00 2.83 Janitor & Toilet Supplies 320.93 500.00 179.07 Airplane Gasoline 100,861.10 30,000.00 70,861. 10 Motor Vehicle Gas & Oil 932.20 500.00 432.20 Motor Vehic1e license tags 15.00 15.00 Electrical Parts 104.19 300.00 195.81 Lumber 266.40 100.00 166.40 Machinery & Equip. Parts 442.58 350.00 92.58 Motor Vehicle Parts 195.98 100.00 95.98 Motor Vehicle Tires 305.15 150.00 155.15 . Paint & Painting Supplies 125.12 124.88 250.00 Other 571.28 500.00 71. 28 Welding Supplies 55.80 55.80 .. Total Materials & Supplies 105,007.30 33,115.00 71,892.30 Sundry Expenditures Sales Tax 1,118.61 1, 000. 00 118.61 Capital Outlay Equipment 2,993.01 2,993.01 Signs 40.04 40.04 Buildings 10,771. 20 8500.00 2,271. 20 Hangar Lease 3,000.00 3,000.00 Runway Improvements 1,924.75 1,924.75 Total Capital Outlay 15,729.00 11,500.00 4,229.00 .... Total Disbursements 154,906.78 75,570.00 79,336.78 Balance December 31, 1961 21,458.15 830.00 20,628.15 ) Liabilitie s 12-31-61 11, 149.74 Balance December 31, 1961 32,607.89 80 Schedule "18" . .. CITY OF SALINA. KANSAS STREET MACHINERY FUND ST ATEMENT OF RECEIPTS. DISBURSEMENTS AND BALANCES Year 1961. January 1 to December 31. Inclusive Balance January 1, 1961 1,494.00 Receipts ~ Transferred from Street Department of General Operating Fund 26.000.00 ~ Total Accountability 27.494.00 Disbursements None Balance December 31. 1961 27,494.00 A " 81 Schedule 1119" Advance Receipts 1960 1961 Total s 4.441. 50 None 9.065.65 145.818.58 4.862.50 4.862.50 4.862.50 150.681. 08 4.441.50 4.862.50 159.746.73 145.664.04 4.441. 50 4.441.50 4.441. 50 150.105.54 None 4.862.50 9.641.19 - 8.399.20 None 4.862.50 18.040.39 Security 15 28 624. 632. CITY OF SALINA KANSAS CLEARING ACCOUNTS ST ATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES Year 1961. Januar 1 to December 31. 1961 Social 4. 41. Withholding Tax 30 186. None 104. 1961 Receipts Employee Tax Withheld Fees. Licenses. & Permits 1. Balance s January \ f 28 43 632. 256. 41. 30 186. 104. Receipts Total .. 46. 30 186. 104. Accountability Disbursements To U. S. Government Transfer To General Total 74 477. 41. 30 186. 104. Operating 74 69 477. 778. 41. 4. 30 186. None 104. 1961 31. Disbursements UnEncumbered Balances Dec. Total 69 778. 4. 20 20 399. 399. 8. 8. 1961 12-31-61 Cash Balance December 31. Liabilities ... \ 82 Schedule "20" . CITY OF SALINA, KANSAS PARKING METER FUND .. ST ATEMENT OF RECEIPTS. DISBURSEMENTS AND BALANCES AND COMPARISON WITH 1961 BUDGET Year 1961, January 1 to December 31, Inclusive Amount of Amount of Actual Over Actual U nde r Actual Budget Budget Budget Balance January 1, 1961 22,393.96 24,314.55 1,920.59 Receipts From Meters 75.330.00 70.000.00 5,330.00 Permits 2,860.00 2,860.00 Total Receipts 78. 190.00 70,000.00 8,190.00 Total Accountability 100,583.96 94,314.55 6,269.41 Disbursements Personal Services ~ Professional 35.00 35.00 Contractual Services Printing Office Supplies 65.88 65.88 Sundry Expenditures Bond Principal 32,000.00 Bond Interest 2.484.41 34.440.00 44.41 Transfer to General Operating 27.000.00 27,000.00 Miscellaneous 7.500.00 7,500.00 Total Sundry Expenditures 34,484.41 68,940.00 34,455.59 Capital Outlay Parking Meters 12,774.00 12,774.00 Total Disbursements 47,359.29 68,940.00 21,580.71 . Balance Dec. 31. 1961 53.224.67 25,374.55 27,850.12 83 Schedule "21" CITY OF SALINA, KANSAS . REFUSE DEPARTMENT ST ATEMENT OF RECEIPTS. DISBURSEMENTS AND BALANCES AND COMPARISON WITH 1961 BUDGET .1 Year 1961. January 1 to December 31, Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Balance January 1, 1961 744.73 744.73 Receipts Sale of Commodities 151,082.87 151,082.87 Service Fees 132,000.00 132,000.00 Transfers 18,725.00 18,725.00 Total Receipts 151,082.87 150,725.00 357.87 Total Accountability 151,827.60 150,725.00 1, 102.60 Disbursements Personal Services Salarie s Re gular Employees 113,067.30 125,600.00 12,532.70 - Salaries Other Departments 200.00 200.00 Medical 37.25 500.00 462.75 Professional 162.77 162.77 Total Personal Services 113,267.32 126,300.00 13.032.68 Contractual Services Telephone & Telegraph 623.68 175.00 448.68 Traveling Expense 249.24 200.00 49.24 Postage 1. 86 500.00 498.14 Printing Office Forms 403.30 403.30 Fire Insur ance 252.59 252.59 Motor Vehi cle Insurance 574.83 350.00 224.83 Social Security 3,335.31 3,000.00 335.31 . Gas 382.96 382.96 Electricity 120.60 120.60 Water 197.96 197.96 . Building Repairs 126.53 126.53 Machinery & Equip. Repairs 286.25 500.00 213.75 Motor Vehicle Repairs 834.41 2,500.00 1.665.59 Motor Vehicle Tire Repairs 213.85 750.00 536.15 Laundry & Towel Service 51. 52 75.UU 23.48 Total Contractual Services 7,654.89 8,050.00 395.11 84 Schedule "21" (Cont.) . . Amount of Amount of Actual Over Actual Under Actual Bud get Budget Budget Materials and Supplies Tools 370.68 100.00 270.68 Office Supplies 488.19 1,500.00 1,011.81 Janitor & Toilet Supplies 991. 09 991. 09 Motor Vehicle Fuel 5,316.58 8.000.00 2.683.42 Motor Vehicle License Tags 600.00 675.00 75.00 Other Operating Supplies 812.11 500.00 312.11 Electrical Parts 9.97 50.00 40.03 Lumber 301.22 150.00 151. 22 Machinery & Equip. Parts 478.58 200.00 278.58 Motor Vehicle Parts 2,997.93 3,000.00 2.07 Motor Vehicle Tires 191. 93 500.00 308.07 Paint & Painting Supplies 418.75 150.00 268.75 . Sand, Gravel & Chat 430.46 430.46 Total Materials & Supplies 13,407.49 14,825.00 1,417.51 .. Sundry Expenditures Organization Dues 35.00 50.00 15.00 Refunds 8.00 500.00 492.00 Total Sundry Expenditures. 43.00 550.00 507.00 Capital Outlay Furniture & Fixtures 883.64 500.00 383.64 Office Mechanical Equip. 4,606.60 500.00 4,106.60 Total Capital Outlay 5,490.24 1.000.00 4,490.24 Total Expenditures 139,862.94 150,725.00 10.862.06 Unencumbered Balance . December 31, 1961 11,964.66 11,964.66 Liabilities 12-31-61 1,714.79 ~ Cash Balance Dec. 31, 1961 13,679.45 85 Schedule "22'1 .. . CITY OF SALINA. KANSAS SUMMARY OF BANK RECONCILIATIONS CITY TREASURER December 31. 1961 Certified Outstanding Added Bank Balances Checks Deposits Balances Farmers National Bank 559,527.04 None None 559.527.04 Planters State Bank 675,446.40 108,299.28 60,876.86 628.023.98 National Bank of America - General 337.809.00 None None 337.809.00 . National Bank of America Water Refund 119.45 119.45 First State Bank 100,000.00 None None 100,000.00 . Total s 1,672,901. 89 108,418.73 60,876.86 1.625.360.02 . ~ 86 Schedule 122_a" .. CITY OF SALINA, KANSAS BANK RECONCILIATIONS December 31, 1961 Payroll Checks Outstanding - Planters State Bank . No. Amount 3197 243.20 3245 17.60 3452 60.52 3473 236.10 3494 114.93 3511 123.50 3576 51. 15 3578 61. 25 3583 61.25 3584 63.05 3600 63.05 3604 63.05 3629 122.22 3630 62.50 3631 61.25 3632 62.50 3633 85.00 3634 66.25 3636 72.50 3640 162.50 3643 91.50 3645 115.00 3647 151.00 3652 75.17 3690 86.70 3694 70.90 3710 252.20 3739 38.80 3740 20.61 3771 2,649.30 3772 912.00 6,316.55 , .. -- 87 Schedule 122_b" ~ ... CITY OF SALINA. KANSAS BANK RECONCILIATIONS D~cember 31, 1961 National Bank of America - Water Department Refunds Warrant Warrant No. Amount No. Amount 2581 .39 2923 .46 2585 2.28 3030 2.49 2606 .21 3052 .70 2689 4.13 3056 .69 2694 .68 3072 2.88 2698 3.21 3099 1. 29 .. 2714 .02 3114 2. 18 2716 .37 3151 1. 16 2734 . 12 3152 4.08 ~ 2743 .04 3182 2.14 2744 .01 3201 3.51 2745 .01 3219 4.47 2747 .03 3230 6.60 2748 . 18 3246 4.16 2750 . 10 3253 4.21 2782 1.96 3256 3.55 2793 1. 78 3276 3.81 2794 3.21 3316 4.65 2802 .41 3318 2.81 2823 .58 3323 .32 2839 2.75 3324 6.25 2874 1. 14 3328 4.87 2877 .63 3332 2.08 2878 .80 3337 8.71 2889 .21 3341 2.56 .. 2902 1. 98 3343 6.27 2921 5.32 , 19.45 -. 88 Schedule "22 _c" .. CITY OF SALINA. KANSAS BANK RECONCILIATION December 31, 1961 ~ Warrant Checks Outstanding No. Amount 18 2.50 1311 2.50 3088 17.95 733 45.75 2168 1.00 5191 10.00 5546 30.00 7014 4,850.00 8131 18.95 8467 3,000.00 8468 10.00 8595 6.00 8673 8.00 8835 2,191. 00 8840 149.27 8846 37.50 Bank Balance 1-4-62 645,304.75 8865 479.35 Add Outstanding Deposits 8871 12.47 Year 1961 60,876.86 8872 163.30 . Deduct Deposits 8875 14.77 1-1 to 1-4-62 11, 135.22 49,741. 64 8877 3.10 695,046.39 8889 60.48 8905 46.92 ~'<Less 1961 Outstanding 8945 1,056.06 checks as of 1-4-62 67,022.41 8955 24.00 8960 49.50 Bank Balance 12-31-61 628,023.98 8962 25.95 8966 3.00 8976 20.81 Outstanding Checks 8996 264.00 9004 15.00 Payroll 6,316.55 9011 9.23 Warrant 60.705.86 9013 1,589.51 9016 39.00 Total Outstanding Checks as 9020 31.87 of 1-4-62 67,022.41 9031 90.82 9043 25.00 \ Cleared during period frm.l:1 9045 258.30 1-1 to 1-4-62 41,276.87 9047 15.00 9048 10.00 Total Outstanding Checks 9050 18.00 12-31-61 108,299.28 9051 20,000.00 9052 26.000.00 60.705.86 89 Schedule "23" ~ CITY OF SALINA. KANSAS ~ CLERK OF THE CITY COURT BANK RECONCILEMENT December 31. 1961 Farmers National Bank Certified Bank Balance 12-31-61 17,072.41 Outstanding Checks No. Amount No. Amount No. Amount 10937 20.00 13117 3.22 666 25.00 11234 2.00 13136 35.00 67 5.00 11237 3.00 13230 71.84 68 10.00 11066 2.31 13480 8.09 70 13.00 11080 7.50 13543 5.00 71 21. 25 11210 1.00 13275 . 19 72 4.00 11243 3.63 13662 5.00 75 5.00 ~ 11292 .75 13692 1,984.49 76 40.00 11312 .25 13693 2,439.29 77 2.00 11314 .81 13633 5.50 78 5.00 . 11317 .94 13634 6.43 81 10.00 11446 .19 13635 4.39 82 4.31 11501 .19 13638 2.50 83 20.00 11589 .75 13639 25.00 84 50.00 11786 10.00 13640 1.00 85 20.00 11829 2.20 13643 1.00 86 4.19 12011 1.06 13661 2.00 87 7.21 12244 1.80 13647 2.25 88 2.14 12826 10.00 13648 2.25 90 59.46 12405 . 19 13649 6.75 91 10.00 12455 . 19 13657 18.83 95 996.49 12472 5. 19 13658 4.79 98 3.91 12675 .59 13660 6.00 700 20.00 12696 40.60 13663 35.00 701 50.05 12751 10.00 13664 5.00 702 4.00 of 12768 1.06 13665 5.00 13486 5.00 13339 17.00 13525 62.53 13205 5.00 .. Total Outstanding Checks 6,293.55 Bank Balances 10,778.86 90 24 Schedule Bond No. Coupon No. CITY OF SALINA KANSAS RECONCILIATION OF FISCAL AGENCY DECEMBER 31 1961 Date Due Date Is sued , 50 00 00 00 00 00 00 96 00 00 00 00 00 00 00 00 00 00 00 00 14 40 35 40 35 87 35 00 00 Amount 22 200 000. 50. 000. 925. 000. 64. 150. 000. 75. 135. 90. 90. 25. 225. 15. 30. 30. 135. 43. 84. 84. 84. 84. 16. 84. 375 125 4, 1, 1, 11, 2, 50 00 00 00 00 75 00 12 00 00 00 00 25 25 50 50 00 00 00 00 38 88 87 88 87 87 87 75 75 Detail 22 10 000. 10. 000. 8. 000. 8. 15. 000. 15. 15. 11. 11. 12. 12. 15. 15. 15. 15. 14. 16 16 16 16 16 16 18 18 1. 1, 1, 1, @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ @ 1 20 4 5 1 220 11 8 10 2 5 9 8 8 2 18 1 2 2 9 3 5 5 5 5 1 5 20 60 579 57-60 57-60 16 16 22 15-19 10-1-36 7-1-45 10-1-25 1-1-38 Type of Issue Waterworks Series R-115 ., 15-19 7 -1-45 1-1-38 Series J -116 100-110 100-110 240-247 469-478 137-138 121-125 622-630 230-237 263-270 337.338 352-369 536 538-539 596-597 622-630 326-328 96-100 96-100 96-100 96-100 835 173-177 303-322 343-402 1-20 14 10 8 5 6 6 6 6 6 6 6 6 6 1 2 3 4 4 4 4 4 4 -1-49 11-1-61 11-1-6 1 8 -1-6 1 9-1-61 3 -1-61 9 -1-61 9-1-61 9 -1-6 1 9 -1-61 9-1-61 9-1-61 9 -1-61 9 -1-61 11-1-61 6 -1-60 12-1-60 6 -1-61 12 -1-6 1 12 -1-6 1 12-1-61 12-1-61 12-1-61 10-1-48 11-1-54 11-1-56 10-1-55 7-1-57 5 -1-58 5-1-58 5-1-58 5-1-58 5-1-58 5-1-58 5-1-58 5-1-58 5 -1-58 11-1-58 12-1-59 12-1-59 12-1-59 12-1-59 12-1-59 12-1-59 12-1-59 12-1-59 C" P-145 SeriesPK-164 Series P-172 Waterworks Series S -175 Series FL-178 Series Series P-182 P-183 Series P-179 Series S-181 Series .... 00 00 000. 800. 1, 260, 7, 00 $30.00 per $l. 000. 00 000. 1. @ Premium 260 1961 783-789 800-804 825-829 845 -866 872-873 954-963 Paid December 20. 442-451 492-503 579..628 659-688 693-752 768-772 Not 1953 1. 278-282 288-292 301-310 314-320 331-335 428-437 Issued August Bond s B" Waterworks (Inclusive) .. 00 00 32 000 660 704. 44. 335, 00 00 000. 000. 1, 1. @ $15 per 44 Premium 1961 Paid December 20. 519-523 376-386 420-422 Not 1955 1, 169-178 308-312 437-446 Is sued October Bonds C" Waterworks (Inclusive) . Total 91 Schedule "2511 . , CITY OF SALINA. KANSAS JOURNAL ENTRIES WATER BOOKS Dr. Cr. Capital Expenditures Operating Expenditures To Transfer 30,345.39 30,345.39 Bond Principal Operating Expenses To Transfer 101,000.00 101,000.00 . Chemicals Repair Buildings Building Supplies Repair Services "_ccounts Payable To enter items omitted from Accounts Payable but included in Encumbrances 1,084.07 194.84 11. 12 158.01 1,448.04 .. Miscellaneous Revenue Meter Deposits 47.00 47.00 Profit & Loss 530 540 525 330 720 1,495.04 1,084.07 194.84 11. 12 158.01 47.00 Surplus Profit & Loss 1,495.04 1,495.04 .oj . 91a Schedule "25" (Cont.) . , CITY OF SALINA. KANSAS JOURNAL ENTRIES CLERK'S RECORDS Construction Fund Receipts Analysis Job 391 2,394.00 Job 400 2,394.00 General Ledger Cards Job 396 9,335.14 1,732.76 Bond Cards 187-188 9,007.53 8,479.67 Bond Cards 187.-188 1,658.70 9, 261. 08 Bond Cards 187-188 70,091.98 70,619.84 Bond Cards 187-188 12,423.59 4,821.21 . Job 398 1,720.36 Job 398 1, 192.50 Job 393 1,732.76 Job 393 9,335.14 .. Job 391 527.86 General Fund Under Licenses, Fees & Permits Building, T. V., & Inspection 792.00 Food & Milk 792.00 Receipts 8830 and 8848 posted wrong Within General Operating Police Court 6.00 Impounding Fees 6.00 To transfer Receipt 1685 -J .. 92 . WATER AND SEWAGE DEPARTMENT In accordance with instructions received, the books and records of the ~ Water and Sewage Department City of Salina, Kansas have been audited for the year ended December 31, 1961, and we now submit the following report based on that examination. SCOPE OF AUDIT The audit was performed in accordance with the general and specific re- quired provisions of the Minimum Standard Audit Program, approved by the State Municipal Accounting Board applicable to such funds. The audit in- cluded a verification of the Assets and Liabilities of this fund at December 31~ 1961, in the manner and to the extent hereinafter indicated and a general review of all revenue and expenses for the year 1961. HISTORY , The Waterworks system, supplying the water needs of the residents of the City of Salina, Kansas, was purchased from private interests in October, 1925, by the City and since January 1, 1926, has been operated as a municipal activity. The Water and Sewage Department is governed by the City Com- missioners. '. BALANCE SHEET The balance sheet of the Water and Sewage Department as at December 31, 1961, is presented in Exhibit "A", and is briefly summarized below: ASSETS LIABILITIES~ RESERVES AND SURPLUS Plant and Property $5,700,467.04 Current Assets 2,675,644.02 Surplus Reserves Current Liabilities Bonded Indebtedness $4,575,523.07 143,918.73 56,669.26 3,600,000.00 . $8,376,111.06 $ 8, 376,111.06 ~ 93 PLANT AND PROPERTY . The net increase in Plant and Property Accounts is shown in Schedule "211. " CURRENT ASSETS Cash in Office and City Treasurer: Cash on hand in the office was counted on December 31, 1961, and with the exception of the office cash fund, was traced into later bank deposits. Cash Disbursements for Miscellaneous Payrolls, Freight, Express and Petty Claims are made from current cash on hand. Reimbursement for these items is later received from the City Treasurer through appro- priations made by the Board of City Commissioners. Cash in the hands of the City Treasurer was verified, and compared with the records of the City Clerk. The payments of vouchers for the Water and Sewage Department are now being handled in the same manner as all other fund payments, under the same type of authorization, and the warrant checks are issued by the City Clerk and entered on his records, the same as those for other funds and departments. 't U. S. Bonds were verified in the amount of $2,000,000.00. e. Total billings for the year, plus outstanding accounts at the beginning of the year were accounted for either in the form of cash received during the year, discounts and rebates allowed, or outstanding accounts due at the close of the year. Inventory of materials and supplies represents the value of these items on hand December 31, 1961, as inventoried under the supervision of the super- intendent, who stated that the quantities were correct and the items were priced at the lower of cost or market. The extensions and footings were test-checked for accuracy. CURRENT LIABILITIES . Accounts payable represent amount due on open account as at Decerrb er 31, 1961, as shown by the City Clerk's Purchase Order Record. $1,495.04 of current accounts were omitted from the water accounts Payable but were entered during the rourse of the audit. Adjustment has been made herein. The total outstanding deposits at the audit date, as shown by the General Ledger, were reconciled to the detail of individual deposits. Your attention is directed to the fact the interest on Meter Deposits is not paid by the Water and Sewage Depart~nt in accordance with the requirements of G.S. 1961 Supplement, Section 12-822. The difference in the total of meter deposits was also adjusted on the books during the audit. ./ 94 -. RESERVE FOR DEPRECIATION .. The following tabulation summarizes the changes in the Reserve for Depreciation during the year. Balance - January 1, 1961 1961 Provision for Depreciation $ 414,141.55 3,000.00 417,141.55 .417, 141. 55 None Transferred to Surplus July 31, 1961 Balance December 31# 1961 INSURANCE All Insurance purchased during the year was charged to Insurance Reserve. This account was in the red at December 31. 1961, showing more cost than was provided for. A statement of the insurance coverage in force at December 31# 1961 is presented in Exhibit "M" under the City Audit. v FIDELITY BONDS Fidelity Bonds are in force in the amount of $5,000.00 each on the Superintendent and Cashier of the Water and Sewage Department, as shown in Exhibit "L" in the general report. .. OPERATION A detailed statement of profit and loss for the year 1961 is presented in Exhibit 11 B" and its supporting Schedule "1". The Water Department paid $10,000.00 to the City during 1961. This is considered a payment in lieu uf Franchise, similar to that paid by other utilities. Adjusting entries were necessary to adjust the books to conform with the audited balance sheet and profit and loss statement. All necessary entries were made during the course of the audit. We wish to express our appreciation for the cooperation of the Superintendent, Cashier, and other City Officials and Employees during the course of the exami- nation. ~ ~ 95 Exhibit "A'1 . CITY OF SALINA. KANSAS WATER AND SEWAGE DEPARTMENT BALANCE SHEET ~ December 31, 1961 ASSETS Fixed Assets Plant and Property (Schedule 2) 4,753,379.86 Furniture 47,087.18 Sewage Plant and Lines 900,000.00 5,700,467.04 Current Assets Cash in Office 6,666.28 Investments - U. S. Bonds 2,000,000.00 2,006,666.28 , Accounts Receivable Water Sales 57,956.59 Service Lines 6,431. 00 64,387.59 ., Inventories Meter Parts 14,494.39 Operating Stores 75,457.16 89,951. 55 .. Prepaid Insurance 779.59 Cash - City Treasurer Water & Sewage Treasurer 4,751. 24 Water & Sewage Treasurer Operating Account 78,147.00 Bond & Interest Reserve 107,242.64 Bond Reserve Account 24,000.00 Depreciation & Emergency Account 10,000.00 Balance 1961 Water & Sewage Bond Issue 289,718.13 513,859.01 Total Assets 8,376,111. 06 -.I .. . 95a Exhibit lIAlI (Cont.) SURPLUS. RESERVES AND LIABILITIES Surplus January 1, 1961 Add Depreciation Reserve Transferred Sewage Plant Value Profit 1961 Deduct Charges to Establish Reserves Surplus December 31, 1961 'J Reserve Accounts & Deferred Charges Bond Principal Bond Interest Bond Reserve Account Depreciation & Emergency Total .. Tapping Parts Deferred Charges Total Reserves & Deferred Charges Liabilities Meter Deposits Refund Deposits Bonded Indebtedness Accounts Payable - Water Accounts Payable - Refuse Total Surplus, Reserves & Liabilities --; . 2,963,138.91 417,141.55 900,000.00 411,642.61 1, 728, 784. 16 4,691,923.07 116,400.00 4,575,523.07 34,400.00 72,842.64 24,000.00 10,000.00 141, 242. 64 2,654.63 143,897.27 21. 46 143,918.73 40,124.00 1, 305.00 3,600,000.00 14,731. 39 508.87 3,656,669.26 8,376,111. 06 . ) CITY OF SALINA. KANSAS WATER AND SEWAGE DEPARTMENT PROFIT AND LOSS STATEMENT Year Ended December 31, 1961 Revenue Water Sales Revenue Sewage Revenue Tapping Services Surcharges Gross Receipts Less Operating Costs (Schedule 1) Depre ciation 364,809.69 3,000.00 \ Add Interest Received and Miscellaneous Net Income Water Operations Front Footage from Construction Jobs Total Income to Surplus ..., -4> 96 Exhibit "B11 536,143.77 162,286.86 5,906.68 1,648.75 705,986.06 367,809.69 338,176.37 2,891. 59 341,067.96 70,574.65 411,642.61 97 Schedule "1" ) CITY OF SALINA, KANSAS WATER AND SEWAGE DEPARTMENT OPERATING COSTS ) Year 1960 Compared with 1961 Increase 1960 1961 ( Decrease) Water Supply Expense Well and Pump Repairs 14.00 41. 16 27.16 Electric Power 3,742.88 2,526.86 ( 1,216.02) Electrical Equipment Repairs 670.86 212.63 ( 458.23) Well House Pump Signals 877.50 742.50 ( 135.00) River Intake Pump Power 4,025.62 7,362.20 3,336.58 Total WaterSupply Expense 9,330.86 10,885.35 1,554.49 Production Expense Power 9,306.00 8,352.00 ( 954.00) Pumping Station Labor 13,791. 40 15,840.00 2,048.60 Fuel 375. 15 374.46 ( .69) Miner Supply and Expenses 140.77 38.46 ( 102.31) Repairs - Pumping Station, , Lines and Equipment 1,270. 10 665.07 ( 605.03) Repairs - Electric Power Equipment 11325.37 1,325.37 ~ Total Production Expense 24,883.42 26,595.36 1,711.94 Softening Expense Labor 35,354.40 36,154.20 799.80 Electric Service 2,691. 47 2, 116.00 ( 575.47) Gas Service 3,864.79 7,150.95 3,286.16 Building Operating Supplies 818.32 841. 37 23.05 Chemicals 92,282.01 73,850.79 ( 18,431. 22) Repair Electrical Equipment 1,907.31 3, 183.23 1,275.92 Repair Building 86.07 299.69 213.62 Total Softening Expense 137,004.37 123,596.23 ( 13,408. 14) Distribution Expense Labor Foreman 4,260.00 3,795.00 ( 465.00) Labor Meter Department 5,348.40 3,453.65 ( 1,894.75) .; Main Repairs 4,800.00 4,800.00 Distribution Trucks 3,281. 35 2,425.25 ( 856. 10) Meter Service and Supplies 1,504.62 957. 10 547.52) ... Repair Services 25,074.10 20,138.41 4,935.69) Total Distribution Expense 44,268.47 35,569.41 ( 8,699.06) 98 Schedule" 1" (Cont. ) Increase 1960 1961 ( Decrease) ) Commercial and General Expense Office Salaries 30,281.15 30,471.85 190.70 Meter Readers Salaries 13,811.85 14,922.05 1,110.20 Office Supplies and Expense 8,509.87 12,902.66 4,392.79 Printing and Postage 7,200.00 7,200.00 Insurance 4,700.00 2,400.00 ( 2, 300.00) Sales Tax 490.31 216.52 ( 273.79) Travel 1,869.71 1,785.00 ( 84. 71) Social Security 4,017.30 4,743.69 726.39 Supt. and Engineer Salaries 8,250.00 8,250.00 Interest 48,000.00 37,108.51 ( 10,891.49) Payment to City 10,000.00 10,000.00 Accounts Charged Off 846.75 1,534.27 687.52 Long and Short 90.34 116.22 25.88 Total Commercial and General Expense 138,067.28 131,650.77 ( 6,416.51) ~ Depre cia tion 36,000.00 3,000.00 ( 33,000.00) Sewage Treatment Expense I Plant Salaries 18,120.00 18,120.00 Sewage Line Cleaning 6,446.49 6,446.49 Electric Service 5,718.21 5,718.21 Gas Service 366.50 366.50 Supplies 2,281. 26 2,281. 26 Chemicals 66.73 66.73 Equipment Repairs 2,085.97 2,085.97 Building Repairs 201. 23 201. 23 Drying Beds Expense 315.00 315.00 Service Line Repairs & Replacement 911. 18 911. 18 Total 36,512.57 36,512.57 Total Expenses 389,554.40 367,809.69 ( 21,744.71) ..,j -f. 99 Schedule "2" ) CITY OF SALINA, KANSAS WATER AND SEWAGE DEPARTMENT ,PLANTS AND PROPERTY ACCOUNTS Compared January 1, 1961 and December 31, 1961 .. 12-31-61 1-1-61 Increase Distribution Structures & Manholes 55,168.02 55,168.02 Cast Iron Mains 1,762,070.94 1,682,717.63 79,353.31 Hydrants 155,691,49 155,691. 49 Valves & Valve Boxes 213,262.12 213,262.12 Stand Pipe Real Estate 60,914.36 60,914.36 Meter Boxes & Accessories 265,281. 46 244,774.42 20,507.04 Sunset Stand Pipe 94,508.31 94,508.31 Total Distribution 2,606,896.70 2,507.036.35 99,860.35 Water Supply Real Estate 6,097.50 6,097.50 Pump House & Derricks 24,397.56 24,397.56 1 Wells 203,576.90 203,576.90 Well Pumps & Meters 35, 163.27 35,163.27 Flow Lines 47,824.04 47,824.04 It Total Water Supply 317,059.27 317,059.27 Pumping Stations Real Estate 16.532.86 16,532.86 Real E state Improvements 3,580.40 3,580.40 Pump Houses & Stock 18,750.84 18,750.84 Land Underground Reservoir 21,626. 19 21,626.19 Cottage 3,927.91 3,927.91 Reservoir 28,545.49 28,545.49 Electrical Meters, Pumps 30,572.28 30,572.28 Venture Meters 6,185.44 6, 185.44 Underground Reservoir 183,638.82 183,638.82 Pipes & Piping 15, 186.88 15,186.88 Water Softener Plant 1, 102,056.58 1, 102,056.58 River Intake Pump 169,099.27 169,099.27 .. Water Supply Exploration 16,190.07 16,190.07 Gypsum Hill Water Tower 99,526.69 99,526.69 High Surface Pump 31,889.11 31,889.11 # Total Pumping Stations 1,747,308.83 1,747,308.83 100 Schedule "2" (Cont.) ) ........... 12-31-61 1-1-61 Increa se General Equipment Garage & Store Buildings 13,072.04 13,072.04 Trucks & Compressors 21,022.28 21,022.28 Chlorinator 6,686.40 6,686.40 Laborotory Equipment 3,625.80 3,219.07 406.73 Furniture Water Office Improvements 6,800.29 6,800.29 Total General Equipment 51,206.81 50,800.08 406.73 Jobs in Process 30,908.25 30,908.25 Sewage Plant Plant 600,000.00 600,000.00 Lines 300,000.00 300,000.00 . Total Sewage 900,000.00 900,000.00 Total All Plants & Equipment 5." 653, 379.86 4,622,204.53 1,031,175.33 ,- 4 #0