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Audit - 1940 ~~-I I 11 i ! " I CITY OF SALINA, KANSAS FINANCIAL REPORT Covering the Period from January 1, to December 31, 1940, inclusive M. J. KENNEDY Certified Public Accountant Salina - Kansas t<-...........~~_....""'..=--'_~..~_....~_~~~~.__-=.~~.....~~=~."__~~_____~_-.._____---...,~_.,,~L~~__.. "<_____"_n"._<.____"_."_.__.~~._._.~ ~~..~.-~.~."--~l ~ CITY OF SALINA. r~SAS BOARD OF CITY COMMISSIONERS Earl C. Branson Ed Mor gens tern Mayor Lloyd W. Price B. A. Breon Vim. H. Ferm CITY OFFICIALS Herbert L. Brown City Manager Chas. E. Banker City Clerk and Director of Finance Henry H. Eberhardt City Treasurer, , " i: "-,~~-~, - ,-,u-~='-f ~ . I .' ! CITY OF SALINA, KANSAS INDEX Page No. COMMENTS . . . . . . ................. 1 to 29 EXHIBIT tt A" SUMMARY STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH AND INVESTMENTS . . . . . . . 30 EXHIBIT "Bn COMPARISON OF RECEIPTS WITH BUDGET 31 EXHIB IT n Cft COMPARISON OF EXPENDITURES WITH BUDGET AND STATEMENT OF UNENCilllBERED FUND BALANCES. . . . . . ... . 32 FUND STATEMENTS OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH: Schedule 1 General Fund - Administrative and Finane e Department . 33 to 34 Schedule I-a Detail of Receipts - Licenses. Fees and Pennits. 35 Schedule 1-b Detail of Disbursements. . . . . 36 Schedule 2 General Fund - Police Department . . 37 Schedule 3 Gene ra 1 Fund - Street Department . . 38 to 39 Schedule 4 General Fund - Engineering Department. . 40 Schedule 5 General Fund - Milk Inspection Department. . . . . 41 Schedule 6 General Fund - Legal Department. . . 42 Schedule 7 General Fund Building Department . . . . . . . . 43 Schedule 8 General Fund - City Court Department . . . . . 44 Schedule 9 Fire Department Fund . . . . . . . 45 Sohedule 10 Park Department Fund . . . . . . . . . . 46 Schedule 10-a Swimming Pool Department Detail of Disbursements 47 Sohedule 11 Memorial Hall Fund . . . . . . . . . . 48 Schedule 12 Sewage Disposal Fund . . . . . 49 Schedule 13 General Improvement Fund . . . . . . . . 50 Schedule 13-a Detail of Disbursements Showing Projects for which Disbursements Were Made. . . . . . . . . . . . . . 51 INDEX Schedule 14 Schedule 15 Schedule 16 Schedule 17 Schedule 18 Schedule 19 Schedule 20 Schedule 21 Schedule 22 Schedule 23 Schedule 24 Schedule 25 Schedule 26 Schedule 27 Schedule 28 EXHIB IT "D" Schedule 29 EXHIBIT WEft EXHIBIT ftF" EXHIBIT "G. ~-~~~L~-~~l I i P N ~ age o. /, I. e CITY OF SALINA, KANSAS INDEX (Cont'd.) FUND STATEMENTS OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH (Cont'd.) Water, Light, Heat and Power Fund. . . . . Bond and Interest Fund . . . Band Fund. . Library Fund . Airport Fund . . . . . . . . . Bindweed Control Fund. . . . . Trust and Agency Funds . . . . . . Waterworks Department Fund . Cemetery Fund. . . . . . . Public Health Nursing Fund Relief Highway Fund. . . Condemnation Fund. . Construction Funds . Sales Tax Collected in Advance . . . . FUND STATEMENTS OF INCREASES, DECREASES AND BALANCES OF INVESTMENTS: Trust and Agency Funds and Cemetery Fund . . CASH IN CUSTODY OF CITY TREASURER. Reconciliation of Bank Balances. . . . . . INVESTMENTS IN CUSTODY OF CITY TREASURER. . . . COMPARATIVE STATEMENT OF TAX LEVIES AND ASSESSED VAL- UATIONS SHOWING AMOUNT OF 1940 TAXES DUE IN 1941 . SUMN'.tARY COMPARISON .A}..TJJ RECONCILIATION OF 1939 TAXES (DUE IN 1940) ASSESSED AND COLLECTED . . . . . . . . 52 53 to 54 55 56 57 58 59 60 61 62 63 64 65 66 67 68 69 70 71 72 INDEX (Cont'd.) I _~_oo=L=~.<"~..:~-=~'='=~___~~_~ EXHIBIT "Ii" Schedule 30 EXHIBIT "I" EXHIBIT" J" Schedule 31 EXHIBIT "K" EXHIBIT "L" EXHIBIT "M" EXHIB IT tt N" EXHIB IT tf 0" EXHIB IT "P" EXHIBIT tiQ" Schedule 32 EXHIB IT " R" EXHIB IT "s" EXHIBIT "A" EXHIBIT "B" Schedule 1 Schedule 2 CITY OF SALINA. KANSAS ..____"'--_~_.=___..._O~_.~~.___=_...._____~."..,__~~~=_,,_""'_='~~~- .~-"'I ! " INDEX (Cont' d. ) FUND STATEMENTS OF INCREASES. DECREASES AND BALANCES OF INVESTMENTS (Cont'd.) STATEMENT OF TAXES RECEIVED FROM COUNTY TREASURER SHOWING YEAR OF ASSESSMENT AND DISTRIBUTION 'to FUNDS ON BAS IS OF ASSESSMENT. . . . . . . . . Statement Showing Allocation of Taxes Received to the Various Departments of the General Fund . . CITY CIERK'S REVOLVING FUND - SUMMARY OF DEPOSITS AND CHECKS ISSUED . . . . . . . . . . . . CLERK OF CITY COURT: STATEMENT OF RECEIPTS. DISBURSEMENTS AND BALANCES OF CASH. . . . . . . . . . . . . . . . . . Cash in Custody of Clerk of City Court. sm~Y OF POLICE COURT RECORDS . . sm~~Y OF RECORDS OF CITY BUILDING INSPECTOR COMPARISON OF DEPOSITORY BONDS AND BALANCES ON DEPOS IT . . . . . . . . . . . FIDELITY BONDS IN FORCE . . . . . INSURANCE IN FORCE (EXCLUSIVE OF WATERWORKS DEPART- 1lENr ). . . . . . . . . . . . . . . ACCOUNTS RECEIVABIE . . . . STATEMENT OF BONDED INDEBTEDNESS. . Reconciliation of City of Salina. Fiscal Agency Ac- count - Outstanding Matured Bonds and Coupons . . . STATEMENT OF TEMPORARY NOTE INDEBTEDNESS. AUDIT ADJUSTMENT ENTRIES. . ...... WATERWORKS DEPARTMENT FUND COMMENTS. . . . . . BALANCE SHEET . ...... PROFIT AND LOSS STATEMENT . Plant and Property. . . . Adjusting Journal Entries . . . . Page No. 73 74 75 76 77 78 79 80 81 82 83 i' 84 f r I' , 85 ~ ! 86 ~ 87 to 90 91 to 104 105 . 106 to 107 108 . 109 to III INDEX (Cont'd.) , it _ <<~_~__~~-_~______J M:' JJ'KE~.i'N ED Y,: Certified Public Accountant . . SALINA, KANSAS March 28, 1941 T O,,'th~:li8.y ~r,'$n<i~pard"()f' Q6mmi:is:~,o.~er$ ';' city -or ;S8:1ii1f{~"~ic8n:stis; ... ',. , . .. --.., " Gentlemen: In accordance with your instructions an audit has been made of the fin~~cial books and records of the City of Salina, Kansas, for the period from January 1, to December 31, 1940, inclusive. A report of such audit is herewith' submitted. Comments, exhibits, and schedules pertaining entirely to the Waterworks Depart- ment are submitted separately on pages '91 to III of this report, and separate copies of that section of the report have been submitted to the Waterworks Ad- visory Cow~ission. SCOPE OF AUDIT The audit was performed in accordance with the general and specific requiredpro- vi sions of the Minim'..L':', Standard Audi 1; Program appr mTed by the State Municipal Accounting Board as at Kovember 21. 1935. arid as revised October 25. 1940. and included an examination of the records of all city offices and officers except the Municipal BWld Board. The Public Library Board.and the Public Health Nursing Association, which boards receive money appropriated by the city but have exclu- sive control over the disbursement of both the amounts appropriated to them by the city ~~d moneys which they may receive from other sources. The auditors have been authorized to audit the records of the Free Public Lib- rary of the City of Salina. Kansas, and the records of the Public Health Nursing Association. Upon the completion of these audits a copy of the rep?rts thereon will be made available to your body. The results of otirexamination are set forth on the 'a.ttS:ched-' exhibits and. sched- ules, which are listed on the prefixed index of this report. The following com- ments are made in explanation of certain items appearing therein. No comments are included relative to exhibit s and schedules or items within such exhibits and schedules which, in our opinion. are self-explanatory. RECEIPTS ,DISBURSEMENTS, AND BALANCES OF CASH .AND, INVESTMENTS SU.MMARY STATEMENT OF RECEIPTS, DISBURSEMENTS. AND BALANCES OF CASH AND INVEST- ME~TS. Exhibit "Aft. Under this exhibit is shown a condensed statement of fund cash balances as at January I, 1940, fund receipts and disbursements during the year 1940, and fund cash balances as at December 31. 1940. The balance of in- vestments mvned by Trust and Agency Funds and the Cemetery Fund as at January I, 1940, increases and decreases in investments during the year. and the balance of investments owned by these funds as at December 31, 1940, are also shown under 1. " ). '.<>)~~.'-" . - -' :-'<.:, ~.' -.:.. - '- Exllibit"A" . 'Fund cash'and"'iIlvestment: acoount'ba1ances as at the c1()se of the audit period aggregate $264,198.82, which is represented by cash in the custody of the city treasurer amounting to $248,111.32 and by investments in the custody of the city treasurer amounting to $16,087.50. This exhibit includes only the receipts and disbursements which are cleared through the records of the city clerk and the city treasurer, and fund cash and invest- ment balances represented by cash and investments in the custody of the city . . .'t~e~;?~,~.f:'!,,'C.ash:tFJ~~l~~9~~~~,\.Pf<t-,~~i~~:~!s:JBfc~~p.~,ci~Y'~2lU"r.~~;'~~:~t:Fi ~n~;I. ..... ~ash, . and .~nve.Btment s ,Q,f,i;he :::~~l;~X'wo.r ks:Dep'a,rtmen~ :o;'und. .f>>"~.'..' exh~b:t".~:,s~parately,a.nd commented upon in 1aterparagra.phs of this report under appropriate headings. COiiIPARISON OF RECEIPTS WITH BUDGET. Exhibit "B". Under this exhibit actual re- ceJpts during the year 1940 are compared by funds with receipts ar~icipated in the budget. Actual receipts of tax levying funds during the year 1940 were $36,724.S6,in excess of the ,budget . This' excess issumrnarized as follows: Current ad valorem taxes $ 5, 842 .95 Delinquent ad valorem taxes 18,716.63 Current mld delinquent special assess- ment taxes 3,704.97 ?roceeds of electric a,DC bOs franchises 7.245.-!7 Ot~er Receipts - Net 1.214.54 Total Receipts in Exces~ of Budget $36.724.56 Durin~ t~e year 1940 taxes for the years 1935 to 1938, inclusive. were assessed b~r the county on property which he,d ;Jrevio\.1sly esc8.f'ed e.sssssnent.1.'he cit~r' s share of such taxes arnounted to $6.9lG.16. Of this amount, f,;5. 543 .03 was col- lected by the County Treasurer ffild remitted to the city during the year 1940. Receipts of delinquent ad v8,lorem ta,xes in exces s of the oi.Adget as shov;:..1. above b- eludes this $5.543.03. the collection of which could not have been anticipated in the .budget. ,.Aportion6f.the proceeds ofjud:l..cial tax, s~les was distributed by the county to the city during the year 1940. This also tends to explain the excessofdelin<iuent '.ad valorem tax 'collections over. the amount' anticipated in the budget. COl.IPARIS01\ OF EXFEKDIT'lJRES WITH b'lJDGET AND STATEMENT OF 'lJNENCillviBERED Elm BAL- Al';CES. Exhibit "e". The cclumn of this exhibit headed. "Balance of 1940 Budbet Unencumbered", indicates that. after giving effect to disbursements ap2licable to the 1939 budget and t;()t1Illiquid~ted.liabilities created during the year , the total'expendi tut-esfora:lT'i;axlevymg'fiilids'Were ta, 98l/751esstl;iari the amount provided ~or in the budget. Your attention is directed, however, to the fact that expenditures in excess of the budget were made out of the following f~ds: General Fund $2,006.74 Bond and Interest Fund 196.46 Bindweed and Control Fund 29.25 2. ExpEmditu~es ih ~xcess '~.f'th~budget for the General Fund' were ma:de outof>the Administrative and Finance and street Departments of that fund. The expenditure of $2,140.13 in excess of the budget for the Administrative and Finance Depart- ment of the General Fund resulted from the payment of election expenses and the operating deficit of the City Court in amounts which were substantially in ex- cess of the amounts anticipated in the budget. In the last three columns of Exhibit "Cn there is shown a determination of the <.:,;u:q.~~c1,llllb.er;ed~as~"b~:l.e,x:loe~::-9f.. ~c.l:t)t:u"nQ.",and: t;h~'~n~:n.,qU)ll~e.:r:e,4 " ~~sh.Qa1anc,~~; of ", ;.."the;=va.rfous'~,Q.~P9IrtJl\eir~,I}.,,~:t::~.th~..G~~e;r-ar"~d ~ ",': The ... ..~.e,~A\pal.ance'~9~,' .'~ach . fun~ .,,~ex';. ' cept the Memorial Hall Fund, was sufficient to cover' fund liabilities as at De- . cember 31, 1940. The Memorial Hall Fund had a cash balance of $507.60 at the close of the year, but shows an overdraft of $107.75 after deducting liabilities as at December 31, 1940, amounting to $615.35. The liabilities of the Waterworks Depa:r:tmentfund at!l.e,t December, 31, 1940, are . shown in the appendedreport,onthe Waterworks Department and are not included under this exhibit. The cash balance of the Waterworks Department Fund, however, was more than s,ufficient to cover its liabilities. as at the close of the sear. Under the provisions of the budget law (79-2925 to 2937 G.S. 1935) it is unlaw- ful to mf;,ke payment cut of or to create an indebtedness &.gair.st any fund in ex- cess of the amount provided for that fund by the budget. Under the provisions ci' t}ce cas!'. besis law (10-1101 to 1122 G.S. 1935) it is unlauful to make paJ'IDent Gut of Gr to create any indpbtedness B[ainst a fund in excess of moneys actually on r:arld i::: the t.re':~sur~' ~(\ tr~~. credit of' the f1.J..no.. F,J::lCJ eX;8Lditures E. n.', therefore, lirrit,ed: Fin,t, t~, tl~e arr:01JY'ct of t1lE s.nr:.ual budget for the fund, and Second, by the available cash balance of tte fund. The foregoing ir:.fon~ation indicates the extent to which the city failed to comply with the cash basis and budget laws. For this purpose tbe various depart;r.ents of tLe ::Tener-a! Fund are CC:"J.sidered in total as 9. sir:.gle fund. Fmm STATEMEli!TS OF -s.:SC:SIP::'S, JISBURSEl'!1ENTS, Al;D BJI.LAXC':':S 0::' CASH, Schedules 1 to 27, inclusive. Under the above schedules are shovm detailed statements of re- ceipts, disbursements, and balances of cash for each of the funds or groupsof funds summarized. under Exhibitt~A". A qetail of ad valorem taxes 'received is ,not shown on the indiv-idua1 fund state- ments. Under Exhibit nIl" and related Schedule 30, which will be commented upon later in this report, there is shown an analysis of all taxes received by each fund and fund department as to the amounts of delinquent, current, tangible, aLd intanbible taxes received. The city's share of sales tax residue applicable to the year 1940 amounted to $20,943 .'24. Thisam:ouiitw~,s.i.distt,fbtt;ted. cdurip,gtheyear> 19.10 to the various . tax levying funds except the Bond and Interest Fund. Salaries paid to officers and to regular employees durins the audit period ,..,ere found to be vri thin the rates specified b;y- ordinances b,nd wi thin the limi tatioES .E.TEscribed by the statutes as interpreted by the attorney genera] of the state of Kansas, with the following exception: The police rcatroH and rest room care- taker was paid $127.50 during the year 1940, whereas only $10.00 per monte or ~120.00 per year was provided by Ordinance 6-303 R.O. 1939. The salary ordinance for the year 1941 provides for a monthly salary of $15.00 for this employee. The 3. inorease' -In''this salary we:~madeeffec'tfve:on November 1'5, 1940. For tax ievy- ing funds, the statements of receipts, disbursements, and balances of cash Sched- ules 1 to 27, inclusive, include a detailed comparison by account classifications of actual receipts, disbursements, and balances with receipts, disbursements, and balances anticipated in the budget for the year 1940. Your attention is directed to certain items included in the following fund sched- ules of reoeipts, disbursements, and balances of cash. ';:'~(i~~ii~~q~~~~;~);im::*~~'C~~~Bjir~~~".,~~l::r~f~till.~~m~~~'i~::;'~;':~1i~,"'G~h:~'t~liiiliir}~~:.:~;tidfd~d' 'in eight subdiv1siortsof that fund. Taxes levied for the General Fund and its share of sales tax residue are prorated to all of the departments of that fund, except to the Administrative and Finance and the City Court Departments. The Administrative and Finance Department is fina,nced entirely through the col- 1e.ctionoflioenses, franohises,andothergeneral revenues..lnthe annual 'bud- get ot,the-dity:'l'or the 'year 1940, ,provision was made' for the ' transfer of $2,800.00 from the Administrative and Finance Department tb~..the City Court De- partment to cover the estimated deficit ()f the City Cour.tDepartment for the year 1940. GEI~EJ{AL FmJD - AVJJIIHSTEATIVE AND FINANCE DEPlul.T?>lEET, Sche(~ule 1. .0UrlllE the year 1940 the city colle~ted $10,118.65 from liceLses, fees, and penc:.ts. I>~rinb the previous year COllections from this source 8J1lounted to $11,306.84. A classi- fied statement of licenses, fees, !'l,nd :oermits collected is presented under Sched- ule l-a. ?.eceipts from each type of fee, license, and "!ermit were compared with similar receipts for tne three prior years, and no substaLtial differe!lC6s were noted. Franchise ordinances in effect during the audit period were scrutinized. The amount of the bus transportation franchise payment to the city during the year 1940 was found to be in accordsnce with the franchise. Under the gas franchise ordinance, the city receives one per cent of the .cross re- ceipts of the gas company which amount is payable to the city on June 30, and De- cember 31 of each year. The amount of gas franchise fee, $4,195.47, shown under Sohedu1e 1 represents i;hegas company's paYJllents >forth..e1ast half of the year 1939, and fo~the first half of the year 1940.' The gas 'company remitted $1,318.62 to the oityon-January31, ,1941, oovering the franchise'fee for the ..last half of the' year 1940.' ' On June 25. 1940, the city granted a. new electrical franchise for a period of ten years from July 1, 1940. The franchise ordinance calls for a fee of $5,000.00 payable on July 1 of each year. The $5,000.00 fee shoml under Schedule 1 covers the period from July I, 1940, to June 30, 1941, and is the first payment receiv- ,ed ", und,er .t,l:l~'new '. frano.hi s.,e:~';, ' ,.. - Police court fines and forfeitures in the amount of $5,178.50 were received from the police judge during the audit period, as compared with fines and forfeitures in the amount of $4,574.75 for the preceding year. it statement prepared from the records of the police cou~t is shown under Exhibit "K". The auditors determined that the county treasurer's distribution st8J1lp tax moneys to the oi ty was made in accordance with the statutes. distributed during the entire year 1940, however, were made upon 1939 rather than 1940 population figures. of cigarette The 8J1lounts the basis of 4. " iri'the:8IrlOUntof' $125.00 are sho'wn"under the reoeipts of the Administrative and Finance Department. It is recommended that records of prior years be investigated to determine the total amount of such deposits which have not been refunded and that a record be maintained showing the individual deposits which are held by the city. . '... . '. - " ..t.._""~ Details of salaries and wages, professional and contracted services, election ex- pense, and appropriations, donations, and dues paid out of the General Fund - AQ.miAi~~ra.:t;iy~(~d..f~Il~C ~>.1)ep~rt.men t..,~~ e."sl.l.plll,i i;t,~d ,. ,u,r1der SCl1edule. 1- b. " _._,:..,,:,~:~-.-:~.,~,:: .~"':~~' :?>>'._~' ..;".: _-'.~" .~: >.' .'~. :.:'~ ",< ';~:('~"'~:': .::'.:~~' ':':~'~-:~-.<'?~;~:.,:' . ..\ ::'" '-",:", ..,. _ . .~-' r:'/': -, ," '.... ';.. -..:- -, >' ',' ,.,;~.,'p' '~',:~:,~~~-:.:~..lo-.; GENERAL FUND - STREET DEPARTMENT, Schedule 3. 'The auditors verified,'by corres- pondence with the county clerk and the state accountant, the amounts distributed by the county and by the state to the city, for the Ir.aintenance of highways 'with- in the city limits. The amounts received for state highway maintenance, $949.02, includes the remittance from the state for the last quarter of the year 1939, as well as 'remittances for the four quarters of .the year 1940. ~~L adjustment was made by the auditors to record the receipt of equipment rentals in the amount of $200.00 which Were applied by the funds making such rental pay- ments toward the acquisition of a street sprinkler chassis for the Street Depart- ment. Trie c.isb1.A.rserrteJlts of the Ger...eral F'QY).d - Street JeDc;rttnent do ::ot iricl'.JQ0 the Dur- . ~ _ . ~~. ~. .l... c~ase prlce 01 8 ~PW l~ternRtlo~al tr~c~ WhlCh was acqulred durin; the year by the application of rentG,l paJ-mer~ts made by the followillt.; fcmds towarc.s the pur- ehase price: Construction fU;ld - :r:'ro2ectifll Construction Fund - Project #13 $412.75 659 . 8 0 ~1,072.55 Haterworks Fund 166.70 $1,239.25 Less - Rental s applied towards purche,se price of street sprinkler chassis 200.00 Unpaid balance - To be paid by Street De- partment during the year 1941 $1,039.25 22.25 Total Purchase Price of Truck $1,061. 50 It was the policy of the city to allocate the payments on the tro,ck to the funds for which it was used. Other '8xp(rndituresappl,idable to-t;he/re:P'air;'maintenance~ and iniprovement of city streets are included in the General Improvement Fund, the Relief Highway Fund, and certain Construction Funds. Comments a.re submitted reJa tiife to these funds in later pe.ragraphs of thi s report. GENERAL FillID - ENGINEERING DEPART~~T, Schedule 4. Disbursements a.re made out of this department for appraising, abstracting, publishing, end similar expenses in connection with cODstruction projects, in addition to disbursements for sa.laries of the city engineer and his assistants. In order to reimburse the 5. Engineering Department for 'engineering servioes and expenses paid which are appli- cable to construotion projects, the construction project funds are billed by the Engineering Department for engineering services. During the year 1940 the Engi- neering Department received $842.94 from this source. FIRE DEPARTMENT FUND, Schedule 9. Disbursements in the amount of $1,678.00 for materials and supplies are shown under this schedule. The employees of this de- partment frequently assemble new equipment from materials and supplies purchased. y, ?T,:b.~:tu~di t'Qrsj;,'()9,y.lcl'p.~'d~~erm,in~.~:A'I.",Qnt:inf(;)r.w.ati~:>nshown ,on vouchers char ged to ::this'$.c~ountwil~2t:,"po~t.iOIl',Gf'~he'.'above":Jl,~.'678.od:yiou1d be more 'proper1y classi... fied as purchases of new equipment. PARK DEPARTlffiNT Fm~D, Schedule 10. No rentals were collected during tte year on the house located in Oakdale Park. As at December 31, 1939. the tenant occupy- ing this property was in arrears $65.00. The auditors were informed by the City Manager that this $65',00 plus rentals in the amount of $120.00 for the year 1940 were Uncollectible and that the t'enanthas not been removed from the premises for the reason that housing elsewhere would have to be provided by the county if that were done. Under the above circumstances, the rentals due are not included as an account receivable ;mder Exhibit "P". ~,j~~JOlUAL BALL FeND, Schedule 11. .2.eceipts fro:':'. rentd of the l,lemorial Hall amounted to $1,165.00 ,durinG the year 1940 as cOillF',red with ~;2,020.00 fcrthe;year 1939. C~I\;'SEj~L I~\;.?=:~2"'1=~.'~~~':-T r~'-~':':c, s c ~-Led ').1 e 1 ~~ . :h e rr illC i l~'o_l ::>:-'~lrc. e c- f re-\'-(;L.:JC t:J tL.i s furj.d is t~;e =~rocec;cs of a t::.x le-'-\T:i a"J.trl'::)rized by 79-1~51 :.3. lS3E. SeG-ti01-~ 13- 108S 8.5. 1935 provides t~at expenditures for gradi:l~ streets &nd ~112Ys, for improvements of alleys and inter:cectioLs :~or;ned by the eros sinb of streets a,ad alleys, and for builQ.il:g; oric..t;es, cuhrerc;s, ",tc., 8.re ?roper C!1f,rbC;s to the Gen- ere,l Imrrovement Fi)::c. In addition to receipts from ad valorem taxes, the Ceneral =~~rove8ent f~~~nd in- cludes receiFts of special assessments for weed c:lttir:..,; fIlll VH::.tF:r service lines, which were assessed in prior years abainst property m~ners ruld collected throuzh the county treasury with taxes. The General Improvement Fund bears the cost of weedeuttiIigqand the cost:of layLp.g water service lines, and consequently, is entitled to the proceeds of these special assessment taxes. The disbursements of the General Improvement Fund include lease rental payments in the ~ount of $380.00 on the asphalt spray tank which was leased on a monthly rental basis during the year 1939. Rental paJ'ments in the ~~ount of $800.00 were made durinb the year 1939 by the General Improvement Fund and Construction Fund - Asphalt Paving Project. Ii tle to the spray t8.Il.k pas sed to the city uper: the payment by t~eGeneralImprovementFund during the year 1940 of the last 'rental 'payment provided Tor 'in: the lease ., Under Schedule 13-a the disbursements of the General Improvement Fund are S'.1..'''1?7,ar- ized as to projects for which the disbursements were made. This statement, which is surrnnarized below, is based upon information sr,QWll on e18im 'vouc::ers c:HJ.r;;ed to thE General Impro-vement Fund and upon additional information secured by th.e auditors from certain city department heads: 6. 'rind maintenance park drives and maintenance of of Improvemerits~ repiiirs, streets, al1eys~ and Improvements, repairs, bridges and sewers Improvements and maintenance of parks and park' buildings Miscellaneous Crawford Avenue Precinct Building " ,'" ',. ";I,~e:t~;p.ing l<<a~l, .,,~i; )~l~y.~ ,~a.n.q, :P,a~~, '" ,<: ' : ; ':~' ,': '" ",;,:;: 'i:'~ 'Str~ei;'s " .: '~ .:,": ::,\:;,',::::' :;",,\: . \" .' :::: ,.'.' ',' :'" " Lease rental payments ona.sphalt spray te.nk Weed cutting Wrecking old band shell ; ~-/'.~. . -, ... ,:~ . , $ 8,247.74 5,016.84 1,008.01 $1,767.51 380.00 869030 187.20 3,242.60 Total $17,515.19 From the above it appears that expenditures were made out of the General Improve- ment FUridwhlch'arenotauthorizedby statute. .., The ordinance authorizing the construction of Storm Sewers #25 for the issuance of bonds to cover th8 cost of constructioll. It decided to pa::,' for the construction out of current years revenue Irn.;_~'rover:leIlt Fur~d. and #26 provided was ::~bseq~e~tly of tj-,e General The '~o...istr~,-J.ct.i,J:,c of the Cre:vifc:-c. .Ii.-vel.l.Ue Freci~lct B:"lildi:lb I,V8.S a-l..rthcrizec. b~" the ;oVerl1iJ.i.b body 2.-: B Gost llot to exceec. $875.00. L.ctus.l corlstr-~)_ctio:n costs to r'ecember 3' 194iJ emo"r,ted to ~'l ryE7 51 '7'1."" 8."rlO + or'" "',O'~ 8""~ ~~' 'h.. .l-j.., ," "'" ...L..I ~l.. ...J.., v,..... W.I. ~ , I . . J..llv J'WI..L. v' ~ "';-:.'''' e ...........";J..... .-;.....,G. VJ' lI~;,e l;~ .....:1 c~.;ineer th&.t the $875.00 estilEste cor"templo,ted the use of X.Y .A. ls.Dor for tLe greater part of the VfOrz. :'lowever, it was l1ecesss.rJ' to employ skilled stone ma- sons 8.l:id carpenters which cOellu ....ot be? fv.rrlished by the 1\. Y .A. ~ATER~ LIGHT, HEAT, .~;L FOWER FUND~ Schedule 14. Disbursements runounti4b to $619.65 for lease rentsl payments on baseball park lighting egyipment are L1- cluded under this schedule. The details of a lease and option agreement enter- ed i~to by the city with the Westinghouse Electric Service Company under which the;cityleased,elect~icallimting,equipment'for KenwoodBa1l Park are included in the audit report for the year ended December 31, 1938. The $619.65 paid dur- , '. ingthe <year '1940 represented thei'inalpaynierit on this' equipment which was ac- quired by the city as a net cost of $3,140.37. The city's contract tal of $250.00 for the city during the hibit"P". ~ ~.,: ..', ~ l" ~ with the Salina Baseball Association calls for an ar,..llual ren- the use of the ball park. This rental was not collected by year 1940 and is included as an accollilt receivable under Ex- BOND AND INTEREST FlmD. Schedule 15. The receipts, disbursements, and balances of the Bond and Interest Fund and the Paving Intersection Bond a!.d Interest F1.:<:nd are combined under the above schedule. The receipts of this fL:nd include ad va- lorem taxes levied for the paymer:t of principal and interest on ~neral bond is- sues end for the payment of principal and interest 01'1 the city's she.re of special improvement bond issues. The nroceeds of svecial assessment taxes assessed against property o~ners for the" retirement of principal and for the p:J~ent. of interest on bonds issued to finance property owner's stare of the cost 01 speclal improvements are also included in the receipts of this fund. 7. \.:;'/'i',:: The 'receipts of the 'Bond and interest Fund include $5,900;00, which was transfer- red from the Condemnation Fund to pay the principal and interest on internal im- provement bonds issued for the construction of Olive street viaduct. This trens- fer was made out of surplus funds to the credit of the Condemnation Fund. The receipts of the Bond and Interest Fund also include $81.60, which was trans- ferred from a Construction Fund project account. The amount transferred repre- sents the excess of the principal amount of bonds issued over the actual cost of ,i",t;11.e,.o9lt~t~,~~t,}"p,\lpr9jla.c.t., "J.l:h~i~c>unt~:()f,:the,1:?ond iss~~J'!a,s,l:>asedupon the en-:- ;:::gl;n:iiet}a't'~n.a:i. '.'~S1;in14 ~~/' w'hl~K,~fi~,in: f)~6.E:l'SSor':th.e'ac~:~ai'?c.b"p.:str~ct;9tlb Oat. At'~" tention is directed to 10-104 G.S. 1935, which provides that no bonds shall be issued in payment for an;)' public improvement ir. excess of the actual cost and ex- pense of such improvement. TRUST AI;:) AGENCY FUNDS. Scqedule 20. statements of receipts. disbursements. and balances of cash for,all Trust and Agency Funds are included separately under the abbveschedule~.tQ.gether with a oomparison between the actual receipts, disburse-, ments, and balances of the Firemen's Pension Fund with the budget for that fund. The balancesshovintothe credit of these funds under Schedule 20 represent cash balances and do not include the investments o,~ed by certain Trust and AEency Funds. The fund investrr,ent 'be] c1Eces arC" .:::rf:~3sc~ted und.:;r SchedGle 28. FiremeY'.:.'s Perlsio!: Fu,nc:. :"-_~:-':';'JC':- ".~Lr-; st:::.t.l.~tes (1~-7;:P, to 7PJ! =.~~. 19~~ Stir-I'.) -tLp .~:.t~.: is !"cq,l}j_red to lC"fl:' ~~_ ts.z of t....,.'::' --,r.'~.tns ()~ Cl~-1f---' !f~:_1J c..l~:2.~t:)ll~/ lCl:: t:1E: ?j_re.... r::ey.:' s pension. Fl)llr! :>..:-_-'~:,51 ,:',nc:'. .t~::'Y'le' 8.:: tr~~) 1)8 J_:;:.:.Cf~ ir:.. tI...=--~ _f;..:.:_~c.. rr;-"'r.c:-;("S ~l('Jnc>:).oO.., Therer..fter J nr :;..'3.d~ ti(l~lE.J -t<,. x ~ ~~ ::'j_ !"(: tr t. r- ! cv~i eo ,~:~.~~ i J_:~:-:_f t,::::..le,-r~c0 j rep s b8101N ~~lO,CJOO.OO. ThE t.ax l's"lT:~-:::-fcr t}~is f~l"~..J ~....c:; ~:.}~r ~"(~s..}"s 1939 :-::.l~C 19~-;::: '~'\~e}"e If,~:Ss -t~: 2.1: t-\'VQ tell tri.s of OY1(' ~j_ll f(: r t}"_ e :- ': ::__~:; c::r: -!.: ~-..~~: -1 1.. .:, ;~ n. 2:::'C' 1.--, ': f -~~.:-_ _r:' ....l, ~ -,.. ,:] -:.~r: ~~. -=~:- r'!,,(1Hf?~i.::_c +;r:e $10,000.00 reql~_i_reIT.erlt. ~:'_~; '::,:; ~~le('c~~te! ?,,~_, 1948, .t:l;'~ t~~}<<tlCE" of t=.~e ?i~e!:len's Pcr.;.sion F~;,r~d ar~01;11t0C to ee,77'?:.94'J \:vhi0~~ b.3.JQUCe ~'I~~~ ~T"r::~'7-,I~" ~;GrL taxes lc\r::..ec. d-,lri::::s t~e ~~'8r:.rs J?37, 193P J ~~_r:..d 19~C:. 1'<.~e!7::;ers cf tl-.:.E: ~iY'0 Dcr.:c_rtmc;l"lt are required to pe.:.- to t_Le Fire~~e~_' s -;)c_..s':'or ..'u!':c. a membership fee of t5.00 Flus orle :;:;ercent of their ;r,ontl:l~ s::.l3rics. Pension payments to retired firemen were ~ade as follows during the year 1940: George Barneck Ll oydW. Sa.um . Everett W. Shaffer '12 months at $62.50 per month 12 months at $62.50 per month 12 months at $61.25 per month $ 750.00 7 50.00 735.00 Total e 2 . 2;) 5. 00 Firemen's Relief Fund. Tree receipts of tLe FireJT1er:'fi Relief ~und icl('bdc member- ship dues in the amount of $129.50, which are assessed at the rate of fifty cents perFire,Depa:rtme~-temploy~epermoilth. Additional dues for the month of Decem- ber in the amount of $10.00 were deducted from pa.~Troll checks to firemen on Jf',n- uar:r 15, 1941. Interest on investments in the 8.Y'101J.n.t of $510.11 'N8,S collected 9.Ld credited duri:JC t::e ~r€'~:r to t~e :?irerr~eYl's Relief :!:'!..J.Yld. This :-cn.d 1V[~S also ~r~dited vritb. 'the I'rocer::ds nf ?~12.t':.red irlv-estn~e:rJts i~_ tile e.mou~t rjf ~lJ5CO.OO. '~he rrincip2,l source nf reverc.'),8 to tr~e ?irer~en' s Relief Fund is ~~~le S+;8::'''-'' s dis- trib:,;,tior.. of ins')raYlce nremium 8.ssessrr:.ents on ir::sur81~_ce ccmr"Lies. 'N~5c:-: runo'.',n-::;ed -::;0 ~2,065.82 f0r the ye;r 1940. 8. .' .,- -. .. Disbursements of the Firemen's Relief Fund are for medie8.l and.hosplta.lization expenses, relief payments to disabled firemen, and for life insurance and health and accident insurance premiums on Fire Department employees. Relief payments to disabled firemen are detailed as follows: R. H. Hall Harry Lacy 6 months at $62.50 per month 12 months at $60.00 per month $ 375.00 720.00 .,.$1,095.00 Payments to ~~. Hall were made from January to June, 1940, inclusive. Payments were discontinued by reason of his death. Cemetery &ldowment Fund. The ordinary receipts of this fund consist of deposits made with the city by persons owning lots in the municipally owned Gypsum Hill Cemetery. During the audit period receipts tromthissource amot.mted:,1;;o ~175.00. 'Under the provisions of 6-702 R.O., 1939;' the city is authorized to invest the' funa.s deposited by lot owners and to use the income from such investments only fo:rthe purpose of perpetually caring for and maintaining the cemetery lots cov- eredby the deposits. Interest on Cemetery Endowment fUl1d investments, is, there- fore, credited to the Cemetery .Func', 8.nd is S1-lOW:::' ~rJ.cer Schedule 22. JJurir.g the :lcs.r 1940, the proceeds fro;)" Dls_turc'2 .:.l:....CstJ;~cr.;.ts il~ the ~;.r.~:>U11t of ,1f'1,OOO.OQ '!lore credited to the Cemetery Endovvrnent Fur::.d. liillcrest I\lemorie.l E11dovanent F'ar.Ld. T}-iis furl~ Vie.: createc. durin..; the year 1928 i...1pOll tIle CC11struction of e. TIltlusole.lun i:l :vy~psurrl I-2:ill '::e::rletery b~y Tile ~',~a~,::,olclli:1 :Guilders Corpon,tio.G, 'i:ichi te., Y.:anS8,S. J" history of the trs,nsactions of this fUIld is included in 8. specia.l Hudit report cOifETing the period from September 4, 1928, to April 30, 1939, 8,nd in the arD.lual 8udi~ report ror the J!ear 1939. These reports reflected the statL<S of the enUOWm€llt fUIlU, the amount owed to the city and to other creditors by The l,:ausoleur., ?uilders Corporation, det9,ils of space sold and urlsold, and detail s of mausoleu.'Ti space pledged by The jflausoleum Builders Corporation to secure the ps.:Y'1Eent of its indebtedness. The audit re- port for the year 1939 alsoi.ncludes the details of a judgment and order of the District Court of Saline Coupty, Kansas, under which a settlement was effected between The Mausoleum'Builders Corporation, the City of Sa.lina, Kansas, and other creditors of The Mausoleum Builders Corporation. Under the provisions of this "sett1ement'TheMa:uso1etimBuilders Corporation deeded the unsold spa.ce in the mau':' soleum to the city to be held in trust and sold by the city for the settlement of creditors' claims. The receipts of the Hillcrest Memorial Endowrr,':nt ~und during the year 1940 are summarized llinder Schedule 20 and consist of $171.00 of endowment fund moneys and ,interest on~ndowment fund investmentsamounting to $63.76. The above $171.00 "repres~ntsten'pe:r,c,entCif'the net 'selling' price ofmausoleilm' space sold .by the city during the year 1940. As at December 31, 1940, the cash and investment balances of the hillcrest Memor- ial Endowment Fund aggregated $4,870.28 as follows: Cash Balance per Schedule 20 Investments Owned per Schedule 28 $3,370.28 1,500.00 Total Fund Balance $4,870.28 9. I , The following condensed statement shows the source of the cash"and investment balances of the Hillorest Memorial Endowment Fund as at December 31, 1940: Gross selling price of mausoleum space sold Less - Cash Discounts a.llowed on original sales $66,850.00 2,145.00 Net Selling Price of Mausoleum Space Sold $64,705.00 .::".?;',T,otat'~mt61'1Jlien.'tij~o..1l~~'City (10% of !let selling '" :'''''i:''"pri';'s' of 'space "s81d)' ',' '$ Less - Endowments not remitted to cit;i at date of original sale and included in note of Mausoleum Builders Corporation to the City of Salina Less'- Amounts colleoted by the city and applied on this note $4,024.56 2,025.29 Endowments not collected by ,the city as at December 31, 1940 (ir~cl uded in principal of note due from The ~ausoleum Builders Corp ora ti on) 1,999.27 Total Endomnents Collected $ 4,471.2:: In.terest Collected O~ Inv"estme.nts 399.05 Total ~ 4,870.28 The followinf; statement SJ:LWiS the residuar./ equity of tl,e Ci tj of Salina - Hill- crest Memorial Endm,mellt Fund in the 8,ssets held in trust as a.t December 31, 1940: Spa.ce Unsold as at January I, 1940 (at agreed price schedule on file) $73,000.00 ,Le.ssp - Sales from January I, to Decem- ber 31, 1940 Crypts 4/=249 and =#=250 @$400.00 Companion section 2A each $ 800000 1,000.00 1,800.00 Space Unsold as at December 31, 1940 $71,200.00 Out of the proceeds realizable from sales of ,the above space" the city, under the terms of "', ~the:i~rtist:agreeD1ent.was obliga.ted a.s at De- cember '31" 1940, to distribute the following a.mount s : To the City of Salina for credit to the Hill- crest IJemorial Endowment Fund (10% of $71,200.00 ) Selling Expense (not to exceed 20% of $71,200.00) $ 7,120.00 14,240.00 Sub-total (Carried forward) $21,360.00 10. Sub-tota.1s (Brought Forward) $21,360.00 $71,200.00 To the payment of court costs as deter- mined by the District Court on Novem- ber 7, 1939, plus additional costs accrued to December 31, 1940 $3,240.20 Less - Costs paid by the City of Salina ::,' '{":'{::~3~:..~.'~>;~tt:~~;~f.'t~~ey,~;~O~;:6.!J"'~Si'"~:,~::~ 1~:J.97.o0 ," 2, 043 ~2o. To the City of Salina on account of a note receivable from The Mausoleum Builders Corporation (including interest to Decem- ber 31, 1940) For credit to the Hillcrest Memorial Endowment FUnd For credit to the Cemetery Fund $3,587.9p 1,305.00 4,892.93 To the other secured creditors (includ- inb interest to December 31, 1940) 27,263.83 To unsecured claimants e,027.87 Total as at December 31, 1940 63,587.83 Residuar;y Equity of the Ci. ty of Salina - ~i.llcrest uemorial indow~ent Fund ~ 7,h12.17 Interest on balances of principal duE" 8,8 at Dec0~nbcr' 31, 1948, will accumulate at the rate of more than $1,400.00 per year. Therefore, unless BIJ 0~ the space is sold wi thir:. a period of approxima tel;y five years, the residuar~' equi t~y of the ci t:' will be eliminated. Hillcrest Eemorial Trust Fund. This fund was opened on the c~,t~" 8 records dur- ing the year 1940 for the purpose of recording therein the receipts from sales ofma.usole1.ltnspace, andthe;di.$position of the proceeds of such sales. The re- ceipts and disbursements of this fund during the year 1940, a.s shown under Sch- edul~"20,are self-explanatory. WATERWORKS DEPA..."'tn:EJ'JT Fmm, Schedule 21. This schedule shows a summary of the receipts and disbursements of the Waterworks Departrrent Fund, which cleared through the city treasury during the year. As stated on page 2 of this report the balance of this fund as at December 31, 1940, does not include all of the cashardinve.stme!lts of the Waterworks Department Fund. Additional comments, ex- hibit:s'/'iil1&scheduies pert'aii11Iig'entire1y to the Waterworks Department are sub- mitted separately on p.ges 91 to 111 of this re~ort. C~LE;:'FRY YUI:D, Schedule 22. The first tax lev;:; for t:he 8cmeter~1 Fund was made durinV' the vear 1939, the proceeds of which were available dL:ring tre ','ear 1940. This fund, however, did not participate ire the distribution of sales t~x residue for the reason that this distribution W8,S based OIl the t8X levy i'or the ~'ee,r 1938. E. . . , , . . . ' -- The Cemetery Fund has an investment in e.segregated asset certif'icateof a local building and loan assooiation. This certificate is being liquidated by the building and loan association as the segregated assets which secure it are liqui- dated. During the year 1940, a liquidating payment in the amount of $117.50 was received and credited to the Cemetery Fund. The uncollected balance of this certificate at at December 31, 1940, 8J1lounting to $587.50 is shown under Invest- ments of the Cemetery Fund, Schedule 28. ,"f:lJl3~IG/.~Tli lU)R$INQFUND' ~ch~clu1e,2~,., HPr,iorto the year 19 49 appr opria:ti OAS. ....:.:We~e:.made':..(l:Ut'of..the .Generei.,Fwid~" Adininistra:ti,ve..and'..F.inanoe .;D~partinent. to,.the Salina Public Health Nursing Association. Since the statutes (12-1631 and 1632 G.S. 1935) provide for a special tax levy for public health nursing, such 8. levy' was made for the jear 1939 and this fund was opened on the city's records at the beginning of the year 1940. .RELIEFHIGH'NAY' FUND, Schedule 24. In the audit report for the year 1939 it was stated that 'the Board of County Commissioners had revoked their resolution under which the city shared with the count in the distribution of taxes on motor ve- hicles .and:motor' fuels, principally the gasoline tax. Consequently, no moneys were received for credit to this fund during the ,\'ear 1940, and the fund was closed. by the ex;enc.iturc of its ou18Lcc ~;l.s at the 1:cbiL.:.ir;l.6 of the year. CC:I\JE1Jll\.h.T~OlJ rL~\B, Sche6J.le 25. .1\.. .cri.ef hiscay.. of the (jE~_;::'~ trc"..:.~s&.ctiol1S of the CCl.1.denm&.tiol~ E-\lllC to ljec81-;-tber 31, 19~5, is iLc10.Qsc. :~..:".:. t;'~e sl.-~uit report for the .;-ear 1939. ':l}'!.cre 'Ner'e l'~O trullsactior.;.s l~-...~.al,S f'J,l'2.c d.A.~'ir::'0 the yeF.r 194:8 0-:;:'~er tl'~8..l: the pc:..~:{:nerJt ai' ~~5, 900.00 t,o ths =~;:.:.i .s:.:".:..d Il~<:eY'est ::\rnc. l>J co'vcr the prin~i- :--<.:.1 S.Ylr';' ir.l.ter est. f,)~i 01 i ";l-? S tr€ et \,,"'i 2,c:......8 t b o~~d ~ j LG d ,....~r ~l.:..G ~,::.:J~ :/c2.r J. '9 -18. =-~_ f, b i- ~.::. ti e s iL. t!-J.e anlou..::lt of 1,1 J4. 20 C '.J:;-iS is t:L,;.':; 0:" "-' is 'c':-- i '':;:~ ',.>)ur't: ..; cst. Sliver c-; ,-:l~p8 id i~S at Decern.ber 31, 1940. ~Che cit~t '::-:[J:l::!b~:'r '~lSS i:':'1dic9,ted tnc..t tllis :r:;lJ4.20 .v\"il:'.. be paid d',,;.rirlt; the .::'enr 1941, c,Ll.d that the re:;a8..i2:':irlt; be-,le.lice 'Nill. 1)8 tr~u""J.sff";-red to the Balle. a:ci.C :=:G.terest ?"..:u'ld.. C:)~'::STRT]CTIDl:.J :rT-C-iTD, Schedule 2e. The vr...rious COllstrt~ctiol-.i. ?rojec.t f.cco-uIlts are bro~red ur...c.er the above schedule, b.r~d the receipts, c:..isburs'?!!"~erits, a.zld b[;,lances of each project accouut, as well as the total receipts, iisbursements, a:1G. bal- ances for all constructioL projects are shown therein. Disbursem~nts amounting to $1,843.81 for tools and equipment include lease ren- tal.paym.en~s::amountihg to$1,On.55 on a new Internationaltruck. The purchase 'of this truck was commented upon previously under the conunents on the General Fund - Street Department (page 5). The above Sll.'TI also includes lease rental paj~ents in the amount of ~739.20 on a Chevrolet 1 1/2 ton Truck acquired during the year 1939. Additional lease rental paynents on this truck v.-ere mftde durinG the yee,r 1939 in the amow:t of $304.20. Upor" the final lease rentt:.l payment in 1940 the city acquired this truck at a total cost of $1,043.40. , '".:,. ,>~. ~ : .~.,; '< ,", FUNJ)STATEMElIJT OF INCREASES, DECREASES, AND BALAl'JCES .'. OF nIVESTMENTS, Schedule 28. This schedule shows the balances of investments Owned by the various fQ~ds as at January 1, 1940, increases in investments, d.ecreases resulting from the liquida- tion of me.tured investments, and the b8.18.1lces of inv2stments O'HYlec. as at Decem- ber 31, 1940. No investments had been acquired for the Firemen's Pension Fund. as at the close of the year, and therefore, that fund is not shown w1.der this sche- G.ule. 12. ."' . . CAsH.AND INVESTMENTS IN THE CUSTODY OF THE CITY TREASURER The total cash and the total investments in the custody of the city treasurer as at December 31, 1940, are shown at the foot of Exhibit "A". Under Exhibits "D" and "E", which are discussed in the following paragraphs, the deposits comprising the treasurer's cash balance and the particular investments comprising the treas- urer's investment balance are submitted in detail. CAS~.J:N ,,cUSTODY OF C;LXY TREASURE;R.Ex:p.i,p.i~~P",,~ Under. :t.4,i,~e;X:!li?j..t.i13,,~4own a, 'summary..stai;;emen:b',:ot~;the treasure:rt. s pe,:s.p;bUaIiq~ at'thebeginriing 0..f,th~,:p~ti94: under audit, the receipts and disbursements clearing through the treasurer's bank accounts during the year, and the treasurer's c&sh' bE'lar..ce 8,S e.t the close of the audit period. Under Schedule 29, bank balances, as confirmed to the auditors by depositories, are ,.. reconciled to the balances shown by the treasurer' srecords. ,In accordance with the customaryprocedure, the city's'-books were not closed until a few days after the close of the year in order that all receipts and disbursements aFplicable to the year 1940 might be entered. The deposits shown under dates of January 2, and 4, 1941, on this reconciliation, consist of collections appHcable to the year 1940. The bank recor;ciJ.ement alSD ::,.:.cluces Nr;-rants in t~lc; "lLOur.:t of t24,105.06, which were dravm in fa.-or of the state treasurer (;zL<:- tt.e :c,CLi;h of Dece:nber, 1940, pursuant to all appropriation ordir...ance enacted cy the gov-erniug: boc;; :or tLs pay- mer..t of bonds 8.Yld interest coupons maturiY1S on Jam;'8.r~' 1, 1841. These warrants were relea sed aD d c lee.:-"ed tr-lroJ,Gh t:-le t;<:,1;}: s c'-lri::c': tYie :7lox:.:h 0: Lee e:}'Je1', ]. q 40, but were not tmtered on the citJ's "scerds urltil Janua.rj, 1~41, 1'01' t:-,c reS-SOE that they were ca~si~ered as expen~itures e~plicable to the year 1941. The war- rants were drawn 8l1d released prior to Janue,r;;, '_, 1941, in order to make fmlds available in the fiscal a;;enc;/ for tne paymer..t of conds I,ud C:;'TOllS m8turi:;~G on that date. There is al so shown under Sc:-;,edule 29 an adjustment for deposi ts made on December 30, 1940, cO!lsistLl; of 1940 t&xes due to the city in 1941. Although these de- posits were made during the year 1940, they were entered on the city's records in January, 1941. INVESTMENTS IN CUSTODY OF CITY TREASURER, Exhibit "E". Under this exhibit there is shoWn a complete description of the investments in the custody of the city treasurer as at the besinning and closing dates of the audit period together with details of the chanbes in investments d.uring the period. Investments in the custody of the treasurer on Januarj' 3, 194,1. were verified by inspection and changes therein during the period from December 31, 1939, to Jan- U,a.ry .5.;1941~wereveri.fiedbythe auditors. ,Interest coupons on bonds were pro- perly accounted for, and income from investments collected during the period was traced into the record of cash received. TAXES The city's share of collections on 1939 taxes W!iS computed by the auditors and traced into the various City of Salina 1939 fund tax accounts lnaintained by the county treasurer. It was fou,n,d that the city haC. been credited with its proper 13. . - . . portion of such taxes, and that the various city fUnds had been credited'on the basis of the tax levy for that year. The auditors ascertained also that collect- ions of 1939 intangible and special assessment taxes had been properly allocated to the city. From the records maintained by the county treasurer and without a detailed examination it appeared that the county had distributed to the city its share of collections during the year 1940 on taxes assessed during the period from 1932 to 1938, inclusive, and that these distributions were made to the city on the basis of the tax levies for the years in which the collected taxes were ::;,;';J~~rj,.ed., .... It.., was determine dal so" tl1at,:the~i t Y(;}:r'ed~t~d .cqllel?-ti OQ.S .opo ,del :!.nq uent -',;;:;;:.taxestothe c'ity' funds ,-on the same' basis. . Duringthe..year '~1.940cthec<>uIity;reml~':' ted to the city interest collected on delinquent taxes which accrued after the date of the sale of property for t~xes. The county treasurer's allocation of sales tax residue to the city was scrutin- ized and found to be in accordance ~~th the statutes. ',Cm.1PARA.TIVE STATEMENT OF TAX LEVIES AND ASSESSED VALUATIONS SH07HNG THE AMOUNT OF 1940 TAXES DUE In 1941, Exhibit "F". The city's tax levy in .:nills by funds for the :,Tears 1938, 1939, and 1940, and the assessed valuation of tengible and in- taIlsible pro~erty in Salina for each of those years is SD01Vll QDder this exhibit. The 8JT;0lL.'1t of taxe s due to the city d:...lr L<:, 'the JeG r 1 S 41, basec;....:=)o.:.~ the tox If"ry a.ac. s..sses~ec. v5-1u0..tio:'~ for the ~t'e~r lS40 e..rid upo::.:. the s..r...-..ouL.t of special assess- ~e1~t, taxes certifieci 'tJ the city to the CO'JI"ty for collectio;:-;, is 81so s'rm;r" ....1.- der ~tis stats~e~t. Tax le~iss for the years 1939 a~d 1940 were c}lecked ~o the st8ltutes arid it 'N2.S c:'.eter.l'Il.ir~cc. that t.he, J (:-'Ties :2or :~~:GC.}l .f'-,,~Y...d ~,r.;.i. t:-;(~ ~ot[..l le,ties "sere within the limitations [-ro1liaed b,j' :!..[.w. :;:t .'iUS "faria-cion betweer.. the 194-0 t8Z le.\t:i i'o~::h.e ;-:--.:-...'?:-s.J ~oted thE..t t~le~8 ",,~:t r. ("' <C':- ..... .....---....... ' rl.~.:;_ W'3.5 f slight ___.. -:.he -:c;;.: lev:/ b~; t ~'l e ~ O:.l.L t J litt:l e C2iL:.S ('- orc..in.e..rlce erlactec b:'l the Lo\rer:li!".;.~ oody, 2dlC tLe t,?~" J ev',. l-lsed ~lerk i.r: exte'::-.:.clr~G t11c J.:-,s~~ ::..(;lJ,:~,. ~}'.:.i~: -~.-~ .;.~:.~ ",~",_..., ~1c>scvcr, 'N; r~ ~J:: ~'C.er:i.ce fro]:~ t~n.e stc_llc.roi~_t of th.e aJ:10tU~t of ts..xes to be ccllect8cl. lev.'! for tYe .'i'e8r 19.10 ;;::"S :::'[l'roxir;"at,sl,y elLS 8.;"<::, ;Lc-h:::"i.' Li1J.c levy for the preced~n~ year. The tott..l ts.x ~. ~:.' s s th8.!. the Special assessment ordinwlces en~cted ~~rln~ the Budit period ~Erc .rE~ed into the special :::.ssess;:,cnt records :::-d..iD-'cei,aed b.Y' the city clerk. i'he clerk's com- putation of 1940 ilistallments was test checked. The total of 1940 special assess- ments, as shown by the clerk's records, was compared to the total amount certified to the county clerk for collection with taxes. In the' audi t report for the year 1939 it was stated that in a number of instances che rate of interest charged all 3pecial assessments was ill excess of the bond issue rate. In the cit;y clerk's certification of 1940 installments on, special 8.sSeSsmeLts, the rates of interest chs.q,;ed vms adjusted to correspond with the bond issue interest rates. 'SUMMARY'COMPARISON AND RECONCILIATION OF 1939 TAXES (DUE IN 1940) ASSESSED A...N'D COLLECTED, Exhibit. "G". Under this exhibit the original tax roll e.pplicable :.J the City of Salina, as certified by the count~ clerk to the State Tax Con~Qis- sion, is adjusted lor additions to the tax roll, taxes refunded by the county, and taxes remitted to ;;he cit,',., for the p'.lrpose of developi;:c; the amount of 1939 taxes assessed but not collected by the city. The ~~ount shown as not collected by the city vms test checked to the county trepsurer' s recorc.s of uncollected 1939 taxes as at the date of his lest distribution prior to December 31, 1940. 14. :;'i;;~:'if.:.:;, . "', Thtt"statement shows that 93. 660 per cent of ad -Valorem taxes, 80.447 per cent of special assessment taxes, and 92.603 per cent of the entire 1939 tax roll was col- lected by the county and remitted to the city during the year 1940. STAT~ OF TAXES RECEIVED FROM COUNTY TREASURER SHOWING YEAR OF ASSESSMEKT AND DISTRIBUTION TO FUNDS ON THE BASIS OF ASSESSMENT, Exhibit "H". This statement shows the total amount of taxes received by the city during the year 1940, and the years in which such taxes were levied by the city. The allocation to city ,'yf,unda:c,~$~Up~;:t.b.e,l:>asis: of. the, ""axlevyf.or,th~ "y~!a,rsd.n.,whi.o.h >HI;~ ;'colle.ote.d".tax-, '~.es:w~rkl'';;ievie'd~'Schedule 30 shows the allQoationo.f.'intahg1ble:and 'tangible tax.,.' , es to the various departments of the General Fund. ' The individual Fund Statements of Receipts, Disbursements, and 3alances of Cash for tax levying fU11ds, Schedules 1 to 27, inclusive, shows the total ad valorem taxes received b:l each tax levying fund or fund department. This exhibit shows ananalJ!sis by funds as to delinquent, current, ta.n.gib1e,andinta.ngib1e taxes received. Your attention is directed to the item of $1,116.13 shown as a credit to the Gen- eral Bond and Interest FUIld in the co1uJ'lm "Levied Year 1931 and Prior Years". This GJ110Cl.n.t represents collectioL3 of sf'ec::.al 8.s:::essmel:t taxes levied ill 1931 a:Gd IJrior /ear.s ':.~r~ich "Onere reD~.:.tteC: i[~ :'J.11 by the cO~.~-:J-~ to t}-le city irJ. t~~e ,yiear after &SSeSS1'"!le~~t. T~~c [J~:0lxr:ts o..1.:"'er=~8i.d .:0 ~}~e citJ i..:-... t~;.is ~O.d!-.:.Estior.. ~liere "tJ-1...G bs.:::is for a judgme.r;.t obt[ inee. by tl:e Gou..:'lt~l 3....--."': -~2d c.. -::-..e c:....:;y. ~~.t."Cl~ rc.Y~Ti.erlt of the jud;lYie:at the .:;it..>: beca::T~e er~tit18d to receiv-e C.':i.~, :;'!(101J.L~S ,~ollected by the CaUYlt~1 or-.;. special e.sse~:srTlerit taxes ~p01.1 v;l'_ich:.r-"E: j~.~b!r~e11t ~T~.S l~o.sed. ;:'~le ~lJl15.13 received by t}l€ city d~rl~~ tte j8s.r 1~4J i~ crediteci to t~:e EO;l~ ~~,~ Interest ?~)_!"-'-(: to r,f.rtisll.1- crfse-t t~-~e t?-.n:.~)'.1.I~t 0::" '~[;~xes li\=_C h ,:::;;.~.t Gf' :.8.=_ see: .L.;o ~"n_ tire the prir::.cips.l eYld to P~.'}' thp i~-~teres-: ::\L the j-c.d[;1r:8L.t b'J:..Lc. i.'=:s'J.e. l'hi:: jud;mer;.t !JEt::; bf::e:: .::!ai~l ~:l,.~t n2.s ~10t t'eeY.i. ri~:l~c:.sec. o:~ the judd!lt~~:;.t 8.0CKet of the District Court of Sf;.liLc Cou~ty. Under a decisio.':": of -:he }=2.~-.LSOS Su.pre!ne Cou.rt ill the cEt.se of St8.te of :'::e..rJ.sas ex rel v Peterson, 147 Kalis. 626, the tex situs of cash 8..:-..d accounts receiv&ble which are transmitted to the home office of a COmps.llY WE,S held to be at the home 9ffi<l~,'Clfthecompany. As a result of this decision the City of, Salina lostap- proximately $1,200.00 revenue per year from intangible taxes which had previous- ly been paid by the Kansas Power and Light Company - Electric and Gas Divisions to Saline County. CITY CLERK'S EE70L'lING FUl'JD SUl;TI,Ifili'f OF DEPOSITS :J::1:; Cli:BCY.:S ISSLJED, Exhibi-t "I". 'Cneer ":;8. sj'J in '::ustody of City Treasurer, Exhibit 'D' ", which has been commented upon previously, there issho-wnaba:hkaccount balance in the amount of $500.00 which is carried on the books as being in the custody of the city treasurer. That muount, however, is on deposit in the city clerk's revolving fund be,uk 8,CCOU.YJ,t. The city clerk uses tl'is revolving fJrLd G.CCOUJlt for the l,8.jmcr.-: 0:' cer"~8il; c18.ims against the city, principally for freight, c'.?ress, 8.nd postase. lie is subse- quently reimbursed for these payments bJ' re';Cl.lar cit,y w8rre..nts issued upon auth- ority of the governing body. The above exhibit shows a clnssification of such dist-,c;.rsemer...ts, which e.rr.ounted ir" total to $3,076.60. 15. , " . '. .... , ",' :;. ':.:' ;. . . ~here is no statutory provision for a revolving fund such as the foregoing. 13- V 2107 G.S. 1939 Supp. provides that it is the treasurer's duty to receive and keep all moneys belonging to the city and to payout the same unly on warrants drawn on the director of finance and countersigned by the city manaEer and not other- wise. In the opinion of the city manager the expenditures out of this fund can be curtailed or eliminated by making arrangements with the railroads to pay freight and express charges monthly in the same manner as other claims. Similar arrangements have been made with the railroads for the paynlent of freight and e:xpre~s:5~~Xg~!)~,utpftp;e, w~terworks DepaxtIllerlt , Fund._. .. Othe.z: . pa,yn).ents . v.hi ch ha,ve beenmade.o\it' of"the;~ityclerk' s rev61vingtund, supp.as: "th().se.fort4e:pu':tch~s~t of postage sbimps,' traveling expenses of city officials, and similaritenis, c;U:1d" be paid monthl;y in t},€ same mDnner as otr,er cle,i!I1.s. CO:r:L'llents as to the verificfctioL of receipts [:.I~C disburser:er.ts cleared thrO;l[:: this revolvir.lE flA::1d are included bellJw ullder the comernents m: t~;e verifica.tion of cash receipts and disbursements of the city clerk and city treasurer. sm~~~'R.Y OF ACCOUrTINJ PRJCYD1JR'S LID V:::::?I?ICATIJl. Dr :q:5:Cr-:IPTS A:']) DISBURS~~ENTS OF CITY CLERK ArID CITY TREASURER ?=C=I?~lS . The ci t.v clerk 2.:'10 ,. direc~nr 0f f~nance is t~e :rincipal c 0 ~_ 1. e c~;ir:6 ?.::d 3. C (~. n~.ir... tiLe:, {~' ffi (>~ r. !~~_~. ~:_ +- (:~~s ~: ce:. ~ L ~e c~ ;-: j_ "',~eC:, ex~ el---t tn.:i~e ~ ~~~ ~~(~ i::.frecu P-Ylt colle~tiC'rls re("(,.~tred :J.jre(~tl:,r 1\/ the c5_-:.~r ~re8S');erJ C.2-~~' ('J.~:.~k. ~~:.e ~it~:. clerk !::..r'2 cj.t~ +:rD~-"5' !'.~-;r ~:'.i'''P l iCHte receirt i'cr:."rl::-. ~~.uy,1~.r'rE;n ~~{ t-hc ~'ri~;~f-!" .. ~,~ are handJ.ed firs'~ by the ~~cv3.:~c~ ~~jtl: st~__d0rd t~ir- - - :p~..-: :~:.~~ ~ 'c i Sfl)C(-l f.-:'!' p:;\c~ i~~divid~)rrJ_ ccllecti0~ ~?dl: }:. ~},~sc n:fi~~r? T!:e clt~, ~lF-:r dEf22~t~d ~o].lF'~- te~.t c~eck 0f ~,~~ ~e(':.::,:"'ds .r"": (2: '-:"\.' ;'r: ,',' ~-, J. } p r',.I-.~. ,~<::: s "'r tY.rr;C :-: ",,_ '/j,~:;r c-11::';':' <: --': .l'.-:.-4 ~<~.~,j 'i L:. r"y:. S ~.~,:~_ j c t}:.~ r-! 1"'1 c ,_.00;..-. ~.~C ~.......-,~ re.~'~:> .-: '. ',' ,.~.. .--. ,', ......-...----......-. ~:, (' c. ~- _ r- - 0.1. '/ L .--..".L~ ..~:_d :.~or::rtl~/. ~l:p citv tr~~tsur€r reports efrc:- ~f tis sollec~i~~s sS~&r~t0~.~' ~o ~}le ~it:r clcr~ and such collections are recorded er. the clerk's ~ash recei~ts record. The city cJE:rl~'s recor:iR, there=':'r~~, r'.:::~lect ~:~.11 cclJe~t.i()":l:::. =~:':~dc 1:0:,..- t:jC cd.t::.. ':!is ~~?- cards indicated that t~f ~i~y tr8as~~r8~ h~i pr8~ptl~- jC~23itcd sll. Sl)ll~S 0f ~'\~p~. corn.i.r:g into :-_i s he..~:1ds. Duplicates of receipts issued during the audit period by the city clerk and city treasurer were traced into the clerk's record of cash'received, and the mathema- tical accuracy of tbat.record was verified. Theauditors scrutinized the fund classification of receipts, as shown on the clerk's cash record, for verification of f~Dd distrib~tio~, and the classificatio::1 of receirts within funds wBstest checked. ~:'onthly tota.ls of fulld recei::ts wen; traced fromme cash receipts re- cord into the fund ledger. The entries in ~he cash receipt~ record wer~ a1.so :r8.ced i::::.to the recei~ts __~rp~J+J'sis re~crd, '::~~.ld ~:'~-lG~ record. Vi~'.S rroven to be rnc.tr.:.e- matically correct. Records of licenses issued and other available evidence of cash received also traced into the clerk's cash book. The collections of the city clerk traced into the treasurer's ba~l~ account. 8GIJ.ecti8~s oft~l.e treasurer wert traced into his various ban}: accOll,nts. The th::ee local banks were s.pprovea depositories by the governing bod~l on June 19, 1933. 1v.-::::-e "(., ''',':1 ,'. . '-' also ~s A cOlAnt of cash on hand in the office of the city clerk was rradc by the auditors on Januar~:'" 2,1941. Cash flY:' l-:and 9.pplice.blR to tr~e :,Te~~r 194('1, as u-s the df:.:.t8 of the cash count, plus subsequent audited receipts of cash applicable to the year 16. 1940 were determined to have been deposited in January, 1941. These 1941 depos- its were entered on the records as at December 31, 1940. Cash on hand applicable to the year 1941, as at the date of the cash count, was compared with the records of cash received for the year 1941. The duplicate re- ceipts indicated that a portion of the 1941 collections on hand as at the date of the cash count were received by the city during the year 1940. In accordance with his customary procedure, the city clerk did not deposit these advance col- J.e,c:t;~l1.~;}l:Q.tiL~f:ter,the...clQl>e of. the, audi tperio4. , ' :'.<';<~-c':-::-:'"~-~,_t"ft::}~.;,~,,:~,,...;..::.>.:-~:-t~,;>\~><~',,",.-:'<>"~',.~-..-;~.-.~"",-'_,-' ._,',>",.' ". ", "., o. _ - " ""'_. .. - . . .'-. ," ,- . . DISBu~S~1ErITS. Claim vouchers paid during the audit period were examined by the 2-udi tors. It was neted that a fe.v c12.im vouchers were incomplete as to approval. Approval of these claim vouchers was obts.ined at the sug[estion of the a\lditors. The additions and extension on claim vouchers were test checked and a few errors, each involvinG only a small amount, were noted. Claim vouchers were traced in- to the clerk's wa.rrant register., and tbe fund distribution was test checked. The mathematicaFaccuracy of the city clerk's warrant register was proven, and the fund totals of each appropriation ordinance were traced into the fund ledger. Postings were test checked from the clerk's warrant register to the disbursements an.al~'sis record, and t~,~,t record wp,s :;.:rover' to be mathematicall:>' correct. '~~e cit~,;. uses f3_ Vv8.rr~1.rr~, 'furFI for making disblJ~sc}'j'":e_~.;tsJ :V"l-lich becDmes :~ ~t8ck UD- on. being siC,!led b~,c- t.!!8 cit~.r -:re8.sur~:r. 'J"'1:.e tre8.s~J,rer used f~. rubber st~~~.r1p fncsi- y-:iJ.e of his SiGLfiturf~. f':-r thi.s .F1..:r,pnse. Cs~,:,cf'l10c. c;~'1,ccks w'lere exarc_irc.ccl checked to the apr;.'.~,?riatis~~ ord.i!15.LCf:' r.;--'ccrd. :Er:d()~":J(-)_'Tie:~t.s iNere =-Y~c":~nrlJ.f~:€' on e]F,ven checks; how'.;\' Y'j each of theSE c!'Gcks N<,re rf'::"J.-'rly 2.c::;l)ed a~A c.[\:lC'el~,8c:. b~T tIlE' b:3.r.:J-:-. Fivp of ~~Le~~c i~'~-;ec~-~s V-lc::e pl.:.dc'l--C)cd 1~.:/ :',~';r2 ~]L~~ n-~"-iCY" -:::Y[;,:: ~.:.}-~C r,'~~rcc. Jl'le cl'.ieck V.;11i0h WD.S rCbu12..rl~: iSSL'€cl ~i..':-lC, I'aid r::;l -tr..e bC.L:; -~T'[''3.i:) I~_O-t ~0:.:n!ld ~-..r'~;')l-iC t~-"c cHllcelled checks. Jill. di s'b~).rselnents ?r~ade by t}"!e 8i t~: t:eaS~Jrsr "1lf:~'Y"(! lrr..-",-.-~ tLo al;'Gl~0rlty of apprcpristioL ordj.!la:lcPs e~acted by tlle [OVerlli~= tody. Durirl[ tt.G CC'1;rse of our2x8.T!1ination of the repcrts of the 3V;lIT1l11_lY~G I''001 cas:--~ receipts, it VfHS noted. thfit tL.A Jl1aI1D.[er had i:n sonle ir.;.sts.nef:""'s r1ade disbursenlellts o~t of his collections and that te had remitted the balance to the city. These disbursements did n(,t ir:vol ve a subs:antial sum; however, it is recommended tr.at the receipts from the operation of the swinming pool be deposited intact, and that claim vquchers be'filed for all swimming pool expenses to be paidintre regular manner. DISBURSEMENTS OUT OF CITY CLERK'S REVOLVING FUND. All checks issued by the city ~lerk on his revolving fund were eXBJnined, and it was noted that cheeks for pos- tage were issued to and endorsed by Charles Banker, City Clerk, rather than be- ing issued to the postmaster. Receipts for postage purchased ....rere not ordinarily attached to reimbursement vouchers; and, therefore, it Vias not possible to sub- stantiate disbursementsin the amount of $271.44 which were reported by the city clerk as 'being for postage and box rent. Other disbursements made by the city clerk out of this revolving fund were ordinarily not supported by sworn claims but only b:'l invoices, receipts, or memor8,nda as to the amounts disb'.J,rsed. Fur'll LEDGER. The city majEL'ins separate fund accounts for the cash a.nd invest- ments of eqch city fund. PostillgS to the fund ledger were traced from their source into the fund ledger, and the mathematical accuracy of the ledger was proven. Fund ledger balances were computed, and. a trig,] balance was abstracted from that record. '17. TREASURER'S RECORDS. The treasurer's record of checks issued.deposi ts, and bank balances is maintained by a bookkeeper in the office of the city clerk. This re- cord was not maintained by funds as is required under 12-1016 G.S. 1935. CLERK OF CITY COURT STATEMENT OF RECEIPTS, DISBURSEMENTS, Mill BALANCES OF CASH, Exhibit "J". Under the above ey~ibit is shown the balance in the custody of the clerk of the city c9urt .as, .atthe,be~,innin.g. of .t,he, audit. period, ~eceipts . Afld. di~,l;>urs,ements, during 'theaudit~p~riod<asdeveioped bY:the,alidi.to'r~:;'rroIlltheie(jord:r qi\',the:clerk -of ,. the city' court, and the balance in the custody or' the clerk of th.e ci ty court at 'the close of the audit period. At the foot of this exr,ibit there is (elso Sh0WD a sununary statement of fees on hfl::'d and case balances as at December 31, 1940. Details of the clerk's availabl~ balance as at Decerrner 31, 1940, art' shown un- der Schedule3L This bal8.nceconsists of cashon deposit in the Farmers Na- tional Bank~ . The clerk's bank balance, as confirmed by the depository, is re- conciled under this schedule to the balance as shown by his records. ~he clerk of the city court maintE.ins chronological records of cash recei~ts and cli Sbl)rSernen"~ s, E' ledger of case bala~1ces, and a ffilJYlthl;)T reconciliation of case balances -;ilt1-- l'is ,,8S>, 1,olslce. The auditors corr:p~~red dv.plicate copies of re- ceirts issued end cfl,ncellec c',. "'c~:s \V::,~'.c t\,c chronoJ o:~i('aJ ".:;cords of cash receipts and disbursements. Tile docket records we""", .-,] -;:r. ~..,,';:"),ed:pd to the records of cash recei;:,ts 8.nc. disburse!'1ents. ~'he sash receip s :u::.d dis8ursemeilts record Has added, sunm-i8.rj_zed, arid re~011c=_lpc to rec~i~:1.:S Cllld diz"":J ':'"f:Cl:,crts :-:.8 :;:~:Y""~~;' ~:: b2l~1: st8,teY:"ents. The disbursements of the c}cr;~" ,~;'-. c>-:,\;rt ir.elud.ed remit'Gances to the city treasurer in the amount of ~~;l, 927. 70 '~Cr00\:r~: cns'~s, n',.: :-" :",nounts were veri- fied by comparison with the records of the city clerk. ~2ymeLts ~ade to the sheriff and to the county attorney for regular fees were supported by receipts signee. by these official S 'iildwere verified by comparison with their fee reports to the County Treas~rr"'r. ':',..~T1E:rrC~ taU's county treasurer ..'Vere verified by com- parison with the records of that officiaL c,titer f8~rments -Vl'ere verified. by ex- amination of cancelled checks. Your attention is directed to the fact that while fees charged were uniform dur- ing the year under audit, the amounts on the fee schedule used were not in every instance the amounts specified by 28-127, 28-128, and 28-136, G.S. 1935. The case balances as at December 31, 1940, are permanently recorded in the clerk's ledger of case balances; and, therefore, it was not considered necessary to list the individual case balances in this report. POLICE COURT FINES AND FORFEITURES A police sergeant acts as the collecting officer for the judge of the police court. c=ntries on the p01ice department blotter reflect the amount of the a.ppear- ance bond deposited; fine imposed, if any; fine paid or worked out; and otherin- formation pertinent to the case. Upon the colle~tion of fines, receipts are is- sued in duplicate, the original of which is delivered to the person remi ttinc for the fine. The duplica.te receipts are retained in the police department files. Cash collected durin[ the course of the month is placed in individ.ual envelopes bearing the police department blotter ~-:,u]T)ber. These envelopes are retained in 18. the police department until the end of the month~ at which time all envelopes con- taining either cash or evidence that fines had been worked out, paroled or dis~ missed, are delivered to the police judce. The police judee, i~ the presence of the ci t;;r clerk, opeLs each envelope and checks the amount of the cash e:lcl::>sed to the amount of the fines in the case as shown on his docket records. Suitable en- tries are made i"" the docket records of the police court rclati ve to any fines which are worked out. The judge of the police court prepares a monthly report of fines collected, appearance bonds forfeited, and fines worked out or paroled, '."fJftiC.q."i.s;sub~~~~dt() .th,e:,.c,.j.,ty ,c:lerk~ ywi,~hhis:rqlli~j:;ance of. ,tDt?,total fines ,col~ . ..i:e'ct,e~ aiid"':appearanc eboiid~"t.prfei:te,d,,~urin.g,~he.:' periOd.' . ,.'T~~'poli ce ~depart1Yi~n.~". prepares monthly, qua'rterly, semi-annuaTandannual reports to the city manager, which show a sun~ar~ analysis of fines imposed during the period, the total cash collected, the total fiLes worked. out, the totu,l fines }?D,roled, tLe ~!c8.rs in which fines discharged WGre imposed, ~ dEtail of uncollcct~d balances of fines imposed during the period covered c;;" the report, and' other pertinent information. SlJM}ft-ARY OF POLICE COURT RECORDS, Exhibit "K". Under this exhibit there is shown the balance of uncollected fines as at January 1, 1940, asssssed during the years 1932 to 1939, inclusive; fines imposed during the year 1940, classified as to the nature of offenses; fines discharged by being collected, worked out, paroled ,__,yo rl~ 2.~~isf.ed; <:'~~r: tr...e l"")5.1~_n.ee dv.f' frcrr d,F?fe::-ld~:;.r:t.s f:.S at't)eC!?r--.Dcr 31, 194C. .!\-t the foc~", of this e:xY::.tit tYrfrf-~ is [..~'=-e::::;.:~,-j fj .:..ct':~~-:':'0~ rel~-;t:i_1]~-' t-,c~ ther;..~'r;.Oll~~rt. ':':: ri:~-'~~ '--'~--:: seE: v.[~~ich rsre a~0ca'p~ t~ ~t~, di~tr~.~t ~~_rt ': s .~, j. J ! P .,- -. ::. ~-; :~ t~ Je- ce~bcr 31, 194C. ::-:.( r:::c 5U"ff; ~"8 ~Y.:f~,2-.....(~l.~ ~l~_p i,':)~,~ ;.- -t>-:- .:-:_}"()v..r:"_ ~lS d:Je frc:r~ :1S- feT~('3s_:.~ts 9.t~ t~~~ ~lr,,,.:,r l~ :~~p :"e0Y". ...;.. L--}-': ~3 't.:.:..S~-:' ti r.~~- _,\rp r~, n~,'_~:.:is- ~? ~ -t;;,,;. '~~-.~' e ...~..,,_~[; -"::_',,10 "': :=-r.:.~~c: :-..-...,,- !""Is'-...... ~ ~:...'""'''''' ,r- ~~, -- ~~:z:, !..:2~C ,,~._-.,-('"'~_. (:-"'"\llcctib::"JS,:,'_' 0-["' ~=-~.i.-~<~ '!:r:D~\_~.rl .~: -:: D8~.~)!:--1; r" ~1, l?i1:-.. \ ~': _ .. ' ~"'i'!': ",' ;c ::.~ :~_t:~ ~~';e d,--=,pliec..tes of ;',", s~~" rF:'~I~ v fC'r~rs :0:...;,:, :_-." "' n ):::1,,( ..._ :~l i.C'f-; ~1 :-~ ~...t:-r~~ __t Nf~rf;_ ~~-~.:;c~-:'ed ~~C -t~1P ;81ice de;qrtEe~t tlct~er ~:~d ~C jp~~il~d li~-~f 0~ ~~~es tJDcollected &5 at the beGi~-...-:-;iLb ~f 'sLC' 8..udit ~criod. -~,?~:-:,r~:-c1')ts l~.c1 ~,;",~'"',~,:,,:.>:: _,_~-?,c<'~(~':-J~(:; 1002':0 c. ,-_\T.:..1 ope s VJ~" r~ ... e s-~.-; _.~ 1-: ee k pc. t ~ --:l~r- ~--o 1 =_,~ (:; d c::;p~_rtrJ.e:::2.t 1~ 2. .", <~~, (~r ~. __(~ -~}-"lC b 1 :lt~ ~r ~ (: st- C~f<'~tpG. ~G t1-:..8 =-,[",l~_r..e C',~)-; r+-~ r1....,~1, t.,s. !\rlC)~~,t~-l:; ""':?I0r-::s :-~'~dc: b~r t,}-(-" ~'lj_eF: ~1)d3C: t::: J.:::l~_e c~ ty c 1 f-:'r~= 1".~,-- rf: s ~~-;::-,-Y~"~ ~~_ z (' ~ 2-.-:::-;,0 C' (1?~-:-- <:" r,~...... 'r:.. t:-. l,:.Y i;,]'-'-(': lie e d cr~r.t~.r:--.e 1.... t' S 8..l:l- nual report to the city ~s_~~cr. During the audit period the police departI!lents adopted a receipt form which is numbered by the printer. CITY BUILDING INSPECTOR s':n,~.:"IL>tY OF RECORDS :::'F CITY I/:n,::;n:G D~SPEC~CR, Exhibit; t1Lt1. The records of the cit~, buil:iing ins~}ector forthe rerioc'. frc~: J8.r~uGr~' 1, t., Dec'Sr1ber 31, 1940, were examined by the audi~ors. Cash rp~~ivcd ~ror1 the cnllpctio~ of f~ps and the is- suance of permits, as evidenced by duplicates of receipts issued, were traced to the register of colleotions maint~ined,in~the.building inspector's office, and. from that register into the monthly reports and remittances to the ci t~T clerk. Under Exhibit "L" tl1ere is shown 8. cla.ssification of the collections of the building ir.spectsr. Fror1 his collectioEs durL:.c: th- ~'0:?r lS40 the buildir_g ir:.- spector withheld the sLIm of $8.80 on account of oV8r-rel;1i tta.nces r:19,dc ta tLc ci t;y during the year 1939. In his report and remittance to the city clerk for the montt of DeceTY1ber, 1940, the b'~ildiE':: L~lspect')r, at- the su;;~('stio,'" of' ':;1,8 audi- 19. tors,'included $2.80 representing collections during the'first 'eleven months of the year 1940 which had not been included in the regular remittances to the city clerk. The records mair~ained by the building inspector indicated that there were no amounts due for inspections and permits issued through his office up to December 31, 1940. ../ Revised Ordinances 14-608, effective Februar;y' 12, 1940, provides that a fee of $1.00 shall be charged for taxicab inspections. However, a fee of 50 cents was c~arg~o.f:or,al1,ta;x:icabinspecJi.9ns ,throughout. the year 1940 and al:so for two inspectlQns' appiicable" to the yeat'J.94J:::heforeJ;heincr'easea. .fee of'$l.dO was put into effect. . DEP2SITORY EOrIDS cmpA.fus:}~i' OF DZPOSITORY BOlmS Al:D 31':.LGC:SS 0:;: :::;:6PCsn. Exhibit "M". Under this exhibit the balances on deposit as at December 31, 1940, are compared with the . amounts of depository bonds pledged by banks as collateral to secure the pa~l1nent of these dc.?osi ts. The local banks !;.ave pledced 'Cni tee. St"d;es gover!'Jnent or Kcn- sas Municipal bonds as collateral for deposits of public moneys. The governing bod:' does not 9,pprovc depository bonds as required under 13-2107 G.8. 1939 Supp. :.'r~e 8..1) di t 0 ~~, .~._ ~ (' C;!..tE~:" 2.. (' d. ~:Jl:;_~, ,~: .:. f' c sit c;'"'~ b C'LC: ~- :=-: ~ p r1 ::./~:.l b:.' r<;.~.'.:.~-,~ s [.c1 (~-,; ~~~<~ -~ 81:1 s e- eLl.red ~~>c oc!>'):=-;:'4.~~. a.s ~:t Decc::J;~r ~~., 1Q4:=., ~:l~""",~ it E.l-'re~~_~8d t!'Jat derc)::.i-:,~ "'.vere C~(j- eCiiJ~tel:1 sec:;.rec at 2.l1 --i,:i:::cs '~ur~:...:~s t}-:i: ~ p~;.Y". Jep0s~tory bc~ds deIl~sj.tnry ~~~!lds held fo; :..s.fe l-~.e('r'i~::'L ii~ l00~;.: C';_~_. f :~.::..:.c ~C'('. ~ s e,"-,:. d.e:~c i~-~g ~. -:.~ p :<~ ~_c f'e ~_'_"''';C> 1-- ,....,L ,'-;p -;"~L'-'.f;:" L'C.':'->.'~~''';'-:'re ~.:::2- ~~eC'::~:"c. t':,' t:-~c ~-:;.l.'_-J::. -:/~'l"f fY' ~r.r;.1J.~.~.;:~ ::, J9L! 1. Je;r:~~ ~.-.~~~.. l-~,:,.~_r3.S ~:.'.:-::--J .~? :'""'0; ~s.fC'~':'E'':::;~""'I- ::':rlE; t.y o-.;t of tCVITY_ b8.l}1::~ ""'ipr~ c/)~'~:~:.r~~:::(:. 1=,~ .....--,,~~':.S~~--l_~:.."'_Cr.; 1,~"=."'~J._ ~L:::-;: t::-.:_~ s. _:.. r.t ~:>?'~'v!':'t.er 3J, 1~4-J~ tc-!~-ls ir.:. t~l'S .s~r:"OUl'...t of C50J90~)~C-C\ ~}.8c1[e;:: b~- 'cLs' ?'l'"~_::~.:.te~"'s st-=:.t:... :28.::-.:.k r:~:r~d held b~" t~-~r ='.'~e;c:l~L~-:.t2 ~~2_~.;ior;.8.] 3?:r~k, ~'C'I!ek8. J l<~C.~-,-~~f s, h:=;..d beeL. tr8.1:sfer::cc b~r -the ~,:-ercl~'3.~~~~=s ::.J:"l.viOIl8.J. .su.::k ~ ~c:rcl"_~:_, <~~.LSS.S, -Lct.Le ?i rst ~~'~.ti.o:~9-l ~~,,-r~~'~, l-::arlsas Cit~r, ?,'Tissc~)rj_, for safe l;~eepill=. l~s st8.ted i:-~ ths ~;,.~d~t rcr-crt for tte year 1939 tt~e stai:~tFs 9-142 2.S. 19~: ~~~fl. ~:-;~;~rp tliat brrds pledced 8.S (',011atr:'r8.1 be I'llf-:_G("~ ir. s:J..:c >~e(.7'=--.'i~_C' :L..-_ \,,-:~ J.e':. ~~ ...,l. _.::. ~Lp S-tC.-::f: fl:' Ealls!""A-S or i11 the Fe:ic rf?.l Rf'S er\re 38.Ll~ I }'~?1:S:' s Ci ty-, ~;.'j. S S G~J:r':'. nSURANCE FIDELITY BONDS n; FORCE, Exhibit flIt'. Fidelit;y' bonds in force as at Decerr.ber ;31, 1940, as detailed under the above exhibit, were inspected bJ' the auditors and checked to the statutes a~f tc the aity or~in~nces to determine that such bonds J!let s-::atut(;r~, reqtlirf,!:~e:lts 2.S 4':''::':'lre, Grr~~UE~, :;_:'.':1 [-.2:::-~()VT~.l. J:.-11 fidclit:.- bo~.J.c.s E:'~",rc;'-:-, tL.osc:- of the clerk C'.::~ .t;l'~(' c:i.t~~ ~cl.-'rt s~~_d "s~~e ~:~,.rs~~['.ll of the eit~: court s.rE in t~(; cust0d:; of the ci t:,. e-lcrk ~:~~.:.d dire.~:-t.c!"" r::f 7~illarlce. The bc!~ds 0:: t~e clerk of the ci t,y court and the marshall of the city court are in 'che custoa.;;,' of the county clerk as is provided for under 20-1420 and 1421 and 80-204 and 205 G. S. 1935. The bond of the marshall of the city court is drawn in favor of the ~b,tE' of Yf'nsas a,n%r Saline C01:nt:; r~1th?r tJ:s.n ir. '::'fl.v"r 0:- the Cit;), of Seli::.c,. The l~_ f'.t' i li t:;/ of St: rpt~/ r; C' ~~~""~:_~. e S CD '-'.1 J_ f=.. .J.e Ii t~. bonds ':I':"'::: C (\r.:.f~_ ~:r:Pr._ b:/ carr':: s- rO~~dellce vrith the :-~')r::.(' officeE'- of sjret:~ CQr1:f:-Ct~:"~_f;;S, :~:-...c ~_!~ -!r:~,.:-- ~;.scs~-i~.:-~":'i::ed tbat eS.ch of these c()::n:?~::"""j.e~> ~.\P~}"<:, ~~~_:tl:c,rizc-d. tc d::::: l;-~s~;--,-t-:-'s~_~ 5.y. tl~p stc_te of Yan.sa.S. Your at"tentic!_ is dir('cted to 5-30J_, ~.8. 1939J ~~~i~~ rE'quires a ~lJOOO.CO f~r tIle city ~lectri8s1 i~!Sre0~~r. 7~5 city b~ildil]: inspector is s!so th_e trical inspector, and no bond has been filed for th~t official. bond elec- 20. Seven fidelity bonds were renewed upon their expiration by continuation certifi- cates issued by surety companies. The effect of a continuation certificate is to extend the period to which the amount of the bond is applicable, and does not provide the amount of coverage required by st8.tute for each term. 1There bond is required by statute, it is apparently intended that a separate coverage of the full amount be provided for each term, and we do not believe this requirell:.ent can be satisfied by a continuation certifics,te. I~SURANCE Il{.PORCE, .~ij)i:t,"O~,._. . U?der,tl1i8,etiliib,~t there .is p ~howIla. sUllllIlary 'statement of:insutance'6ov€r-a'ge On the var,~o1.1spi-oJ?~rti'esowned'bytliecity; 'to- gether with the amount of the annual premium on these policie~, and other per- tinent infcrrration. policies are issued in most instances to cover a period of either three or five years. The amour:.t shaWl: as the 8,n:c.ual premiun: represents the portior: of -:;he tctal premium apFlicable to O::1e year's insurs,nce. The proper- ties listed under the heading, "City Building ar:.d Contents", are i:c.sured for a total of $113,700.00 by twenty-two insurance companies. All of the policies in this group, except two policies described as follows, bear a ninety per cent co- insurance clause: Policy No. Company .A:rnount P,SOf.38 ?L~>~.~~i:~: ~'~S :::-..: rs l...ce ':0"[;;1>912.:1", L tel.. l,':.rr:=-:~('~'-.:.' s =l.~StJr~::;.~~_~p C;cYr;~~"r_:_~- ~:p ,400.00 1 J cc~) . 0(; }PO 1>:.. .:~ir(t~. }?er ce~t co-:~':s-.~r!-;'~A(.r~ n~F.;c"'r '..-T"'C,_,--1~, ?:~:.- Ie: l~,,~ ~-::.t':~8c~1-.:.ec_r.c ~;~'CSf r~81~_c-: C~. ~~~'c J':~C:I~c;r3.:;;.J. ~~-~1,~_1 b~.:.i l.J_~'_~l= ~:-:"I~ ,!,.~'. I': ,~ o '.. ~--': -:~ i_ ~lr1~ ~...... _'_ _L,_ -:-f": . "~~;~',d .0,.- 1'" tct~~l o~ elS~,OOO.C0 ~,\vr~':~~;-f'('l:,)r ~~-~~ 'YO:__ ::.c,~., ~='F,_ '~::~_i~:s" =>~~~i ,,:,..f t~-le fc..licies niliet:; ~_r C~2"~ ~c-i:~s.:,r~~_n8 ~l~~~se. t}- is :rc1,;.p con_tn.ir.:.s e Ir.:.Sl;r9~:_Cf' ccvcrabG C:'Y} 'T\is'::pII;-~._r:_e s ?r8~'9rtie8 ~;f t~le ci-t.:., Vl:-...lcn 8.!"e :-:ct ir...clt:- ded ir~ '22.~.:11e~ e'f' tht:' 2.~)C1VC 6rc~-'l!s, ::"0 Sr;_'2V'!~~ SC?8.~.e,tel:,' U11rJCr :::vJ:ibi-: ''':'''' _ :':n '">'- sur8~C2 is c?rried ~L ~~Q fcllnning: 1 .I.. ~)bl:.c liabilit:- ~i~~d ?ropertJ'::2..:;1.HbP il:S1.~,r~,r':'CE and premises ex~e:t t~e ~emoriE.l ~jall. cit;)" buildin~s 2. Public ,liability and property damage insurance on automobiles and trucks including fire trc:cks. 3. Insurance on a house located in Oakdale Park. 4. '!:?0rkrr:e:::.~ t S , . . campeLsa~lon lnsurance. h ~ . Crawford Avenue ?recirct BuildiLE. It was determined 'that insura.nce companies writing,in.surance on city rroperties were authorized to do business in the state of Kansas. ACC00~TS R~CE=~jillLE ST...4.TI1'1-,-EI,T OF AC':OLT~:'~TS RECEI'VI..BL~, Exhibit t'P". .Arr:ou11ts -:11.A.e to tl~:e various funds of tr:e city as nt DeCE'T,ber 31, 1940, 0,2 ::lete!"nined from ::-ecorcs of 8,CCOl.J.nts re- ceiv&tJ.e and ~rcm 2~~er scur~0SJ erR ~lassified ~r:d~r t:lis' exhibit. The avditors 21. did not make an independent verificati~nWithdebtors as to the correctness:of the amounts shovm as receivable. This exhibit does not include unpaid taxes for 1939 and prior years. ACCOUNTS PAYABLE Accounts payable are classified by funds under Exhibit "Cn. The amounts includ- ed as liabilities were determined from an inspection of purchase orders issued .,.4,ur:i,J;l~~ttEl mo!).th ,o.f, Dec7mber~..J~.~(),,; V(lfi.c.~ we!~,~n.pa~9: }lS~~,...p,ec~mber .31~ ~9,.19".".. .~;rrqm :all~:in'specti. on.of ' qlaiwypuc):iers:incJ uded ,itl/appropr~a ~i on'orclJnances'.l'o~]1i~'>c'.:, . months of January and February, 1941; and from other sources. Oomments havepre~ viousl~r beeCl rrade in regard to the citJ"s liability on plumber's deposits under the comments of the Ceneral Fund - Administrative and Finance Departments on page 5. The amount of this liability is not included under Exhibit "e". As at December 1, 1940, the city installed the purchase order system, and,con~ tract and order accounts were opened upon the records of the city clerk. BONDED DIDEBTEDNESS S~P~==:~~:~T OF BCl~D::::=: =I~J~E':'=~~:Ul;ESS, :Sxhibi t "Q". .A st~_;.te:.{~el~t s}}O~Vi:-l[ in detail -+::1"..e bonded.. if.:.debtedlJ.ess of t~L8 ::i tJ~ of Sr.li V:~;_ ~'_S nt :'''le~(~'~~:[H:;r 31, l~?;S J b0r:ds iS3~.1cd al~d bOLd~ retiroe d'_~:l2.1[: the :,'e~i~ 194-C, 8.:~C_ -:~::,~ bn~~c.s cv~.s';'" C,D ot 1)ecerrJ;er 3J, 1s:'4J, is r.'r;.~-~cr_ted i.:;:::::.dcr tlle ato-ve e:cel'_i:::it. r':r.:e fc11~-T.\"i:-~: is '-'_ s-',,:.:r..."':~3.r~~ 0f r'J::ced i-r-~('Il;tp.::::~s~, ~l~;:~~_i'~(:~ .::~ -:.r-" t~'}e tJ.'i~ 0f '~'0:::..':JS Ol.:l_~t:;c:_~.i:::.~. (';!.:' t~ s t~. :__r j "'~-~ lssl.J':3d. ?ec::cred Ye~?r 194C (:'1_~ -J:: s .'~, ~~ ::c i ~s 12-3J-40 12-3J..-3Q .':-'37' 1940 f,Q32.49 ClJJ,47?75 3iJ.,C)lE. f)5 31,000.00 5,000.00 ~S37 ,400.00 138,332.49 15E,OOO.OO 8eneral ErmdR Special Ir~rcvemerlt EO!ld ~~".~8.tervlor1~s Departn~ent Bonds Relief highway Eonds ~, " 842, P7 2 .7 P E5,415.65 186,000.00 5,000.00 ;r $1,005,288.40 $6,932.49 t181,488.40 $830,732.49 All of the above bonds were issued to mature seria.lly and in approximately equal annual installments. The following shows the maturity dates of bonds outstanding as at December 31, 1940: Payable b;y" City at Large paJable out Payablo B:{ Year General cit:,"'s Shu,re of Special ;tiaterworks Due Bonds Paving Bonds Total Assessments Department Total ", 1941 f" 93,800.00 $ 9,874.64 $103,674.64 $13,557.85 $ 31,000.00 $148,232.49 ~> 1942 92,300.00 8,722.04 101,022.04 10,777.96 31,000.00 142,800.00 1943 84,800.00 8,203.87 93,003.87 8,996.13 31,000.00 133,000.00 1944 78,000.00 7 , 2 58 . 21 85, 2 58 . 21 7,941.79 31,000.00 1:'4,200.00 1945 49,500.00 6, 3 51. 68 55,851. 68 8,348.32 31,000.00 95,200.00 1946 49,000.00 7,285.06 56,285.06 8,414.94 64,700.00 1947 39,500.00 5,876. 68 45,376.68 8,323.32 53,700.00 22. ~,,'.' ";Payable by City At Large Payable Out Payable By Year General City's Share of Special Waterworks Due Bonds Paviilg Bonds Total Assessments Department Total 1948 $ 25,000.00 $ 5,876. 68 $ 30,876.68 $ 8,323.32 $ $ 39,200.00 1949 18,500.00 439.78 18,939.78 2,760.22 21,700.00 1950 7,000.00 72.93 7,072.93 927.07 8,000.00 ,$537,400.0.0 ,$59,961..57 ,$78,370.92 $],55,900.00 $830,732.49 '., .., ..' , .', 'r ". '. General Bondsin'th.e amount of $537,400.00 and. the city's share of paving bonds ir:. t:,e amount of $59,961. 57 o'..;tstanding 8.S at December 31, 1940, are payable out of the proceeds of the tax levies for the Bond and Interest Fund. The propert~v owners' share of pe.ving and sewer bor.ds in the amount of $78,370.92 ,outstanding as at December 31, 1940, are payable out of the prooeeds of special '. assessments which have been levied against property benefited by the improve- ments. Waterworks Department bonds outstanding as at December 31, 1940, in the amount of $155,000.00 are being retired out of earnings of the Waterworks. Depart- ment. 'Dle i'011ov;ir"c st8. cemert year for ~he P&st five , s ",-o~~vs +~~~e t:"';Jil(q.;.r:t of ba!l.d,ec1 .irldf~l,,-teCr;ess u-:~ tr:.e. e~.:-~3 of' P8.Cf1 YC8.rs: Decerrber 'Z" 1936 1....: ...L , Decesber 31, 1 0 'Z'7 ":,,,,:'.'j Decerrber "'1 1938 .j .L , Dec 8""":~<;Y' 'r ,~~o , o. , .l~"i . J ~, December 31 , 1940 ~:l ,313.567.86 1,141. ROO. 00 1 , l~: E, , 4 80 . 1 ~ 1,0(:5,288.40 f.3C,7?'''.Lt() ~~~c q~';~-;It=Af_~l=CT~ ~\r SI'TY OF S",i1.LI1{A ?ISC..:iL .A.G;~J,jCY ACCU[j\:T f Schedu_le 32. l~nder this schedule there is show~ a recnreilintior of the b&la~ce to the credit of the city in the Kansas FiSCHl Agency, 1V~. ~~ L__1-e d_ctf..il (it ol)tsta~ldirJg matured borlds and coupons which had not been .s:.resenteo.co the fisc81~, cncy for ?~3~'T'1ellt 8.S at December 22, 1940, the fiscal sgency closiYit d2,te for the ye9r 1940. The balance to the credit of the City of Salina in the fisoal agency account as at December 22, 1940, was confirmed by correspondence with the state accountant. Remittances to the fiscal agency were compared with credits shown on the state treasurer's transcript of the city of Salina fiscal agency account. Cancelled bonds and coupons paid through the state treasurer's office during the year were cs.refully investigated and found to be proper charges to the City of Sf,lina. T~lPQRARY NOTE IK~EBTEDNESS STATEMENTOF,T:;t11PORARY NOTE INDEBTEDNESS, Exhibit; "R". Under this exhibit there is shown in detail the amount of the indebtedness of' the city 2;' ,t ,T";c:tJr:' " 194C, on temporary notes issued to finance construction projects, 1/::" C,' 5, ';,~-~ raid c.uring the ye8.r 1940, 9.nd the a:'1l0unt of notes outstanding as at December 31, 1940. The unpaid notes are owned b)Tshe -vVaterworks Departrr;ent Fund and are shown as an asset of that fund on the balance sheet of the vYaterv....orks Department. These Clotes will bs retired out of tr.e proceeds of bonds which are to be issued for the pur- pose of financing the cost of improvement projects, which were not completed as ~3.. _ _.--...-J at December 31~ 1940. AUDIT ADJUSTMENTS AUDIT ADJUSTMENT ENTRIES, Exhibit "S". The journal entries which were made by the auditors to adjust and correct certain fund balances and the classification of receipts and disbursements within funds are submitted under this exhibit. These journal entries were recorded by the city clerk as at December 31, 1940, on the .boo:k:s ,of ,;the city. MIlffiTES A1~ ORDINA}ICES The minutes of the meetings of the governir...g body during the nudi t period, ordin- ar~ces enacted during that l,eriod, and the 1939 revised ordiLG.nces of the Ci t~T of Salina were reviewed for matters pertaining to the audit. The minutes appear to have been carefully and adequately maintained b~the city clerk. CITY AUDIT QUESTIOI\'l(AIRE The following questionnaire has been prepared by the office of the state account- a~t. A~ditors are required to inc~r~oratp int2 their rCDorts tllP f01}owi~Eques- tions and answers: .....,. -L.. ,~l "J,e::; 1. :0 ':nJH-~': I'~'r,-te_-:~t is tLe s-t-.r __c:.::.:rdi .::.ed s/s~-r,~ (:.f ~nisc:"1_1 r(\e(:~di).rA 0f ::cc:c,1)r:-Clnr-:' 5.!-:d re:E'ortirc[ used? List for:"': :-~:;~r'crs :.;- U0~:;. J~SVt8r: 1':::'0 fol1~v:i!:.z: forrr:s "\tJcre ir~ ')8 f:.S 8,T~ Jf;("c~~"'bcr?:l }.948': a. For":', SA 102A ,~lerl: t S :1)110. CR ~~~~ _':..CCOtir:ts Slerk's ?~]~d IDv€s~mrnt Ar~nunts J::fillcu )rdp:l::) r;._~~;..c_ C'--i~.,.tr~: (~t _.CC0U:ltS (CreY~ed ~if) !Jt t!9.r:~nr~. I, lQ4.1, ~_~~ r.l~ t}~!t:' ir:.stpllHticl:... of purc:l8..Se order system) b. Form SA 10 - General Receipts - Office of City Clerk c. Form SA 11 - General Receipts - Office of City Treasurer d. Form SA 100 - Sash Receip'~s Record (Enlarged to provide for the sev- era.l f-...;.nds.) e. :=r~ ccr...::.~ection. Ivith the use (l:f: .~;aSL re::ei.F~s re~:::rc. t}-~f:~ cit~/ 1JS€S L receipts analysis form. (Form SA 103 - Exper"di ture Analysis was re- vised for.this purpose) f. Form SA 20 - Purchase Orders be Fnr:rT' SA 2,Dll - Clair!": 1r~~c}-~ers :h. In ~onnec-tion \ivith -the use of ~'l;~rc}:'3..se ':;rdcrs S.lid cla:.y v'oL;.chcrs ti1e city' uses an err~erGe.L.c~/ order fcr:n alle :rurchases req"Jisitions. 24. i. Form SA 104 - Contract and Order Register j. Form SA 103 Expenditure Analysis k. Form SA 105 - Record of Ordir.ances l. Form SA 105A - City Clerk's Warrant Register F()rm.;~AlQpB.- Ci~yTre~~ur,er.'s 1"!az:rant Register ~!. .: '.. . n. The city uses bound upon fcrn:s SA lac - Assessment Record. records reflecting the infor~ation provided for Bond and Sou?on Resister aLd SA 107 - Special o. Report ferIres SA 1, SA 2, and SA 3 are l10t ,-lssd b~r the citYj however, the city clerk prepares for submission to the city manager and city commissioners a monthly sta.tementshowing fund cash balances at the beginning of the ;'{ear. cash receipts and disbursE'nents to date. the fund cash ba.lances at the close of the month, and the amount of the unexpended balance of the budget for each fund. The city clerk sls0 :rSr8_rF'~ 0 :'~~rt~rl~' r~~0rt frr ~Dbrissi0:_ -~c the cit~w ~ana~er e~r:d ci -t,~.' .~.~~::.~.~. ~S~J)-"~_er0, -".!:-~=-_,...!-~ :.n.~l,--!_d~!::', ,"\- e.ci:.i tior~ tc t~-:e f-::re- ~,':.J:..r:c i ~f2~"j-:-~;. .::, i n:-~, 1~ ~.t'-1" ~_ J. P...... S -1_,:-::' r.::'O'"f:I_)~'_t i) r.; Y" '"' or :C.~.;.:ld s~~0wir-.:.; c. ~ nrr- :\Sy"~-:;0~_""'.f1' :~~'~r.~ 1""'.-:n.,_.,=--.-t~ ~"~'~l~ '~=~1,::.~"'~c':"'"'-~:'~l'l::.r ?~::- '.:.?-~~~i('i'::f~.:: cl il: tY,.8 't~'~:;~:' _~ -~"_:'~ 0"- t. ~'.:.. ~ 1: ~ ~,: .-. ,,-'~...,..~ -. :'___~i--=.....,t:S l~:~d d=-s~-:':rS~~T~e:~~..:.s fr:r -4;l~e . - , r. (;~~ ('.C C '"yvr-: reG. tl-..( Y"O..-.--.......-~. r~'_ l.,. S -:.t. 'l'~-- ,::....., i ','- , oJ nr~~:: SI.]'....1:..r j_.,....(>r"'\;Y'_ , . .. , q :.:::. 0~: s 2. ~.-,}_ J ~:. r .....r c'~ .~!-~t " , --"."f~ =- ~:-~ ~ S C' n -"~,i';-: r'dl~'r 3~le~ul~s 1 t~ 27 'L:-~ , .J ~l.is t.L~~it rCF8rt. 2. a. Were ~ct'_wl cy.:.:e!'"c.:"-,;','r"~? loU' :;;.cs,: 'b\:d;:.e":-"c. ~:':.'~kec'! .;-;~ ",FC'er-+~":"L ',,"e'::!-:.cl" cr ~ot the b~dc~t ~ad tL~l: sxceedc~ (79-~2~~, ~.S. 19~~)? ~.. ~i'h~.s ~~-.:.c l"'l:_dC'~':.: p~-ceedcc.? Ar.swer: a. Yes. b. Yes. (See Exhibit "c" and Schedules 1 to 27, inclusive, and comlents on pages 2 to 3). :3. 'Does the county apportion highway maintenance to cities out of the county and tov'1:.ship road fu:r..d wr,ere t':le cit:, rrnintains connecting links throu[;h the city (68-424, 68-50:3e :;.2. 1935)? L..I.YJ:SVfer: V'PC' .1.......0. 4.a. Does-the city have a petty cash or revolving fund? b. If so, is .t}le f~~d usej ir accorda~ce ~itt t~c provisicns nf Chapter lO!~ Laws of 1938? Answ€r: a. Yes. b. 7he cit~: has separate rev~lv:L~ or Iletty casn funds clerk ar...d fer t1~.e ca:ir-~ier of t!-~e ",YG.~pr-~.~":::r~~s Deps.rt::-:e::..t. for the city =.'he revolv- 'lC: .:.. u. "'".' Tng'fun:ifof'the city clerk 'is, therefore, not used in accordance with the provisions of Chapter 100, Laws of 1939. (See Exhibit "I" and comments on pages 15.and 16.) 5. Are taxes received from the county treasurer allocated according to levies or is the mo~ey allocated by percentaGe? Answer: The money received from the county treasurer is allocated according to ,;Jevles. (See.E~ibit "G,"and,~,!f an~commer..~s...PB,p.~~el) 14"a~d~5) ., . -"," ," , "", ','-:.... ,":,;,:. '~:.':~,:,~ .";,~,,..,:5,:" ,__::~ ~ '- "f' :..'-" -'-. '. ,. .' ' . ~. , . Do members of the governing body, or other city ernpIo~rees, rec'ei ve free uti- lity service in lieu of or in addi~ion to their statutory salaries? Ariswer: l:~o 7. Are members of the governing body employed by the city in anycapaci t~,? Answer: l~o 8. Does any member of the governinE bod;)' make sales of corm-nodi ties for use b:,' the c5.t~/? _E"';~SlfiE~r: ~:o ",'" n~~;r{l: y,~. .......-..'-''''' '~'--0 1q~h. 1110 -,' ..... .,., .....'.. -*.::, ~...." ~.~ ~. c L~ s r.cr-'r... recei ,\"C 2 :....roy;-; t.~_;.e C~l~-:r:t~' tro:~H~,_.~;-::: j.r_~Jll,c1c ill- -:[;xr;~ ... .sid '--:.ft6r sLlc G&ts r~:_d if :,2:at tr3_X distr::'bl:tec: JC1T~- !"'c:r "S~-(= ~,~c~:r ~>Jv:",,:.:~L t:1"'~' ':;:::'.z rEcrFsC'L~'-JS (7?-2CQ4 :.2. -=~oe s tl~e Tfd-:")Y'~e:' -Nl-:..i c}'_ ~~re3t O~ ~e]_i~que~t +:9. )' t:r, :lSC" 70P', .., "n , . !~r.l.sVt.Ter: Yes 10. Do -~~e city officers Dost fidelity bcnds? .A:r:..svrer: Yes (S e e ::'::):':-.1 tit "r" O,~.d CC':;'l.!~!er.:.ts 0:;:: .FG.be~ ~,~ ')..:~d c; 1 \ ~ ~, 11. Dc personal sLTet~' bOLds tear acknowledgements (78-112 G. S. 1935)? Answer: No personal suretJ'" bonds ha.ve been posted. All fideli tybonds are wri t- ' ten by insurance compa.nies. 12. Are city properties covpred b~ ins~r~nc?? Answer: Yes, witr. few exct?l'tions (See ~'xhibit "e" a.nd I?OrrUlh,:'n-'.:;s or. pabe 21) 13. Are companies writinE fidelity bonds 2.nd insi.crence on property 8.:..ltLorized to do business in Kansas? Answer: Yes 14. T.)o vouchers SL.'JVi C':'!;~=~~ 9'~eY!ess ~_)f si2:nat:....rf; (lC'-~O? J 13-14l~ :=. s. 19~5)? Answer: y<<>,.. -+-1-- .p "' . e S, v; l ".1 ~ eVli EXC8r.:tiQ~-~S . 26. 15. Is the city co11ecting'the "sales tax properly and discharging Habili tyto the state according to statute (Chapter 374 Laws of 1937)? .~~swer: The city is collecting sales tax on sales of the Waterworks Department Fund. Sales tax is collected on receipts of the swimraing pool whenever the receipts is in an amount which is taxable. The admission to the swim- ming pool is 101 per person and $2.56 was collected during the 1940 sea- son and $61.81 was paid to the state. The city is discharging its lia- bilitY:-t;o the ,state orl.tp,e, bas~sQf tgtal .swimmin~ppol . receipts.. ,as is ,r;f:iqui'r~;d'bY~'$t~tut.es. '. ::No,~~le$ ,'t~x 'l1~sbe'en'c:9l1e~rt,ed.:or-::i'~mi:tt,ed to the state on sales of material and on other miscellaneous sales made by t}-.e ci t.y. The Waterworks Dep::.crt!".ent fuy;cj did not po~' compensating or use tax during the year 1940 on purchases made outside the state of Kanse. s. 16. Not applicable to cities of the first class. 17. Does the city pass appropriation ordinances (13-1404 G.S. 1935)? Answer: Yes Ie.. a. _A.re there frec;.lJe!"___t r(-_~c'_"'-~~,ci_li::;-:~io:t2.f: t'~-.~t"\veCI} -::-~e cit.../ clerk 5.:'~C cit~r trc2.- s~Y'er? b. Does t~:~ city t~e8S\;r0~ ('"-~t::- (":_c-r'k-? knc? rf'C~~rd2 5__'~.d0;r_,~~::-:t ",.0 ~l-lCS'-- ~:~:r-t 1--- '-' 01 the L::-;..s\v"?"!'": :ps b. it derut~y ll~ t}-j.'7 o~E'i('p of t}-:c cit:.r c2.~i]-" rr~ai::taj:-ls -+)~.e trfG_S;Jrer's rC~'}r"~] s ~.f; ~? s~-_ ..:_~~C :,~-_"..,.,::~t-~::e::t br:.lE.r...c>::s. t~i~prl ~y f~~ds. rPh~Q recc~~ is r:2t ~&i~- 19c e.. 7'rf'!..;:~ all sub-r:i1.:1Si0L.S, ':-;~'LlC;: are [~~ ~)1l;t.. of t;he city !n11r:iciI,-q:Llit~~- - 88 dpfi~ed b~ 75-1117 C.S. 1935, incl~dpd in this audit? ,b. List any boards or departments not included, giving reasons fortheir orrissions. Answer: a. No b. Free Public Librsry of the City of Salina, KaIlSaSj Public ~;:ea.lth Nursin[ Assocj,ationj and SeliM, l.':l1r;.j.cilJ81 Band Board (See ('.o1Tnnents 0" page 1). 20. Was a copy of the report filed with the county attorney (7 5-.1.126 G.S. 1935)1 Answer: Yes Ci t:r Clerk 1. Does clerk err:;er in his records items of "over and shnrt" in cash accounts? 27. Answer: Yes. Cash' over in the amount of $1.00 is included in the Gener~lFund- Administrative and Finance Department. Miscellaneous Receipts, and cash over in the amount of $7.37 is included in Waten~orks Department Fund Miscellaneous Receipts. 2. Does clerk post a fidelity bond (13-420, G.S. 1935)7 Answer: Yes 3. ; 'Does 'the:~lerk~eep ,a fiscal' agency,ledg~ft:,:' . ' Answer: ~o, however, the city clerk makes monthly reconciliations of outstand- ing bonds and coupons with the balance to the credit of the city in the Kansas Fiscal Agency. 4. Does clerk keep a cO}ltract and order register and charge funds with purchase orders? (10-1117 G.S. 1935) -. Answer: Yes. Effective December 1, 1940. 5. Doee the clerk char=e t~e budget appropriations with the purchase order, or cortrp,~t.s J so a.S to T;:aint~{?.:1.i_ "tJ"J.c uLenctar:bered bud[ct b8.1ancc for eac.h fU2-:d? iJiSVlP!" : :hc r~0::-:tl-:.l~' :~t? CC'J":C:'.lts will ref}e~t t\,c c -n i:)r~L:"'.~.red b~: the ci t~~ clerl~ :lc.riI1f; t!'~e ,~::.ber2d b~_:dcct -halance for ea~h fund. ye[Lr 1941 F. _:'\.re bt,~.d':"ft s..CCGU;-.~ts 0;: t~lE' 'Tarious (;i t~. i\;.~ds t:8"C't a.s rec:uired r~" 79-2934 ::;.8. 1935? AY}.SV';0r: ~\Jo 7. By w}~o~ arc p~rctases auth0rized? ..o1..n.s\ver: Pr::"llcirJal purer-..ases s.re autl"lOrized b~" tr:e cit~;- rQ9.Yl3.Ger, a.r.:.d routil~e pur- chases are authorized by departme~t heads. City Treasurer 1. Does treasurer post a fidelity bond (13-526, 13-2107, G.S. 1935)? A..'1swer: Yes 2. Does treasurer allow charges to be vade to funds which do not have proper approval by the goverLi:~ body? AD.swer: No 3. Are disburse:rn.e!:.ts of the cit;:' IT',,de by warrant or b~" a cornbin?,t~J';,;; check (10-80S C.S. 1935; Chapter 93, Laws of 1939)? , !....- Answer: By a combination warrant-check. 28. '" '" '" * * * * * During the course of the audit explanations of various matters from officers and employees of the city. The auditors wish to appreciation for the cooperation and assistance rendered. were obtained express their CERTIFICATE w~ ~erti.fy,that# in,our Opln10n, , subject to the foregoing comments, the aC,com- :panyiI1g exhibits,azi4 telat.edschedules reflect th~financie:lcondition:'ofthe City of Salina, Kansas, as at December 31, 1940, and the result6fitsopera- tions for the period froJ:1. JC,2i,-,ary 1, to DecembEr 31, 1940. Vie further certii':' that, subject to the comments pertainilL~ to the ''!iaterworks Department ?und, as sho\~ on pages 91 to 111 of this report, the exhibits and schedules pert'3.ining to the Waterworks Department Fund correctly reflect the fi-, nallCial condition of that fund as at December 31, 1940, and the result of the operations of that department for the period from JanuarJ' 1, to December 31, 1940. 'Respectfully submitted, C . P. A. C. P. A. LicE;n~3'3d :';.L:::.cipo.l :.Jublic Accountants, ir r.:: :'C",' ---:f ::end actively PYlga{ed. on this 8.L:dit. 29. "A" Fund Ba1anoes December '31~ 1940 t 25,105.96 t 31,670.,69 27,506.43 7,595.98 2,179.11 2,891.20 1,889.64 5,489.52 173.27 199.93 17:03 693. 59 422.24 743.99 417.42 Exhibit 4, 5, 1, 1, Total Fund.Disbursements Cash Disbur ment Inter-Fund Trensfers t 3,500.82 ",-,'. - 200.00 #. ~ AND INVESTMENTS "." t 28,763.50 t 2f,605.14 ~3~ 988.~61 3t~670.69 27,075;04 2.1,306.43 8,110.02 ;1,595.98 1,632.81 '2,179.11 3,382.89 ~,891.20 2,358.65 l,889.64 5,489.52:5,489.52 se- s " ;. ;;C' CASH CITY OF SALINA, KANSAS DISBURSEMENTS AND.BAI..ANCES OF 1,~~,pe,<?eJl1b er~l ,.,1940 .~~-;:;~;-:-..~~;~~i:i~::!N:,,;';:' .' '-'. ,'-. "" Casli Receip-h Total Fund Receipt s Inter-Fund Tmnsfers 200.00 516.73 t 28,763.50 . 2~882.01 ~3,988.~1 414.36 26,875.04 179.65 6,110.02 968.54 1~632.81 1.252.30 3,362.89 948.41 2,358.65 1,968.70 SUJOfARY STATEMENT OF RECEIPTS, . From ~anuary , ", '" ~. ,- Fund Balances January 1, 1940 . end Finance Fund Cash Accounts General Fund Administrative Department Police Department Street Department Engineering Department ~lk Inspeotion Department Legal Department Building Department City Court Department 33,204.64 18,233.41 4,746.61 6,841.84 17,515.19 35,516.38 170,164.72 5,749.92 11,4'10.00 406.64 829.25 7, 647 .46 167,126.11 4,766.73 1,999.92 1,170.78 5,900.00 1,1~1.24 35,895.604,996.44 ".' 20~943i.24. 21:;-557;;11~:~~ ': - - .. -~...' -,' . '~'-'(<;'-'): .~.,,;'_'i:':):~;;.c"<_\-"/:'~~-f:.I-:;t~:'~~::';~.1 a654 477 "'19 :&248. ":1'1' "1 ::-S2,.,V1 9 . _ - ~ ~. ," _ .. ,~~~ Investmen~~'~~'~~J\.i;"('Hf~~l-'}:'+f~~~i; 2,600.00 . t lS;500;OOr . 117.50587.50 3,895.96 926.20 507.60 3,140.94 4,607.76. 15,036.38 29,166.24 625.60 573.66 472.90 170.44 33,699.62 112,968.02 953. 52 36.29 3,500.82 , .' >...,:-:: .;;,.,:<;::,'..,.. :"./1' .90 tl07,ioo.22 $3/700.82-'-1110.80i.04 .ioo,627.71 t 3,700.82 1,170.78 7,041.24 3,394.20 20.943.24 81.60 42 - in 4.64 3.41 6.61 1.84 5.19 6.38 4.72 9.92 0.00 6.64 9.25 7.46 6.11 6.73 9.92 0.78 0.00 4.20 3~24 32,940.32 16,152.07 4,345.30 6,789.13 18,638.36 39,454.13 172,294.29 5,769.44 11 ~ 365. 63 365.06 774.84 10,553.23 144,879.12 6,069.75 2,036.21 37~498.04 21,557.11 782.42 ", i642,2831'6f. .::'., ",' ,.' ~:'{_~'_:i~~".f:"~:):,:.;:\-;"_~Y~:_t:~i':~g:;:\ '::~;i, in Investments;()wned":::' . 60 . 81 32,940.32 16,152.07 4,345.30 6,789.13 18,638.36 39,454.13 172, 212 . 69 5~ 769 .44 11,365.63 365.06 774.84 10,553.23 144,879.12 6,069.75 2,036.21 37,498.04 21,557.11 7,160 4,160.28 3,007.54 908.91 3,193.65 3,484.58 11,100.63 27,056.67 606.08 678.03 514.46 224. 85 30,793.87 135,215.01 349.50 $ Fund Fire Department Fund Park Department Fund Memorial Hall Fund Sewage Disposal Fund General Improvement Fund Water, Light, Heat, and Power Fund Bond and Interest Fund Band Fund Library Fund Airport Fund Bindweed Control Fund Trust and Agency Funds Waterworks Department Fund Cemetery Fund Publio Health Nursing Fund Relief Highway Fund Condemnation Fund Construction Funds Sales TaxCollectE!d Total Cash Funds Fund Investment Accounts Trust and Agenoy Funds Cemetery Fund Total Investment in Advance Total General - - --.. ~1~;~~!~~:;~)\<'. Total I 2,611.50 t 16,087.60 . ;"-''; 1657,094.69 . t2 64~19a{8i 1246,111.32 16.087.50 1264,198.62 t . $260,305.44 $638, - Increases $ 18,000.00 705.00 . 16,705.00 1279.010.44 Funds Total Cash and Investment Acoounts Fund Balances Represented B. Cash in Custody of City Treasurer Investments in Custody of City Treasurer CITY OF SAUNA, KANSAS COMPARISON OF RECEIPTS WITH BUDGET From January 1, to December 31, 1940 Tax 'teVying:Flhld8 General Fund Administrative and Finance Department Police Department Street Department Engineering Department Milk Inspection Department Legal. Department Building Department City Court Department Total General Fund Fire Department Fund Park Department Fund Memorial Hall Fund Sewage Disposal Fund Genera,l Irnprovemer.t Fund Water, Light, Heat and Power Fund Bond and. Interest Fund Band Fund Library Fund Airport Fund Bindweed Control Fund Trust and Agency Funds Firemen's Pension Fund Cemetery Fund Public Health Nursing Fund Total Tax Levying Fund Non-Tax Levying Funds Trust and Agency Funds Firemen's Relief Fund Cemetery Endowment Fund Hillcrest Memorial Endown1ent Fund Hi110rest Memorial Trust Fund Waterworks Department Fund Relief HighwaJ' Fund Condemnation Fund Construction Funds Sales Tax Collected in Advance Total Non-Tax Levying Funds Total ~e:.c.eipts Actual Receipts ( Including Transfers) R~ipts Ant~oipated . in Budget . Exhi bi t 1!,J3": Amount Over or Under Budget $28,763.50 33,988.61 27,075.04 8 , 110.02 1,632.81 3,382.89 2,~58.65 5,489.52. $110,801.04 32,940.32 16, 152 .07 4,345.30 6,789.13 18,638.36 39,454.13 172,294.29 5,769.44 11,365.63 365.06 774.84 3,141.54 6,069.75 2,036.21 $ 20,320.00 30,690.31 24,428.70 7,832.27 1,824.26 2,566.23 2,02:3 .13 5,600.00 $ 95,283.90 30,404.47 16, 139 .32 5,005 .72 6,350.05 17 , 519 .23 36,628.45 15 9 , 474 . 89 5,408.92 10,648.08 250.00 706.66 3, 153. 17 5,239.69 2,000.00 $430,937.11 $394,212.55 $ 4,291.93 1,175.00 234.76 1,710.00 :144,879:.12 37,498.04 21,557.11 $211,345.96 $642,283.07 $ 8,443..50 3,298.30 2,646.34 277.75 191.45 > .817.66. 335.52 110 .48 $15,517.14 2,535.85 12.75 660.42 439.08 1,119.13 2,825.68 12 , 819 .40 360.52 717.55 115.06 68.18 11.63 830.06 36 .21 ;? $36.724.56:';: 310 KANSAS COMPARISON OF EXPE1"DITuRES WITH-BUDGET .AND STATEMENT OF UNENCUMBERED FUND BALANCES From January 1, to Deoember 31, 1940 CITY OF SALINA, U,CU Exhibit Unencumbered Fund Balances Unencumbered Fund Balances Fund Less Fund Liabilities Balance s 12-31-40 Balance of 1940 Budget Unencumbered Lass LiabIITtie s Chargeable to 1940 Budget Plus Di sb'U'r;ement s Applicable to 1939 Budget Amount Over or Unde r Budget Disburse- ments Anticipated in Budget Actual Di s- bursements (Including Tra.nsfe rs 3,204.64 5,082.19 412.12 689.22 398095 1,687.64 1,403.81 14.90 $ 968063 117.74 395.09 4.37 23.29 56.35 13.61 14.90 . 4,173.27 5,199.93 17.03 693.59 422.24 1,743 .99 1,417.42 - $ $ 12,039.43 $1,593.98 t 13,633.41 3.593.62 502.51 107 .75 2,779.74 4,456.58 13,038.96 29,166.24 625.60 573.66 469.82 170.44 8,773094 942.21 36,29 11.31 8,773.94 953.52 36.29 $ 77.061.29 $5,461.54 . 82.522.83 $2,140.13 293~90 1,379.52 263.79 224.96 152.45 462.63 115.18 $2,006.74 175080 151.13 296.87 836.53 378.59 7,283.36 196 .46 .08 - 543.76 29.25 918.17 629.83 .08 $8 , 981.75 30 2 .34 423.69 615.35 3.08 $ 968.63 117.74 395.09 4.37 23.29 56 .35 13.61 14.90 - $1,593.98 302.34 423.69 615.35 361. 20 151.17 1,999.42 - - - 3.08 - - 11.31 - $5,461.54 $ 23,151.30 31,825.00 26,075.00 7,850 .00 2,420.00 3,100.00 2,340.00 5.600.00 $ 25,105.96 31,670.69 27 , 506043 7,595.98 2,179.11 2,891.20 1,889.64 5.489.52 De- Tax La n Funds aen:eral-Fu~ Administrative partment Police Department Street Department Engineering Department Milk Inspeotion Department Legal Department Building Department City Court Department and Finance Fire Department Fund Park Department Fund Memorial Hall Fund Sewage Disposal Fund General Improvement Fund Water, Light, Heat, and Power Fund Bond and Interest Funds Band Fund Library Fund Airport Fund Bindweed Control Fund Trust and Agency Funds Firemen's Pension Fund Cemetery Fund Public Health Nursing 361. 20 151.17 1,999.42 3, 20 507.60 3,140094 4,607.75 15,038.38 29,166.24 625.60 573.66 472.90 170.44 895.96 926 30 33,555.00 18,775.00 5,085000 7,800.00 17,550.00 42,859.65 169,988.26 5,750.00 11,470.00 $102,361 $104,328.53 33,204.64 18,233.41 4,746 .61 6,841.84 17,515.19 35,516.38 170 J 184.72 5,749.92 11,470000 406064 829.25 Fund General Total 940.85 800.00 3,153.17 5, 27 5.00 2,000.00 Fund Non-Tax Levyin ~ Trust and Agenoy Funds Firemen's Relief Fund Cemetery Endowment Fund Hillcrest Memorial Endowment Fund Hillcrest Memorial Trust Fund Waterworks Department Fund Relief Highway Fund Condemnation Fund Construotion Funds Sales Tax Collected in $ 18,354.06 3,201.34 3,370.28 $ t 18,354.06 3,201.34 3,370.28 $427.363.23 $418.028.78 3,702.48 t Funds in Total Tax Le ~$~~lX~ ' ''1 ~!*&,~~,;t 112,968.02 1,037.04 4,390040 21. 557 .11 ,878025 $164 710.24 $ 588.49 $165... $236L448.41 Advance Non-Tax.~vying Funds $241.939.54 $6,171.7~ 111032 $248 Total 32 $654.477.19 ILl! ___ u__' .~_~ . '="~~"'-~._--=----------- Total 2,235.00 4,766.73 1.999.92 104.20 606.04 112,968.02 1,141.24 4,996.44 21. 557 .11 1,710.00 167,126.11 1,170.78 5,900.00 35,895080 20.943.24 ~.i1 1 ,~_~"",-~""""~C_''''''=~'''''~''''~_~~--.",_......_="..__.-",,.,,_~==_-,..-.... .-.._~.._~ 'T'_-'.......---.....~.~._~."...-.~- ->"H.."'n'~o.~! :- CITY OF SALINA, KANSAS Sche dule 1 STATEMENT OF RECEIPTS, DISBURSEMENTS .AND BALANCES OF CASH GENERAL FUND - ADMINISTRATIVE AND FINANCE DEPARTMENT From January 1, to December 31, 1940 Balance - January 1~ 1940 Receipts Licenses~ Fees and Permits (Per Sche du1e 1 - a) Franchises Bus Transportation Franohise Gas Franchise Electric Franchise Rents - Barn Rental Fines and Forfeitures - Police Court Gifts and Grants - Cigarette Stamp Tax Servioes and Sales Refunds and Recoveries Court Costs Telephone & Telegraph Expense Miscellaneous Plumbers Guarantee Deposits other Receipts Total Receipts Total Aotual Amo unt Over or Under Bud~et Bud~t $ 515.73 $ 2~831.30 $2,315.57 t10,118.65 $11,060.00 $ 941035 $ 50.00 4,195.47 5,000.00 9,245.47 2,000.00 7,245.47 40.00 60.00 20.00 5,178050 4,500.00 678.50 3,955.94 2,600.00 1,355.94 17.90 17.90 $ 78.29 .75 $ 125.00 3.00 Disbursements Salaries and Wages ( Per Sohedu1e 1 - b ) Professional and Contraoted Servioes (Per Schedule 1 - b) Office Supplies and Expense Printing Eleotion Expense (Per Schedule 1 - b) Maintenanoe of Equipment Insuranoe and Bond Premiums Traveling Expense Furniture and Equipment Appropriations, Donations and Dues (Per Schedule 1 ;.. b) Refunds and Reooveries Plumbers Guarantee Deposits Fireworks Lioense Miscellaneous $ 25.00 1.00 Total Cash Disbursements (Carried Fwd.) 79.04 79.04 128.00 _ 100~ 28000 $28,763.50 $20,320.00 $8.443050 $29,279023 $23,151.30 $6.127.93 $10,276.50 $10,269.00 $ 7.50 1,300.00 1,100.00 200.00 1,594.75 1,500.00 94075 1,440.11 800.00 640.11 5,061.73 3,600.00 1,461.73 10.50 10.50 399.20 375.00 24.20 57 .76 15C~OO 92.24 195.77 200.00 4023 1,060.82 990.00 70.82 26.00 _____~82000 1~367.30 $21~605.14 $20,351.30 26.00 1~185.30 $1,253084 I 33.1' - .r'",-'_IO_'~~"", _____~~~~ ~----'~-"'.,~~'~.=-""--_,_~,-.-"._._.~_.~_=__~__..T .~'c"'~_ "....--._-- ~~.=---~...~~.--..... .-.,-,,~~-----~--.- -""'....~ ...- ......_--....'.._~_."...------ "'.~-__ ~'"_.. - .,~_" .__~r~... _.-.~_-L CITY OF SALINA, KANSAS Sohedule 1 (Cont'd.) ~TATEMENT OF RECEIPTS, DISBURSEMENTS AND BAI..AJ.JCES OF CASH GENERAL FUND - ADMINISTRATIVE AND FINANCE DEPARTMENT From January 1, to pecember 31, 1940 Actual Amount Over or Under Budget Budget Total Cash Disbursements (Brought Fwd.) $21,605.14 $20,351.30 $1,253.84 Inter-~und Transfers To General Fund - City Court Department to Cover Operating Deficit 3,500.82 2,800.00 700~ Total Disbursements $25,105.96 $23,151.30 $1.954.66 Balance - December 31, 1940 I 4.173.21.- L ~-r-"-- $4.173.27 ,.. _,,_-.,~__.._. _=~~~~=_...-____, '....~_,_...~"'~~=... ~__.~.__C.LO_-'=~...~=~~_._~.~..---.._____.~,____"""'*'__.~._,...,...~~_,___~ ~~-"-=---."'""",,_.~,_. .__ ___ '.__..._~=. __ ,__ I 34. ! ~- '.. ._--~.-...~~ CITY OF SALINA, KANSAS ~=<=O'-"'-=o.-"~"""''''.'''''''--=--"..._:-.~=r~~~~'''~'4. , ~ o Bche dule 1 - a GENERAL FUND - ADMINISTRATIVE AND FINANCE DEPARTMENT DETAIL OF RECEIPTS - LICENSES, FEES AND PERMITS From January I, to December 31, 1940 Auotion and Auctioneers' Licenses Auto Wrecking Lioenses Beverage Dealers' Licenses Billboard Licenses Building ,Permits and Building Permits Gas Inspections Plumbing Inspections Electrical Inspections Sign Permits Taxicab Inspeotions Concrete Construction Licenses Dance Permits Dog Licenses Dog Impounding Fees Electric Wiring Licenses Fireworks Licenses Gas Fitters Licenses House Moving Permits Huckster, Peddler, and Vendor Licenses Insurance Company and Agent Licenses Junk Dealers, Buyer and Collector Licenses Marble, Music, and Cigarette Machine Licenses Photographers Licenses Plumber and Gas Fitter Licenses Plumbers Certificate Fees Pool Hall and Bowling Alley Licenses Pop Corn Stand Licenses Shooting Gallery Licenses Show and Theater Licenses Skating Rink Licenses Street Advertising Licenses Taxicab Licenses Taxioab Drivers' Lioenses Truck and Team Licenses Iru>pection Fees $649.00 590.75 646.55 342.10 29.50 30.50 Total Receipts from Licenses, Fees and Permits " \b-..--,-,~ Actual $ 50.00 150.00 2,050.00 100.00 2,288.40 80.00 283.00 702.00 275.00 23.00 30.00 32.00 40.00 560.00 312.00 422.50 15.00 300.00 99.00 655.00 30.00 180.00 50.00 72.00 875.50 119025 325.00 l12.,J1$3 .65 Budget $ 100.00 150.00 2,400.00 100.00 1,600.00 80.00 100.00 600.00 5.00 225.00 20.00 50.00 40.00 550.00 450.00 1,600.00 30.00 275.00 50.00 800.00 60.00 50.00 400.00 50.00 25.00 900~OO 100.00 250.00 .11.060.00 .Amount Over or Under Bu dget $ 50.00 350.00 688.40 183.00 102.00 5.00 50.00 23.00 10.00 18.00 10.00 138.00 1,177.50 15.00 25.00 49.00 145.00 30.00 50.00 220.00 47.00 24.50 19.25 75.00 ~ 941.35 - __...~""~__-.-.'~'T.~'~=~ ~""""_.~~'n"~,_,""",,,,~,,,-,,,,=,,-,-,~.~~=~~_______~,--__,,,,,,,,,,,,,,_______,---=-=-~'-""'""""'-='----=~~_.=-w.'"-'-___~.___=_~.k.~.....-....=..~ 35. ' 1'"' T--=-------.--------------..---.~.,~-=_-_.....r~=-__._=.u.........._~~~___...~~__=,_'.~..-.-..--"-."~-'"""'c......-~'........-'-.,,.i CITY OF SALINA, KANSAS Sohedule 1 - b GENERAL FUND - ADMINISTRATIVE AND FINANCE DEPARTMENT DETAIL OF DISBURSEMENTS From January 1, to December 31, 1940 Salaries and Wages City Commissioners ,City Manager City Clerk and Director of Finance Deputy City Clerk and Director of Finance City Treasurer Ci ty Bookkeeper City Managers Secretary Building Inspector (Includes use of Personal Car) Dump Ground Caretaker Rest Room Caretaker and Police l~tron Total - Salaries and Wages Professional and Contracted Services Revising Ordinances (Balance) Auditing Venereal Clinic Aotua1 $ 375.00 2,100000 1,200.00 1,200.00 450.00 1,440.00 864.00 2,040.00 480.00 127.50 .Amount Over or Under Bud~t Bud~et $ 375.00 $ 2,100.00 1,500.00 900.00 450.00 1,440.00 864.00 300.00 300.00 2,040.00 480.00 120.00 7.50 (lO,L276.50 t!Q.269.~ l.~, 7.50 $ 400.00 $ 600.00 300.00 $ 400.00 200.00 800.00 300.00 / Total - Professional & Contracted Service f 1.300.0~ i 1,100.~. ~~2QO.00 Election Expense Salaries and Wages Printing and Supplies Rent Heat and Light City's Share of Election Expense Paid to County Total - Eleotion Expense Appropriations, Donations and Dues Unemployment Office $ Americanization Center - Rent, Heat & Light National Guard Humane Society Dues To~al - Appropriations, Donations & Dues ~ , I~......~c. 0 ~'--=.~~=O'7'.__..'~'O-.--."_=",....".._.........,.,,,._~,...~_..-,.~,~=-.~_....=' _.....,~ $ 153 069 435.48 30.00 4.25 4,438.31 Not Detailed in Budget ~Q61.73 ~ 3.600.00 ~61.73 300.00 $ 142.82 300.00 240.00 78.00 1l....Q60.82 300.00 $ 150..00 300.00 240.00 7018 78.00 k 990000 - -'.-a:... L-r- 70.82 36. '--~'~~.=._""~-~-~",,,__~,.,_._._.__~_--o=-,,~~___c__ -'" -~~.--~.~_~-......-_ _--==..J. ~----- ="'-"-"~="'--~----,~_--.._,,~~.,.-- -----~y-,~~,-.,.~-~~ --=~ ~ ~_--' ___~""",_'''''-'u., ~,~,..-..",.~ _.~,-, ~_~~,_._p, CITY OF SAUNA. KANSAS STATEMENT OF RECEIPTS. DISBURSEMENTS AND BAIANCES OF CASH Schedule 2 GENERAL FUND - POLICE DEPARTMENT From January 1, to December 31, 1940 Balance - January 1, 1940 Receipts Ad Valorem Taxes Gifts and Grants - Sales Tax Resi- due Refunds and Recoveries Care of Prisoners Expense , Telephone and Telegraph Expense Total Reoeipts . Total Disbursements Sal&ries and Wages Chief of Police Police Captain Desk Sergeants Patrolmen and Special Police Traffic Officers Dog Catcher Total Salaries and Wages Professional and Contracted Services Care of Prisoners Radio Frequency Measurements Office Supplies and Expense Maintenance of Equipment Materials and Supplies Insurance and Bond Premiums Gasoline, Oil, Grease, and Anti- Freeze Traveling Expense Furniture and Equipment TVJO Automobiles (Old Cars Traded In) Other Miscellaneous Total Disbursements Balance - December 31, 1940 Amount Over or Under Actual Budget Budget $ 2,882.01 $ 1,134.69 $1 , 747 . 32 $31,335.59 $28,053.93 $3,281.66 2,636.38 2 ',636 . 38 $ 2.00 14.64 16.64 16.64 $33,988.61 $30,690.31 $3,298.30 $36,870.62 $31,825.00 $5,045.62 $472 .00 111. 74 583.74 210.75 700.00 310.00 l.i6.26 99.25 $31,670.69 $31,825.00 $ 5~199.9l L e 154.31 --~--'__.,-..-,-" '----...-"-~-~--=.-"-=-~,_._.,.,,,______jT~. ,__~.-_~...,...~___ , ~ ; I I '1- '7 i 40J f . ~ -".._,_l $5,159.93 CITY OF SALINA, KANSAS Sohedule 3 STATEMENTS OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH GENERAL FUND - STREET DEPARTMENT From January 1, to December 31, 1940 Amount Over or Under Actual Budget Budget t 414.36 $ 1,646 .30 $1,231.94 $19,265.44 $17,368.60 $1,396.84 861.84 861~84 651.65 1,,000.00 348 .35 216.86 1,500000 1,283.14 $1,000000 949.02 1,949.02 1,600000 349.02 2, 160 .10 2,160.10 Balance - January 1, 1940 Receipts Ad Valorem Taxes Rents and Equipment Rental Services and Sales Repairing Streets and Alleys other Gif'ts and Grants County Highway Maintenance Distribution State Highway Maintenance Distribution Sales Tax Residue Refunds and Recoveries Gasoline, Oil, Grease, and Kerosene Materials and Supplies Mi soe 11ane ous $1,764.62 5.51 Total Cash Receipts Inter-Fund Transfers From Street Department - To record rentals applied by other city funds toward purchase of street sprinkler chassis Total Reoeipts Total Disbursements Salaries and Wages Street Superintendent - Includes use of personal oar :Meohanic Labor - Maintenanoe Paved Streets Labor - Maintenance Unpaved Streets Labor - Maintenanoe Bridges and Sewers Labor - Repairing Streets and Alleys other Labor Total Salaries and Wages (Carried Forward) 1,770.13 1,770013 800.00 800.00 '26,875.04 $24,428.70 $2,446.34- 200000 200.00 $27,075.04 $24,428.70 $27,489.40 $26,075.00 $2,646034 $1,,414.40 t 2,,400.00 $ 2,400.00 $ 1,335.00 1, 500.00 165.00 7,088003 4,500.00 2, L~' .03 5,144.01 3,500.00 1,644001 379.80 1,000.00 620 .20 1,862.12 2,500.00 637.88 241.78 241078 $18,450 074 $15,400.00 $3,050.74 38. CITY OF SAUNA, KANSAS Sohedule 3 (Cont'd.) , , STATElrlENTS OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH GENERAL FUND - STREET DEPARTMENT From January 1, to December 31, 1940 Total Salaries and Wa~es (Br.ough't Forward) Office Supplies and Expense Water, Light, Heat, and Power Maintenanoe - Street Sweeper Maintenanoe of Buildings and Other Equipment Materials and Supplies Rent Insurance and Bond Premiums Gasoline, Oil, Grease, and Anti-Freeze Tools and Equipment Sewer Cleaning Equipment other Misoe11aneous Professional Services $789.58 56.03 Total Cash Disbursements Inter-Fund Transfers To Street Department - For street sprinkler chassis Total Disbursements Ba1anoe - December 31, 1940 \ Actual Amount Over or Under Budget Budget $18,450.74 $15,400000 $3,050.74 76.70 100.00 23.30 302092 300 .00 2.92 688.50 500.00 188050 1,141.10 1,500.00 358.90 1,744006 1,500.00 244.06 156.00 156.00 19.00 19.00 3,877.80 3,500.00 377.80 845.61 3,000.00 2,154039 23.00 100.00 77.00 $27 , 306 043 $26,075.00 $1,231.43 200.00 200.00 $27,506.43 $26,075.00 $1,431.43 $ 17.03 $ t 17003 39. '~"""'~"'-=---'-'=-""'----~"---r___.__......,,__~-=---_~_.____~,........___.__~.....~."":c..""".~......-....~- "'-__"~"'="".~~""'~~"'~"~"'~~"_" .r",... CITY OF SALINA, KANSAS Schedule 4 STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH GENERAL FUND - ENGINEERING DEPARTME1\TT From January 1, to December 31, 1940 Balance - January 1, 1940 Recei;pts Ad Valorem Taxes Services and Sales Engineerin~ Services Other Sales Gifts and Grants - Sales Tax Residue Total Receipts Total Disbursements Salaries and Wages City Engineer (Includes Use of Personal Car) other Employees (Includes Mileage Allowances) Professional Services - Blue Prints, Appraising and Abstracting Office Supplies and Expense Legal Printing Materials and Supplies Insurance and Bond Premiums Miscellaneous Furniture and Fixtures other Total Disbursements Balance - December 31, 1940 Amount Over or Under Actual Budr.;et Budr.;et $ 179.55 $ 17.73 $161.82 $6,603.15 $6,181.98 $421.17 842.94 1,000.00 157.06 13.64 13064 650.29 650.29 -- $8,110.02 $7,832.27 $277.75 $8,289.57 $7,850.00 $439.57 $2,700.00 $2,700.00 $ 3,514.85 3,500000 14085 395.18 400.00 4.82 295.52 250.00 45.52 358.70 700.00 341.30 131.13 200.00 68.87 12.50 12.50 $130.45 57.65 188.10 100.00 88.10 --- ---.- $7,595.98 $7,850.00 $254.02 ~~6~.59 t - ~9~.!~ ~--=.;.'"'==-. I f 4:i. I' '..............-.c ~'_ _~... .- =1W__- =_~-_'.''-'''''-_~,- "'n"'__-~'.~~L__' ,~'_"'~'-_~-'-'~=~. ---~~,,~_-..... _~'_'=. ~~W~----"""~____"-"-"'-"__"__,_~________._," _C ~"~""'_'_~___~~_.._.~~,"__~________.~~. ~-_~~_w- CITY OF SALINA, KANSAS Sche du1e 5 STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH GENERAL FUND - MILK InSPECTION DEPARTMENT From January 1, to Deoember 31, 1940 Balanoe - January l~ 1940 Aotua1 $ 968.54 Rece~ Ad Valorem Taxes $ 851.84 Fees~ Licenses and Permits - 1lilk Permits 580.50 Gifts and Grants - Sales Tax Residue 200.47 Total Receipts Total Disbursements Salary - tli1k Inspeotor ( Includes use of Personal Car) Office Supplies and Expense Materials and Supplies Miscellaneous Total Disbursements Balance - December 31, 1940 $1,632.81 $2,601.35 $1,920.00 78.76 180.35 $2,179.11 t 422.24 Bu dr,et L595.74 $ 723.79 900.00 200.47 $1~8?4.26 $2,420.00 $1,920.00 300.00 100.00 Ibo.oo $2,420.00 f Amount OVer or Under Budget $37208.0 $128.05 319.50 $191.45 $181.35 $ 221.24 80.35 100.00 $240.89 J422.24 41. -~"--'-'"--="-~"___"__-~~'-'_'___"'~'~"_________~_'"-c_._.___..-.~___....-=.,____....----.-...., ~......___W,~~~..,..,_..._~_._..7....._.'.. ~=__ CITY OF SALINA, KANSAS Schedule 6 STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH GENERAL FUND - LEGAL DEPARTJt.'JENT From January 1, to December 31, 1940 Total Amoun1i Ov~ or Under Aotual Budl1:et Budget 11,252.30 $ 534.77 ! 717.53 $3,126.04 $2,308.38 $ 817.66 256.85 256.85 $3,382.89 $2,565.23 $ 817066 t~,635.19 $3,100.00 $1,535.19 Ba1anoe - January 1, 1940 Receipts Ad Valorem Taxes Gifts and Grants - Sales Tax Residue Total Receipts Disbur sements Salaries City Attorney Police Judge Professional Services Special Legal Services Court Reporters Fees Laboratory Servioes Offioe Supplies and Expense Misoel1aneous $1,800.00 600.00 $11l800.00 600.00 $ $447.65 24.60 8.00 480.25 500.00 19.75 10.95 100.00 89.05 100.00 100.00 $2,891.20 $3,100.00 $ 208.80 lh143.99. L- r:r- jJ,743.99 Total Disbursements Balance - December 31, 1940 I t 42. ~ --'. .,,~. 'n_~____.-.--!': CITY OF SALINA, KANSAS Sche dule 7 STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH GENERAL FUND - BUILDING DEPARTMENT From January 1, to December 31, 1940 Actual Budget .Amo unt Over or Under Budget Balance - January 1, 1940 $ 948.41 $ 316.87 $ 631.54 Receipts $2,,,164.76 $1,829.24 $ Ad Valorem Taxes 335.52 Gifts and Grants - Sales Tax Residue 193089 193.89 --- Total Receipts $2,358.65 $2,023.13 $ 335.52 Total $3,307.06 $2,340.00 $ 967.06 Disbursements Salary - City Hall Custodian $1,140.00 $1,140.00 $ Extra Labor 62.00 62.00 Maintenance of Building 208.08 500.00 291.92 Materials and Supplies 479.56 300.00 179.56 Insurance 400.00 400.00 Total Disbursements $1,889..64 $2,340.00 $ 450036 , . ~1.417.42 Balance - December 31, 1940 $1,417.42 -""""_.~~~_""-'.. .~.___._.a____..=---....,,,,~,,..,______.~,,_. 'Q'---~_'-,"-",_,=,"",_____"--"~~,_",_""_~,"",,,,,, CITY OF SAlINA, KANSAS STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH GENERAL FUND - CITY COURT DEPARTMENT From January 1, to Deoember 31, 1940 Aotua1 Budget Balanoe - January 1, 1940 $ $ Receipts Court Costs Remitted by Clerk of Court $1,987.70 Refunds and Recoveries Telephone and Telegraph Expense 1.00 $2,800.00 Total Cash Receipts $1,988.70 $2,800.00 Inter-Fund Transfers From General Fund - Administrative and Finance Department to Cover Operating Defioit 3,50~~32 2,800.00 Total Receip~s $5,489.52 Total $5,489.52 $5,600.00 !~, 600 000 Disbursements Salaries and Wages Judge Marshall Clerk $2,400.00 $2,400.00 1,500.00 1,500.00 1,200.00 1,200.00 $5,100.00 $5,100.00 237080 300.00 35.00 116.02 115.00 35.70 50.00 $5,489.52 $5,600.00 ~- L Total Salaries and Wages Office Supplies and Expenses Insurance and Bond Premiums Traveling Expense - Marshall's Mileage AlloViance Miscellaneous Furniture and Fixtures Total Disbursements Balance - December 31, 1940 Sohedule 8 Amount Over or Under Budget $ $812.30 1.00 $811.30 700.82 $110.48 $110.48 t t 62.20 35.00 1.02 14.30 $1l0.48 L- ~' ( ! f I 44.; ~o..-,.~ '..-,-.~~..~~-~..~-~~"""",-~,--_~_~__,,oo~.~ -" .~. -';"-'-_"~'__~'--'__=~_'_'__,-", __'_'_~.~~.., "'" ~ __= ""~=r..."~.. ~-,,_~~....t r """---'''''~--'''''''''~~'-'''-''H<''''''~'''''',~_,,,~_,,",,,,,,,,~-,--_,,,,_~,_,,-,,~___...=_'_~ CITY OF SALINA, KANSAS Sohedu1e 9 STATEMENT OF RECEIPrS, DISBURSEMENTS AND BALANCES OF CASH FmE DEPARTMENT FUND From January 11 to December 311 1940 Actual Amount Over or Under Bud~t Bud~t Balance - January 1, 1940 Total $ 4116C?28 $ 3.150.53 11,009.75 $28,652.42 $26.359.14 $21293.28 10.35 10-,35 4.045.33 4,045.33 $ 62.55 167.15 2.52 232.22 232..22 --- $321940.32 $301404.47 $21535.85 $37,100.60 $33,55~ $3,545.60 Receipts Ad Valorem Taxes Service and Sales Gifts a.nd Grants - Sales Tax Residue Refunds and Recoveries Health and Acoident Insurance Benefits Gasoline Expense Other Total Receipts Disbursements Salar,ies and Wages Fire Chief $ 2,400.00 $ 2,400.00 $ Assistant Chiefs 3,120.00 3,120.00 Fire Inspector 1,560.00 1,560000 Firemen 221848.75 23,100000 251.25 i I Total Salaries and Wages $29.928.75 $30,180.00 $ 251.25 ~ ' Offioe Supplies and Expense I 134.69 125.00 9.69 Maintenanoe of Building and Equipment 214.28 500.00 285.72 j' Materials and Supplies 1,678.00 300.00 1,378000 ~ Insuranoe and Bond Premiums 103.25 75.00 28.25 Gasoline, Oil, Grease and Anti-Freeze 329.41 325.00 4.41 Traveling Expense 47.00 50.00 3000 Furniture~ Tools and Equipment Hose Nozzles & Couplings $192.14 Outboard Boat Motor 110.00 Furniture & Fixtures 109.80 Other 357.32 769.26 1,800.00 1,030.74 Miscellaneous 200000 200.00 Total Disbursements $331204064 $33,555000 $ 350.36 Balance - December 31, 1940 f 3.~~~ L=~-~ f3,895.96 i I 1'--, ...._ 45. ".__~=..--,__rw~~""C:"..J d~~'.--_"~"'-C ........m'~~.__,,_=..-..... _,~-~__~__~~~__._~....n~_.. ,._"~_'~"_' '~~_"___==>___~~_~"'=-~_ ,=_~,,~,." ~~ ~.,.=" CITY OF SALINA, KANSAS Schedule 10 STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH PARK DEPARTMENT FUND From January 1, to December 31, 1940 Amount Over or Under Aotual Budget Budget Balance - January 1, 1940 $ 3,007.54 . 2~635.68 t 371.86 Reoeipts $12,160.21 $11~ 372.71 $ 787.50 Ad Valorem Taxes Rent 150000 150.00 Service and Sales 11.18 5.00 6.18 Gifts and Grants - Sales Tax Residue 1,561.61 1,561.61 Misoe11aneous Receipts 75.00 75.00 Sub-Total $13,733.00 $13,164.32 .' 568 .68 Swimming Pool Department Receipts Conoessions $ 201.76 $ 125.00 t 76076 Services and Sales Admissions, Suits, and Towels 2,194.75 2,800.00 605.25 other Sales 20.00 20.00 Misoe1laneous Sales Tax Collected 2.56 50.00 47 044 Sub-Total $ 2~4l9.07 $ 2,975.00 $ 555.93 Total Receipts $16,152.07 $16,139.32 $ 12.75 Total $19,159.61 $18,775000 $ 384.61 Disbursements Salaries and Wages Park Superintendent - Includes use of pe rsona1 car Other Labor Office Supplies and Expense Water~ Light, Heat, and Power Maintenance of Building and Equipment Materials and Supplies Insurance and Bond Premiums Gasoline, Oil, and Anti-Freeze Top1s and Equipment Hose other New Improvements Sidewalk Construotion Misoellaneous $249.90 157.67 Sub-Total Swimming Pool Department Disbursements (Per Schedule 10 - a) Total Disbursements Balanoe - December 31, 1940 $ 1,800.00 $ 1,800000 $ 10,568.90 9, 500.00 1,068.90 48.00 75.00 27.00 308 .26 600.00 291.74 178.44 250 .00 71.56 1,957.48 500.00 1~457.48 50 .00 50 .00 261.60 200.00 61.60 407.57 1,000000 592043 248.00 600.00 352.00 10.00 200.00 190.00 $15,788.25 $14,775.00 $1,013.25 2,445.16 4,000.00 1,554.84 $18,233.41 $18,775.00 t 541.59 . 926020 t $ 926.20 46. ____~.-....,=-u._.". CITY OF SALINA, KANSAS 'Sohedu1e 10 - a PARK DEPARTMENT FUND - SWIMMING POOL DEPARTMENT DETAIL OF DISBURSEMENTS From January 1, to Deoember 31, 1940 Total Swimmin~ Pool Department Disbursements Amount Over or Under Actual Budget Budget $1,417.12 $1,600.00 $ 182.88 16.34 150 .00 133.66 500 . 50 900 .00 399.50 48 .18 100.00 51.82 2.25 500.00 497.75 385.76 500.00 114.24 15.00 15.00 200.00 200 .00 $13.20 61,,81 75001 35.00 40001 $2,445.16 $4,000.00 .1.554084 Salaries and Wages Office Supplies and Expense Water, Light, Heat, and Power Water Light, Heat. and Power Maintenance of Buildings and Equipment Materials and Supplies Insurance and Bond Premiums Furniture, Tools, and Equipment Miscellaneous Advertising Sales Tax Remitted to State 47. -"-~~",=-~"...--........,,-"-,,""""-_-- ~ .,- ""---'~'----'''''''----~--..-._~.. - ='~'."""-__~""~'_.O'-'-"'-"'~=''-'_--''''=-='.-""___"._.~,,,-.- CITY OF SALINA, KANSAS Schedule 11 STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH MEMORIAL HALL FUND From January 1, to December 31, 1940 Balance - January 1, 1940 Receipts Ad Valorem Taxes Rents and Concessions Services and Sales Sale of Tickets Sifts and Gr~nts - Sales Tax Resi- due E",f~:ds 8;:C. ?ecoveries Services of Scorekeeper and Pub- lic Address System Operr,tor Total Receipts Total Disbursements Salaries and Wages Custodian Other Labor Office Supplies and Expenses Water, Light, Heat and Power Maintenance of Building and Equip- ment Materials and Supplies Insurance and Bond Premiums Furniture and Equipment Miscellaneous Trash Hauling Total Disbursements Balance - December 31, 1940 Amount Over or Under Actual Budget Budget $ 908.91 t 79.28 : $829.63- $2,600.01 $2,442.50 $157.51 1, 165.00 2,114.93 949.93 .._; c'; tjr', 100.00 78.00 L.t.., . vI.... ;::48.2S' 348.29 210.('0 210 . 00 ---.-. $4,345.30 $5,005 .72 $660.42 $5,254.21 $5,085.00 $169.21 $1,260.00 $1,260.00 $ 616 .71 500.00 116.71 69.57 75.00 5.43 1,485.72 1,800.00 314 .28 417 .46 600.00 182 .54 602.52 250.00 352 .52 29.44 29.44 253.19 500.00 246.81 12 . 00 100.00 88.00 $4,746.61 $5,085.00 $378.39 -..------ $ 507.60 !J $507.60 ~~=~ -'~~ i , f ! i: i I i 43. !' P....,_.1 CITY OF SALINA, KANSAS Schedule 12 STATEMENT OF RECEIPTS, DISBli'RSE11ENTS AND BALANCES OF CASH SEWAGE DISPOSAL FUND From January 1, to December 31, 1940 Balance - January I, 1940 Amount Over or Under Actual Budget Budget $3,193.65 $1,449.95 $1,743.70 $6,058.30 ~s 1'1'9 ....r $ 439.08 'it'L ._' ~ ..:..~ 730.83 '7rz,.., Q7 f'-V.\'o..... $€,n9.13 ~f,,350.05 $ 439.08 $9,982.70 $7,EOO.OO $2,182.78 Receipts Ad Valorem TaXES C:i't:: a..'1d Gr&,:nts - Se,le::: Tax Residue Total Receipts Total Disbursements Salaries aile Wages Superintendent (Includes ~se of Personal Car) Other Labor Office Supplies and Expenses Water, Light, Heat and Power Maintenanoe of Buildings and Materials and Supplies Insurance and Bond Premiums Miscellaneous Real Estate Purchased Total Disburseme~ts Balance - December 31, 1940 $2,400.00 $2,400.00 ~ 1,398.10 1, 200. 00 198.10 53.88 50.00 3.88 2,144.53 2,800.00 655.47 Equipment 142.26 900.00 757.74 530..27 200.00 330.27 100.00 100.00 172 . 80 150.00 22.80 $c 8.1.' 8.1 $7,800.00 $ 958.16 - v, _..L..l $3,140.94 $ $3.140.94 J n ~ , I .,,49j ._~,_____,_c~._,_._~~~ ~.~'~_".~~~~_~ ~ i I CITY OF SarnA, KANSAS Sohedule 13 STATEMENT OF RECEIPTS, DISBURSEMElfTS AND BALANCES OF CASH GENERAL IMPROVEMENT FUND From January 1, to Deoember 31, 1940 Balanoe - January 1, 1940 Receipts Ad Valorem Taxes Special Assessment Taxes Weed Cutting; Water Service Lines Rent and Equipment Rental Services and Sales Weed Cutting; Gifts and Grants - Sales Tax Residue Refunds and Recoveries Taxes Miscellaneous Total Receipts Total Disbur sements Salaries and Wag;es Equipment Rental Professiona~ and Contracted Services Maintenance of Equipment Materials and Supplies Gasoline, Oil, Grease and Anti-Freeze Tools and Equipment Littleford Asphalt Spray Tank Lease Rental Payments $380.00 Other 104.06 Miscellaneous Total Disbursements Balance - December 31, 1940 L......_._~. _c._________.-_..= ,_~."'__~.~._~,...,...."" Amount Over or Under Actual Budget Bud?;e't $ 3,484.58 $ 30.77 $3.453081 $16,374.04 $15,491.80 $ 882.24 459.52 400.00 59.52 69.83 100.00 30.17 300.00 300.00 3.00 3.00 1,427.43 1,427.43 4.54 4.54 100.00 100.00 $18,638.36 $17,519.23 11,119.13 $22,122.94 $17,550.00 $4 .572.94 $ 4,984.90 $ 7,000.00 $2,015.10 1,QOO.OO 1,000.00 675.93 100.00 575093 175.19 500.00 324.81 10,840.56 8,000.00 2,840.56 328.55 250.00 78.55 484.06 500.00 15.94 26.00 200.00 174.00 $17,515.19 $17 ,550.00 $ 34.81 ~ 4,607.75 t ~L6Q?.!~ 50. ". , I CITY OF SALINA. KANSAS GENERAL IMPROVEMENT FUND .,~~~~",._"--",=--~=-<-""",-,~,-"""""-,,""-C-'"-""~,,.,.,,.,__,",._~,.,"-..... ~ i: . ~ " DETAIL OF DISBURSEMENTS SHOWING PROJECTS FOR WHICH DISBURSEMENTS WERE MADE From January 1, to December 31, 1940 Streets. Alleys and Park Drives Asphalt and Rock Paving Resurfacing Drives in Sunset Park Resanding Drives in Thomas Park Sidewalks at Street Intersections Dead End Street Improvements Rock Crushing street Signs Street and Alley Returns Street Maintenauce - Snow Removal Bridges and Sewers ~ulberry street Bridge Repair Storm Sewers -#25 GJ.).d #2':: Dry Creek Dyke Sewer and Inlets - ?acifi~ ~d front Street Park Improvements Kenwood Baseball Park Bles..chers Oakdale Park - Ovens and Ornamental Bridge Sunset Park and Oakdale Park - Oiling Tennis Courts Misoel1aneous Crawford Avenue Precinct Building Retaining Wall at Olive and Park Streets 1 ARpha1t Spray Tank (Littleford) Weed Cutting Wrecking Old Bandshe11 Total ~"." Schedule 13 - a $5,215064 1,371009 175000 24010 43068 58 L 89 156.36 1063 678.35 $ 8,247.74 $3.031.17 1,879.32 60.75 45.60 5,016.84 $ 291.65 614.93 101.43 $1,767.51 38.59 380000 869 .30 187.20 1,008.01 3,242.60 $17,515.19 I ~ h I 51. ,1 .'.' ......_~~,,~t , ~.".---~.:._~.~- -- .'-.--.-~~" _...... . -_.~ -,~--'--' ~'.="'.-~-~----"".'" -,-. .~=--'<--'-',_-,,~~~,,~--,,-~----~-----,~,-'-.-- -~~ .~-_....~_~~. ".,..,_~~_ ~,.,._c.__=_ ,.._ ~ :- ~ --'-'......~..-~--'"'---~."-~..~'-...._-"'~...-,...-.....-........~---..._.."'_...-._~~_._""-~-~--~-...--.,......",.,...,." ..-_.."....,..,.,.._~<~-~._~--..~--I-==T ~_.'_.___-,n_=,~..., 0 "".' .-. _ ~.-,..,-~.."''''._-.T.-- :'1 CITY OF SALINA, KANSAS ~ f , !: I: I! ~ I' ,I ~ ,r Schedule 14 STATEMENT OF RECEIPTS. DISBURSEMENTS AND BALANCES OF CASH WATER, LIGHT, HEAT AND POWER FUND From January 1. to Deoember 31. 1940 Balanoe - January 1, 1940 Receipts Ad Valorem Taxes Gifts and Grants - Sales Tax Residue Refunds and Reooveries Railroad Street Crossing Lights Miscellaneous Rental - Baseball Park Total Receipts Total Disbursements Water - Hydrant Rental Water - City Buildings and }fiscellaneous Street Lighting White Way Lighting Traffic Lights and Christmas Lights Lights - City Buildings Heat - City Buildings Maintenance of Street, White Way and Traffic Lights Misoellaneous Lease Rental - Baseball Lights $619.65 Traffic and Flood Lights 680.92 Total Disbursements Balance - December 31, 1940 Aotual $11,100.63 $34,136.54 4,390.77 926.82 $39,454.13 $50,554.76 $11,275.00 278.70 6,132.00 13.996.46 517.13 1,043.78 912.49 '" 60.25 1,300.57 $35,516.38 t15,038.38 Bud p::et $ 6.231.20 $31,187.68 4,390.77 800.00 250.00 $36,628.45 $42,859.65 $14,150.00 2,200.00 5,900.00 15,649.00 300.00 1,600.00 1,200.00 150.00 1,810.65 $42 , ~5..?_.._6 5 L, -- Amount Over or Under Budget $ 4.869.43 $ 2,948.86 126.82 250.00 $ 2,825.68 $ 7 ,695.11 $: 2,875.00 1,921.30 232.00 1,652.54 217013 456.22 287.51 89.75 510.08 ~ '7 '<L! '2 ')7 :!L~~.,_s..:':' :l, '-) .- $15.038.38 . ^~_'_~'="'''''~_'~.~~W=~T~~_',~~_<'._~~~~_~-'-==~,_r_.~~_'.'~"""'-""""~---~-~-~_____....._______.,.~~r'...-'",,~~,,=,~-.....c-=--=~~~,,<~.,~~.~~_~. __. ___ _ _ ..-=-=".,...,,_, _""'''''-'''-''- 52. ! CITY OF SALINA, KANSAS STATEMENT OF RECEIPrS, DISBURSEMENTS AND BALANCES OF CASH BOND AND INTEREST FUND From January 1, to December 31, 1940 Balance - January 1, 1940 Receipts Ad Valorem Taxes General Bonds Special Bonds Total Ad Valorem Taxes Special Assessment Taxes Paving Assessments Sewer Assessments Street Lighting Assessments By Pass Assessments Sidewalk Assessments Interest on Assessments Interest and Premiums Accrued Interest on Bonds Sold Premiums on Bonds Sold Miscellaneous From Condemnation Fund for Principal and Interest on Internal Improve- ment Bonds issued for Olive Street Viaduct $22,457.23 5,412.00 23.25 230.88 6.95 885.67 $ 43005 44 .90 Total Cash Receipts Inter-Fund Transfers From Construction Fund (Excess of bonds issued over cost of con~ struction project) Total Receipts Total Disbursements Bond Principal General Bonds Special Bonds - City's Share Special Bonds - Property Owner's Share Total Bond Prinoipa1 (Carried Fwdo) Actual $ 27,056.67 $133,428.41 3,180.35 $137,208076 29,015.98 87.95 5,900000 $172,212.69 Budget $ 10,513.37 $125,704.51 2,530.02 $128,234.53 25,340.36 5,900.00 $159,474089 Schedule 15 Amount Over or Under Budget $16,543030 . 7,723.90 1,250.33 $ 8,974023 3,675.62 87095 $12,737080 81.60 81.60 $172,294.29 $159,474.89 $12,819.40 $199,350.96 $169,988026 $29,362.70 $111,472.75) 10,894.74)- $145,217.04 $ 23,120.91) $145,488.40 $145,217.04 $ 271 . 36 2710 36 53. Sohedu1e 16 (Cont'd.) STATEMENT OF RECEIPl'S, DISBURSEMENTS AND BALANCES OF CASH CITY OF SALINA, KANSAS BOND AND INTEREST FillID From January 1, to Deoember 31, 1940 Aotual Budget Amount Over or Under Budget Total Bond Principal (Brought Fwd.) $145,488.40 $145,217.04 . 271.36 Bond Inte re st General Bond Interest Special Bond Interest - City's Share Special Bond Interest - Property Owner's Share $ 20,770068) 1,559.13) 6 ) -.. 2,151068) 24,406.22 $ 75 . 27 Total Bond Interest Total Disbursements . 24,481.49 $ 24,406.22 $ 75 0 27 $ 214.83 $ 365.00 # 150 .17 $170,184.72 $169,988.26 $ 196 046 $ 29,166.24 $ $29,166.2~ Fiscal Agency Commission and Postage Balance - December 31,_1940 54. CITY OF SALI~A, K.ANSAS ~'-~'~-~! i Sche du1e 16 STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH BAND FUND From January I, to December 31, 1940 Total Amount Over or Under Actual Budp;et Budp;et $ 606.08 $ 341.08 $265.pO $5,172.77 $4,812.25 $360.52 596.67 596.67 $5,769.44 $5,408.92 $360.52 $6,375.52 $5,750.00 $625.52 Balance - January 1, 1940 Receipts Ad Valorem Taxes Gifts and Grants - Sales Tax Residue Total Receipts Disbursements Appropriation to Salina MUnicip~l Bano:,;Board ..5,749.92 $5,750.00 $ .08 Balance - Deoember 31, 1940 ~ 625 .60 .- l. .625.60 . 55. ~-~~.~.~.---==-~~------~._~.-., ---"...._~-.,-~-~______~*~--=o=_=_~____~ CITY OF SALINA, KANSAS Schedule 17 STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH LIBRARY FUND From January 1, to December 31, 1940 Total Amount Over or Under Actual Budget Budget $ 678.03 $ 821.92 $143.89 $10,280.79 $ 9,563.24 $717.55 1,084.84 1,084.84 $11,365.63 $10,648.08 $717.55 $12,043.66 $11,470.00 $573.66 Balanoe - January 1, 1940 Receipts Ad Valorem Taxes Gifts and Grants - Sales Tax Residue Total Receipts Disbursements Appropriation to the Free Public Library Board of the City of Salina, Kansas 11,470.00 11,470000 Balance - December 31, 1940 t 573066 $ $573066 56. ~ I: CITY OF SALINA, KANSAS "'--'-"~-'~'-'~-"~---~~~'~.'-~-~<I r Schedule 18 STAT~~NT OF P~CE:PTS, DISBt~SEn~NTS AND BALANCES OF CASH AIRPORT FmlD From January 1, to December 31, 1940 3~,lfmcc - JpJluc.r"\,"" I iI .-, 1940 Receipts 1";..(1 Valcr0;n: Taxes F~er:t{,: CllC COIlcer.sior..c Hangar Ren.tal :~:. r;: (t ~t i~~ Cl:" t c:.l Totul :;eceipt::: Total Disbursements Salaries and WagcE Water, Light, Heat aIle Power Maintenance of Buildings and Equipment Materials and Supplies Miscellaneous Total Disbursements Balance - December 31, 1940 ~."'I" ""'. f"'''''''' tn- ..L....I...,., . -.....'If 24C.OC Actual tE14.48 I' '"' f. ()€ 3fO.OO Budget $690.85 ,e, 'Ii' 25:.CC $Z65.06 $250.00 $.879.54 $940.85 ~Z23.40 $600.00 47.30 50.0e' 5.65 290.85 120.72 9.57 $472 .~O ~ $406.64 $940.85 A.'1l.ount Over or Under Budget C 176.37 "" "" 5.06 110. CO $115.06 $ 61.Zl $376.60 2.70 285.20 120. 72 9.57 $534.21 $472.90 57 i - L--~_~~-J__'~ -~'-~~""~"C~~_._~-'"~~~'"'~"'.'~'~~i i CITY OF SALINA~ KANSAS Schedule 19 STATE1~NT OF P~CEIPTS. DISBURSE1lliNTS AI-ill BADU~CES OF CASH BIND~~ED CONTROL FulID From January 1, to December 31. 1940 Actual Budget Amount Over or Under Budget Ecclance - J?,nul:;.r~' ::., 1940 $22~.8f ~( 9Z,.Z4 $131.51 Receiptr: Ad i.Tn lorey: ~ax8s Gift::: r:~.::':C. ~~8..L~.tf: -- <:r",~~ ...,"'1......'-'- Ts.x :s~s. ~: duC' ;643.89 C618.15 ~ 25.74 'if ,~: .44 42 .44 32.51 GC.51 $774.54 ~706.56 ~ 68.18 'iI' ~~.)S9 .e-9 <l["cnr- "'''' $199.69 'rf'L......\..... v'v $703.75 $400.00 $303.75 100.00 100.00 120.00 300.00 180.00 5.50 5.50 $829.25 $800.00 $ 29~25 $170.44 $ $170.44 Serv'j_ccz 9.:lC. Sp..lt'~, Le.bo~ fJ.:~C', ~,I:;.tc~ial Total Receipts T'.Jtal Disb\.<rsEruents Se_J.B,ries and ~aGeE Maintenance of Equipment Materials and Supplies Tools and Equipment Total Disbursements Balance - December 31, 1940 t----.....~ _-,~..~_-..-~-_~~,_-=_~.__-'_.~~ 58. I -~_..,,-=,,-_.....~,,,,--.-~.--=---.,..~~~ Schedule 20 Firemen's Pension Fund Comparison with Budget Amount Over or Under Actual Bud/1;et Budget $ 7,867.40 $ - $7 ,867.40 $ 2,272.28 $2,262.19 $ 10.09 - 20 .00 20.00 - - - - - - - - - - - - 570.98 570 .98 - - - - 298028 300 .00 1.72 - - - $ 3,141.54 $3,153.17 $ 11 063 $11,008.94 $3,153.17 $7,855.77 $ - $ - $ - i r - - - I - - - I - 1,913.17 1,913.17 I 2,235.00 1,240.00 995000 - - - , - - - 11 - - - l - - - $ 2,235.00 $3,153.17 $ 918 . 17 I $ 8,773.94 $ $8,773.94 Ii il ~ 69 CITY OF SAliNA, KANSAS STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH , ;t 'f: ~ TRUST AND AGENCY FUNDS From January 1, to December 31, 1940 Hillcrest Hillcrest I' Firemen's Firemen's Cemete ry Memorial Memorial ,I 'I ~ Pension Relief Endowment Endowment Trust Ii Total Fund ,Fund Fund Fund Fund " . Balance Januar 1 1940 $30,793.87 $ 7,867.40 $11,764.61 $2,026.34 $3,135.52 $ - - Receipts $ Ad Valorem Taxes $ 2, 27 2 . 28 $ 2, 272.28 - $ - $ - $ - Membership Fees and Dues 129.50 - 129.50 - - - Interest and Premiums 573.87 - 510 .11 - 63.76 - Sales - Investments Matured and Sold 2,500000 - 1,500.00 1,000.00 - - Sales - Perpetual Care Service 346.00 - - 175.00 171.00 - Sales - Mausoleum Space 1,710.00 - - - - 1,710.00 Gifts, Grants, and Apportionments Sales Tax Residue 570 098 570.98 - - - - state Distribution of Insurance Premium Assessments on Insurance Companies 2,065.82 - 2,065.82 - - - Refunds and Recoveries 1% Salaries and Wages of City Firemen 298.28 298.28 - - - - From Cancellation of Life Insurance Policies 86 .50 - 86 . 50 - - - - - -- Total Receipts $10,553.23 $ 3,141.54 $ 4,291.93 $1,175.00 $ ,234.7,6 $1,710.00 Total $41,347.10 $11,008.94 $22,056.54 $3,201034 $3,370.28 $1,710000 Disbursements Professional Services (I~dica1, Hospital, and Funeral Expenses) $ 383.00 $ - $ 383.00 $ - $ - $ - Insurance Ii Life Insurance 713.39 - 713039 - Ii - - Health and Accident Insurance 1,511009 - 1,511009 - - - Ii Investments Purchased - - - - - - Pension Payments to Retired Firemen 2,235.00 2,235.00 - - - - Relief Payments to Disa.bled Firemen 1,095.00 - 1,095.00 - - - Miscellaneous Commissions - Sale of Mausoleum Space 342000 - - - - 342.00 Endowments Paid to Hillorest Memorial Endowment Fund 171 .00 - - - - 171000 Remitted to Clerk of District Court 1,197000 - - - - 1,197.00 Total Disbursements $ 7,647.48 $ 2,235.00 $ 3,702.48 t - $ - $1,710.00 Balance - December 31 1940 $33,699062 $ 8, 77 3.94 $18,354.06 $3,201.34 $3,370.28 $ !' Lc~~ € CITY OF SALINA, KANSAS scheduie"21 STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH WATERWORKS DEPARTMENT FU1ID From January 1, to Deyember 31, 1940 Balance - January 1, 1940 Receipts Hydrant Rental Services and Sales Operating Receipts Sales of Investments Temporary Notes Investment Bonds Interest on Investments Miscellaneous Receipts Sal e of Jilllk Other Total Reoeipts Total Disbursements Bond Principal Retired Bond Interest Pal d Fiscal'Agency Commission and Postage Appropriations for Operations Investments Purchased Temporary Notes Purchased From Construction Funds Total Disbursements Ba1anoe - December 31, 1940 60. , CITY OF SALINAt KANSAS . . "-.- :_,~~~.\'~;'. :;>; · . stih$dule 22 STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH CEMETERY FUND From January 1, to December 31, 1940 Amount Over "h ," ... ,<..,.o:r;Under '.: ' ,;:\';:';.A01.h.af"'<~/f.::c:(~~a-~e:{;\:'. '''''};Budget.'.:. . . ~a1ance - January 1, 1940 $ 349.50 ~eceipts Ad Valorem Taxes Fees and Permits Burial and Removal Markers- Lot Ownership Transfers Interest on Endowment Fund Services and Sales Sales of Lots Sale of Grave Space Upkeep Services Refunds and Recoveries Maintenance of Equipment Miscellaneous Part Payment - Part Payment - Building and $2,365.50 ~ .I Investments 1.821.00 45.00 35.00' 148.75 1,122.00 242.00 147.50 Expense .50 $ 25.00 Sale of Garage Investment in Loan Stock 117 .50 142.50 Total Receipts $6~069()75 $5,720.25 Total Disbursements Salaries and Wages Sexton Other Salaries and Wages Offioe Supplies and Expense Water, Light, Heat and Power Maintenance of Buildings and Equipment Material and Supplies Gasoline, Oil~ and Anti-Freeze" Tools and Equipment Chevr'o let Truck . Other Miscellaneous $1,200.00 1,780.35 48.00 212.00 101.06 313.87 120.70 $ 35.31 j384.81 $ ~0.81 521'~OO 5.00. 20.00 151.25 722.00 42.00 2.50 .50 357.50 $830.06 $445.25 957.26 33.49 $902.~0 . 54.46 Total Disbursements $4,766.73 Balance - Deoember 31, 1940 l ~~.52 ;':'--"'-'~"'-=-" $2,324.69 "1~300.00 50.00 ", ~ 15.00 300.00 400.00 200.00 150.00 500.00 $5,239.69 $5,275.00 $1,200.00 .i2,000.00 100.00 200.00 100.00 200.00 75.00 ~5,275.00 l $508.27 ~53 . 52 61. ..., CITY OF SALINA, KANSAS .sohedule 23 STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH PUBLIC EEALTHNURSmG FUND From January 1, to Deoember 31, 1940 Amo unt Over or Under Actual Budget Budget B8.l ance - January 1, 1940 $ $ $ Receipts Ad Valorem Taxes $2,036.21 $2,000.00 $ 36021 Total $2,036.21 .2,000.00 $ 36.21 Disbursements Appropriation to Salina Publio Health Nursing Association $1,999.92 $2,000.00 $ .08 ",. f ~. . Balanoe - Deoember 31, 1940 ' 36.29 36029 ...... 62. CITY OF S.A1.IlrA, KANSAS . . , Sche dule 24 . '," STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH RELIEF HIGHWAY FUND From' January 1, to December 31, 1940 Balance - January 1, 1940 $1,170.78 Receipts None Total jl,170.78 Disbursements Salaries and Wages $1,170.78 Balance - December 31, 1940 l-r 63. CITY OF SALINA,' KANSAS Sohe dule 25 STATEMENT OF RECEIP'rS, DISBURSEMENTS AND BALANCES OF CASH CONDEMNAT ION FUND From January 1, to December 31, 1940 Balance - January 1, 1940 Receipt.s Total Disbursements Miscellaneous To Bond and Interest Fund for Olive Street Viaduct Bonds and Interest Matured during the year 1940 Balance - December 31, 1940 $7 ,041.24 None $7,041.24 $5,900.00 J1.141024 64. ? ~ 1> I ~ J,; :~'jl' .' Schedule 26 AS OF STATEMENT /....., , ,>, ~cj / Sewers W.P.A. ~010-3S "'--. Sewers W .P .A. :jfa010-2S Curb and Gutter W.P.A. 1#787-1 i/ Curb, Gutte r , and Paving W.P.A. 787-4 1/ By Pass Paving W.P.A. #7787-5 1940 to December 31, .......- Asphalt Paving /' Sidewalks Total i ! I I: '1 F I ~ ! II II :i oj I :1 $ $ t $ $3,204.56 $ " $ 4,250.00 $ .00 $ 15,000 $ 155.37 276.96 t $ 34.27 $ $ $3.394.20 276.96 22,750 .00 6,932.49 7,538.59 * Fund Waterworks 1940 Receipts Services and Sales Receipts from Borrowing Temporary Notes Issued to Sale of Bonds Benefit Assessments 1.1. Balance - Janua 2,000.00 500.00. #1,500.00 $1,500.00 $4l682.00 $15,000000 $40 ,B92.24 7.80 - - - 16.98 - $ 60.75 614.46 14.45 6.05 1, $2,000.00 $2,000.00 6,'932.49 846 .20 t 7,778.69 $10,983.25 $ 178050 679.70 842.94 27.55 882.89 30 .38 630.21 500 .00 7, 9.14 - - - - - - 18.00 - 9.14 18.00 16.98 36 . 55 112 0 50 Disbursements Salaries and Wages Equipment Rental Professional and Contracted Servioes Engineering Services Maintenance of Equipment Materials and Supplies Gasoline and Oil Tools and Equipment (Includes Lease Rental Payments) Temporary Note Retired Miscellaneous Medical Servioes Legal Printing Refund on Curb and Gutter Assessment Right of Way Damages and Expenses Interest on Temporary Note Total $ 746.10 141.05 206.25 3,109.18 19.01 432.14 432.00 $4,682.00 $ $ 1.189.68 18.85 11,537.01 33. 26 661.46 $15,000.00 - 1,662.31 $1,939.27 $2,094.64 4,598.08 $4,598.08 $4,632.35 $37,498.04 in Full Paid Total Receipts 199.50 1,812.19 $ 797.99 3.30 3,099045 24 . 98 113.95 $ $ 3,180 .32 820.75 842.94 255.95 21,055.18 122.08 1,843.81 7 , 500 .00 II - 36 .55 112.50 - - $2,011.69 $4,057.67 $35,814.20 Total Cash Disbursements 7.80 $ 732.26 $ $10,901.65 - 7.80 $ 732.26 $ 81.60 $10,983.25 $ - "- #4,662.87 .26 $13,440 (Aocount issuance of of projects) Inter-Fund Transfers To Bond and Interest Fund bonds in exoess of cost $13,440.26 $2,011.69 $4~057 .67 81.60 #35,895.80 $4,662.87 $ 559.74 $ 1, 82.95 $ 574.68 $ $ 4,996044 1940 Balance - December 31, ~, ""'c<:~V 65. $1,492.20 Open .. ...- , :--C;'._ ',C. ...::....; .~~-~-... .-_.. .... .-.-, .-. , .. 4...._....... ..... ~..... '._ '._ :::':':;l"L~'::,:;,::.z:o-:.~ w .____.-.r...,..___......_~("'.~ -." .............~ ---..,...... ............_~... -..- .&,...._~.......----...,.._~..- ...._,--...-....~.....~..,...-~.~ ~.~ ..... -..........._,~ ..~-.......~.- ._.m I J ! J C...:..:........ ,i ----.. -.- -.-----..;4 gil~;~~~t~~:~~j~l .--....... ~"'~ Total Disbursements $1,267.74 Open Closed 19.13 Open Open Open Open of Pro.1ect at End of Year Status . ~ -., 1 ,'~ I~ti~ lilli~- ;....~::...~.~::.,;--":_'-'<-::..':;.:-:.--:.::-.' .... ." -.", .. t 1 1 ~~~1~~tql f;;f.~~:::;:-:"'\::'-l ~ " 1 i ~ j 1 ~~~;kz~M~:~'if CITY OF SALINA, KANSAS Sohedule '27 STATEMENT OF RECEIPTS, DISBURSEMENTS AND BALANCES OF CASH SAlES TAX COLLECTED IN ADVANCE From January 1, to December 31, 1940 Balance - January 1, 1940 $20,943.24 Receipts Sales tax residue applicable to the year 1941 received from the County Treasurer during the year 1940 - to be distributed to various City funds in 1941 21,557.11 Total $42,500.35 Disbursements Sales tax residue applicable to the year 1940 distributed during the year to the various Ci ty Funds 20,943.24 Ba1ance- December 31 ,,1940 l21..551al 66. CITY OF SALINA, KANSAS .,".. . ScheduJ:$ :~8' STATEMENT OF INCREASES ,DECREASES AND BALANCES. OF INVESTMENTS From January 1, to December 31, 1940 Trust and Agency ~ds Hillcrest Firemens Cemetery Memor ia1 Relief Endowment Endowment Cemetery Fund Fund Fund Fund Total Balance - January 1, 1940 $12,500.00 $4#000.00 $1,500.00 $705.00 $18#705.00 Increases -- Total $12,500 .00 $4,000.00 $1,500.00 $705.00 $18,705.00 Decreases Inve stments Matured (See Schedules 20 and 22 for Prooeeds) 1#600.00 1#000000 117.50 2#617.60 ' Balanoe-Deoember 31# 1940 tll.Ooo.09- J3 . 000 .OQ.. '1.600.00 .687.50 '.16~O87.50 67. CITY OF SALINA, KANSAS CASH IN CUSTODY OF CITY TREASURER As at December 31, 1940 Balance - January 1, 1940 Receipts Fund Cash Receipts (Per Records of City Clerk) Total Disbursements Fund Cash Disbursements (Per Records of City Clerk) Balance - December 31, 1940 The Farmers National Bank, Salina, Kansas The Planters State Bank, Salina, Kansas The National Bank of America, Salina, Kansas The Planters State Bank, Salina, Kansas (City Clerks Revolving Fund) "---- -,~ EXhibit "D" $83,852.32 82,636.47 81,122.53 600.00 $260,305.44 638,500.65 $898,806.09 660,694.'!1. lf48/,1l1.32 68. " , ,.~:,~~:..~.,~~t:~./~fgt~~~r:':':I~'.~:~~i,~~,~~~,,~,'~tii:l'!''~"~~~!~;~"'S-'?,~,.!~:~ .H:":~' .~ = = r - ,~ - --- ,,- - ,-.,.. CITY OF SALINA, ,KANSAS { . es elubeno2 Schedule 29 CASH IN CUSTODY OF CITY TREASURER RECONCILIATION OF BANK BALANCES As at December 31, 1940 The Planters State Bank: " The National City' C1e,rk' B The Farmers The Planters Bank: of Revolving 'Fund Total National Bank State Bank America Account - Balance Per Bank, December 31 1940 $376.279069 $129,001.38 $120 .647.06 $126,131025 $500000 Plus --year 1940 Reoeipts - Deposited January 2, 1941 354.55 - 354.55 - - Year 1940 Receipts - Deposited January 4, 1941 713.28 - 713.28 - - Checks #75078, 75079, and 75080 Issued to State Treasurer covering bonds and coupons due January 1, 1941, Entered on Treasurer's records January 1, 1941. Paid by Banks in . I " 4.105006/ / 10 ,000.00 1/ December, 1940. 24,105.06./ 10,000.00 ' - Total $401.452.58 $139,001.38 $131,714089 $130,236.31 $500000 less 30 .001 ' . ':;. Outstanding Checks * 6,196000 $ 6,100.64 t $ 65.361c t - Deposits December 30, 1940, of 1940 Taxes due in 1941. Entered on Treasurer's re- . '4~()48 42 cords in January, 1941 147.145.26 49,048.42 .-j . 49.048.42 - $153.341026 . 55,149.06 .4~~O78.42 . 49,113.78 . - $248 .111.32 t 83.852032 f ' . 81.122.53 Balance Per Treasurer's Records - December 31 1940 . 82.636.47 $500.00 t ea 69.>" .~ , KANSAS CITY OF SALINA, r-~~~~-" liE" Exhibit ., ~4 ,:] CITY TREASURER 1940 IN OF - - At December 31, c. '< CUSTODY INVESTMENTS As l ~ ~ ~ ~ ~ ! j :f Year 1940 Deoreases Changes Increases Balance 1-1-40 Bond or Certificate Numbers Balance 12-31-40 Issued By Rate Due - Dated ~ 2,000.00 1,000.00 2,000.00 1,000.00 500.00 500 .00 500 .00 500.00 500 .00 500.00 500.00 500.00 500.00 500.00 $111000.00 $1,500.00 $ $12,500000 Re lie f Fund s Firemen Total $ - 1,000.00 1,000.00 1,000000 $1,000.00 - $ $ 1,000.00 1,000.00 1,000.00 --!.z9oo.00 $ 4,000.00 36 43 49 62 4 1/4% 4 1/4% 4 1/4% 4 1/4% 1-1-40 1-1-41 1-1-42 1-1-44 1-1-34 1-1-34 1-1-34 1-1-34 Refunding Bond Refunding Bond Refunding Bond Refunding Bond Fund Kansas Kansas Kansas Kansas Ce~ry Endowment City City City City of Salina, of Salina, of Salina, of Salina, $ .00 500.00 - - $1.000 - - - - - $ $ 1,000.00 2,000.00 1,000.00 2,000.00 1,000.00 500 .00 500.00 500.00 500 .00 500 .00 500.00 500.00 500.00 500.00 500.00 500 .00 35 41-42 50 55- 56 63 10 11 12 13 14 15 16 17 18 19 20 4 1/4% 4 1/4% 4 1/4% 4 1/4% 4 1/4% 4 1/4% 4 1/4% 4 1/4% 4 1/4% 4 1/4% 4 1/4% 4 1/4% 4 1/4% 4 1/4% 4 1/4% 4 1/4% 1-1-40 1..1-41 1-1-42 1-1-43 1-1-44 12-1~40 12-1-41 12-1-42 12-1-43 12-1-44 12-1-45 12-1-46 12-1-47 12-1-48 12-1-49 12-1-50 1-1-34 1-1-34 1-1-34 1-1-34 1-1-34 12-1-30 12-1-30 12-1-30 12-1-30 12-1-30 12-1-30 12-1-30 12-1-30 12-1-30 12-1-30 12-1-30 Refunding Bond Refunding Bonds Refunding Bond Refunding Bonds Refunding Bond Internal 'Improvement Flood Control Bond Internal Improvement Flood Control Bond Internal Improvement Flood Control Bond Internal Improvement Flood Control Bond Internal Improvement Flood Control Bond Internal Improvement Flood Control Bond Internal Improvement Flood Control Bond Internal Improvement Flood Control Bond Internal Improvement Flood Control Bond Internal Improvement Flood Control Bond Internal Improvement Flood Control Bond Firemen's Relief Fund City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina. Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas 70 $ 3,000.00 t 1,000.00 500.00 $ 1,500.00 $ 587050 _$16,087.50 - $1,000000 $ $ * 1,000.00 500.00 57 65 4 1/4% 4 1/4% 1-1-43 1-~-44 1-1-34 1-1-34 Endowment Fund Bond Bond Memorial Endowment Fund Kansas Refunding Kansas Refunding Cemeter Hillcrest of Sa.lina, of Salina, Total City City - .. $ - - $ $ 500.00 $ I, Memorial Endowment Fund Loan 117050 ~617 050 Hillcrest &: Cemet e Fund - - Homestead Building Association $ ! $ 705000 $18,705.00 Tot a1 $ 419 7-1-36/45 7-1-35 Certificate Treasurer Segregated Assets in Custod Total Investments .--~.---------~-=-~..=..=~=~~==-~~ , t, \ \ \: \ L I. 1\ ~ Ii, '1': ~ I \ \: \ \ CITY OF SALINA, KANSAS EXhibit ItF~ COMPARATIVE STATEMENT OF TAX LEVIES AND ASSESSED !ALUATIONS SllOWING ~UN'l OF 1940 T.AXES DUE 1N 1941 Te.n~ib1e Taxe~ General Fund Fire Department Fund Park Department Fund Memorial Hall Fund Sewage Disposal Fund General Improvement Fund Water, Light, Heat and power Fund General Bond and Interest Fund Paving Intersection - Bond and Interest Fund Band Fund Library Fund Airport Fund Biniliveed Control Fund Firemen's Pension Fund Cemetery Fund Public Health Nursing Fund Total Ta~Eib1e Taxes ~n~ible Taxes - General ~ Special Assessment~ Paving; Sewer Hig;hWay By-PasS Weed Cutting ~ta1 Speci~!.ssessments Grand Total -- "I \ ~ ~ ~ ~ Ii \ Tax Levies in Mills Year Year Year 1938 1939 1940 - - - 1940 Taxes Due in 1941 2.136 2.2164 2.2411 $ 52,373.27 1.417 1.2020 1.3375 31,256.64 \ .547 .5178 .6117 14,295.09 .122 .1100 .1161 2,713.19 \ .256 .2567 .2491 5,821.33 .500 .7115 .5046 11,792.23 1.538 1.4253 1.0363 24,217.76 6.130 5.7782 404830 104,765.25 f i " .401 .1121 .209 .2207 .2119 4,951.99 .380 .4386 .4545 10,621.41 .0732 1,710.64 .031 .0283 .0345 806.25 .200 .0952 .1446 3,379.22 .1092 .0757 1,769.07 .0940 .1012 ~264.99 --'- ----.- -- 13.867 13.316 11.6750 1272,838.33 ---- --"--=. L~,_3~E?~ . $ 12,872.65 \ 3,680.39 331086 820.5..Q 1 17 ,705.4..2. ~99L880.0~ I" QOMl'ARATIVE STATEMENT OF ASSESSED VALUATIONS Year 1940 - Year 1939 Year 1938 - $23,369,450.00 5,601,790.00 Tangible Property Intangible Property $23,282,454.00 5,555,421.00 $23,129,043.00 5,005,822.00 7] ~~___..~_-='_~~<"C-"~..-- ___~o=-~~'- ~...-"""'. - KANSAS CITY OF SALINA, "HI Exhibit SHOWING YEAR ASSESSMENT OF STATEMENT OF TAXES RECEIVED FROM COUNTY TREASURER OF ASSESSMENT AND DISTRIBUTION TQFUNDS ON B,ASIS From January 1, to December 31, 1940 Levied Year 1939 of Salina Total Delinquent Tax Remitted to City Levied Year 1938 Total I 11,422.88 51,923.94 $ 8, 761. 73 ~,011059 $ 2,661.15 ~912.35 783.49 1,655.t'3 $ $1,241.39 713052 636.27 372.42 $' $ $ $ $ I Ad Valorem General Fund Intangible Tangible 303.45 387.88 269.96 209.29 .82* 28, 652.42 1_,160.21 '1II!5z, 600.01 6,058.30 16,374.04 34,136.54 133,428.41** 780.35 172.77 280.79 'Z v, 5, 10, 34 83 96 428 780' 500 2, 4, 9, 01 94 .83 .06 .88 210.09 352 391 779 5 30 1, 75 91 68 30'6 159 290 192.09 74.79 144.68 170'.53 45.90' 104.21 132.08 34.26 66.37 196.34 32.28 77.62 98 62 47 181 30 53 172.24 14.18 42.80 5.06 1.116.13 Pavinb Intersection terest Fund Band YULd Fund Func 5.06 643089 272.28 365.50 036.21 313.60 $323, $297, - Nursing Fund \ 22,457.23' 5,412.00 459.52 23.25 69.83 $ 212.41 144020 41 75 6.95 230.88 885.67 230.88 8.16 877.51 84.79 69 . 73 82.19 93.82 147.34 199.60 200.04 Assessments By Pass Interest on Special 545.33 $352,858.93 :::::=:::c:--...:or-~ 73 inclusive page 1936, on following Years 1932 to $1,116.13 ;::;:;;z:=--~ * Distribution to Departments of General Fund is shovm ** Includes delinquent taxes levied for Sinking Fund Levied Year 1937 County and Levied Year 1936 346 $ 63, 773.32 0'37.68 216.58 382.85 560.62 412.46 874.74 167.12 2, 2, 2, . n3.01 062.19 365.50 0'36.21 . 527 348 $ 18, 3, 101.19 313.03 884.59 110.77 23.25 69.83 6.95 $ 29, 259.40' $319,471.81 ~ Grand Total l~c~~~~~~:~ Distributed By Levied Levied Year 1934 Year 1935 Taxes Levied Year 1931 and Levied Levied Prior Years Year 1932 Year 1933 $ 56, 26, 11, 2, 5 , 15, 30', 125, $ 6,573.50 614.74 943.63 217.16 497.68 961. 58 261. 80 261.29 2, 3, 8, $ 2,439.32 083.85 418.43 93.33 195.84 382.44 176.43 689.00 1, I, 4, $1,954.91 443.26 182.67 51 . 65 95.33 122.99 537.15 764.01 008.69 269.44 91.94 13~67 53.91 88.36 386.94 551.65 $1 303.45 206.02 78 058 Hi.68 39.55 74.46 286.20 348.08 $ 387.88 232.97 87.07 17.24 47.18 III .60' 326.72 350'.32 $ 269.96 43.59 103.22 338.36 269.32 221.20 59 . 62 14.43 209.29 $ 00 .32 .16 .28 .51 210.00 172 . 78 158 25 11 22 78 $ $ Total General Fund Fire Department Fund Park Department Fund Memorial Hall Fund Sewage Disposal Fund General Improvement Fund Water, Light, Heat and Power Fund General Bond and Interest Fund Bond end In- ,., 1 2, 2, 2, 75 99 . . ?'Z ....v 152 7.13 57.10 . Control Fu..Yld Pension. FUL.d Library AirDort Bindweed Firemen Cemeter;}T Fund Public Health s $26, $ 4, 1, 412.72 1,159.31 333.60 16.38 69.83 $11, $ 627.76 350.26 193.21 32.91 $4, $ $2,785.24 399.40 212.24 17.39 3023 6095 $ 584.73 502.92 194.50 10.83 2.87 $1, $ $1. 867.22 672.29 318.22 9.69 5.24 $ 585.77 677.91 270.49 15068 9.80 $1.121. 62 $1, 550.94 $ 362.33 7.89 2.11 $ $1.116.13 $ Valorem Taxes s smen t.s Sewer Weed Cutting street Lighting Water Service Lines Sidewalks Ad Totel Special 1.sse . - Paving $ 22, 285.93 $33,387.12 $ 7, 663.91 076.63 1 ~, $13, $ 646.11 $5,27::..87 $ 721.40 $2,389.67 $3,506.64 ___z=:::a;::;;::: $ 804.94 $ $1.152.78 $3,020.00 $1,17.3.48 $2,244.93 $2,759.25 123.31 $1, $ Assessments Special Total "G" Exhibit x:3' ~ild~[ D (DUE KANSAS COMPARISON AND RECONCILIATION OF 1939 TAXES IN 1940) ASSESSED AND COLLECTED As at December 31. 1940 Peroentage of 1939 T axe s Collected 1939 Taxes Not Col- lected By City Less 1939 Taxes Remitted To City T,axe s Refunded By Count~ Adjusted Tax Roll Year 1939 Plus Tax Roll Adjust- ments Original Tax Roll Year 1939 Tax Leyy Year 1939 (Mills) t 3,188.29 1,729.08 744.85 158.21 369.27 1,023.52 2,050 .33 8,311.94 $ 48,011.59 26,037.68 11,216.58 2,382.85 5,560.62 15,412.46 30 , 874.74 125,167..12 $131.93 71.55 :30 .82 6.55 15.29 42.35 84.87 343.99 51,331.81 27,838.31 11,992.25 2,547.61 5,945.18 16,478.33 33,009.94 133,823.05 $ 68060 37 . 20 16.03 3.41 7.95 22.02 44 .11 178.82 $ 51,263021 27,801.11 11,976.22 2,544.20 5,937.23 16,456031 32,965.83 133,644.23 $ 2.2164 102020 .5178 .1l00 .2567 .7115 1.4253 5.7782 161.23 317.46 630.90 40.71 136 .96 157.08 135.22 2,428.34 4,780.83 9, 500 .96 613.01 2,062.19 2,365.50 2,036.21 6.66 13.12 26 .11 1.70 5.69 6.49 5060 2, 596 0 23 5,111041 10,157.97 655.42 2,204084 2,529.07 2.177003 3~:47 6083 13,,57 .87 2.95 3.38 2.90 2,592076 5,104.58 10,144 .40 654.55 2,201.89 2,525.69 2,174.13 .1121 .2207 .4386 .0283 .0952 .1092 .0940 Ad Valorem Taxes Tangible Taxes General Fund Fire Department Fund Park Department Fund Memorial Hall Fund Sewage Disposal Fund General Improvement Fund Water and Light Fund General Bond and Interest Fund Paving Intersection Bond and Inte re st Fund Band Fund Library Fund Bindweed Control Fund Firemen's Pension Fund Cemetery Fund Public Health Nursing Fund 93.532 98.082 93.660 $19,155.05 161.14 $19.316.19 .68 450 $288, $792.72 $308,398.45 412.11 $ $307.986034 13.3160 ible Taxes Total Tan 8.761.73 10.21 8.933.08 .04 590 8.343.04 $316.329.38 83.471 75.027 61.184 36.048 80 '.477 92.603 $ 3,593.05 1,174.13 216075 297060 $297.212.41 $ 18,144.20 3,527.41 348.75 230.88 $ 5,281.53 $24,597.72 $ 22,251.24 $319,463.65 #116.50 !~19.43 # 27.649.27 50 4. t $ 27.644.77 Assessments Total Special $344 $1,006.65 343.974.15 Tot al Plus - Interest Collected on Special ----- Assessments CITY OF SALINA, SUMMARY General Fund Total Ad Valorem Taxes $802.93 4.50 112.00 .$ ib1e Taxes Intan $317,_331.53 $ 21,737.25 4,701.54 570.00 640.48 $1,002.15 50 4. $ $ 21,737.25 4,701.54 565.50 640.48 Assessments Special Paving Sewer Weed Cutting By Pass 8.16 $319,471.81 Total 1939 Taxes Remitted to Cit SUMMARY 80 $344,980 $343,974.15 1.006.65 919043 $ $319,471.81 8016 Ori~ina1 Tax Roll - ~ - Adjustments to Adjusted Tax Roll - Year 1939 Less - Taxes Refunded by County ---- 1939 Taxes Remitted to City Less Interest on Special Assessments Year 1939 rigina1 Tax Roll 320 .383.08 319.463.65 Remitted \: I 72. I "~~~~---~==~~o=~1 . 72 597 $24 S'i' Not Colleoted b 1939 Taxes ~ CITY OF SALIKA. YMSAS I.. Schedule 30 STATEMENT SHOWING ALLOCATION OF TAXES RECEIVED TO TEE VARIOUS DEPARTMENTS OF THE GENERAL FUND From Je.nu8.IJ' 1, to December 31, 1940 Intangible Taxes Police Department Street Department Engineerin[ Dep~rtment ~\~i J~" =:lfpcctiorl D'?~,?~rtrT~ent Leg&l Department lki 1dinC Departwent Total Inta~sitle ~~.x~c ~~~ ::-.:.c i ['le :axes ~ Tot&l Trolgible Taxes Total Intangible and Tangible Taxes Police Department Street Department Engineering Department Milk Inspection Department Legal Defurtment Building Department De Enquent Tax Received Current Tax Received Total $1,273.75 $ 3,787.42 $ 5 , 061. 17 824.89 3,104.10 3,928.99 2 17 .45 934.52 1,151.97 82.03 288.1e 370.13 139.12 069.04 508.16 12 :3 . 91 278.55 402 .46 ---.-.--- <!'>r: "6' 15 $ 8,761.73 $1l,422.88 ;l;~~~ 'i, -~ -. ~2J032.e9 1,191.27 221.77 72.14 176.;:,0 217.78 $'" olr, ""5 uJv G.'t... $3,306.64 2,016.16 439.22 154. 17 315.62 341.69 Total Intangible and Tangible Taxes $6.573.50 $24,241.1'3 14,145.18 5,229.41 409.57 :: J 44 1. 3 C 1,544.52 $ 48.J..0 11.59 $28,028.95 17,249.28 6,163.93 697.67 2,810.42 1,823.07 $56.773.32 $26, ?7~ .42 IE, ;,36 .45 5,451. IB 481. 71 2,617 . 88 1,76'2,30 $51,923.94 $31,335.59 19 , 265 . 44 6,603. 15 851. 84 3, 126 . 04 2,164.76 $63,346.82 74. '--~-<-- CITY OF SALINA, KANSAS CITY CLERK'S REVOLVING FUND ~'~---"~C~"-~~l SUMMARY OF DEPOSITS AND CHECKS ISSUED From January 1, to Deoember 31, 1940 ~~ Jan~ary 1, 1940 ~posits Reimbursements for Expenditures Total Checks Issued Expendi ture s Freight Steaming Asphalt Postage and Box Rent Traveling Expense of City Officials and Employees Misoel1aneous Total Checks Issued Balance - December 31, 1940 \;-....~........_--'~... $2,585.41 15.00 285.89 50.76 139.54 Exhibit "I" $ 500.00 ~076.6~ $3,576.60 3,076.60 J 500.00 75. CITY OF SALINA, KANSAS CLERK OF CITY COURT Exhibit"!' STATEMENT OF RECEIPTS, DISmJRSEI.1ENTS AIm BALANCES OF CASH From January 1, to December 31, 1940 Balance - January 1, 1940 Farmers National Bank Receipts Cash Collected on Co~rt CeseE Total Dist'ursements To Ci~y ~re~t~rer To COlZlty Sheriff To Count:.l J.l-ttorne~:~ #- =~eG~iJ.8r Fe€~ Tc Count:, Attor11e:..~ _. ~;='ccic.l ?ees To CotL..'1.ty l?reE:.f.urer To Clerk of District Court To Others Available Bnlance - December 31, 1940 Farmers National B~~k Fees on Hand and Case Balances Fees on Hand (Court Costs Accumulated on Pending Cases Covered by Cost Deposits) Case Balances Due To Witnesses a~c Jurors PIs btiffs and Comp1aine.nts Miscellaneous L_______ $1,987.70 451.5Q 297.50 137.55 237.05 ,::: I;Q "Z c:: ,-vV.'-'V ~,_2 96 ~9. $2,247.85 42.00 907.77 16 .35 $ 2,443.06 9,836.85 $12,279.91 9,06f:.24. ~ 3,213.97 --,r'::::I~--~ $ 3,213.97 -.,.-~ ~.. r CITY OF SALInA, KANSAS <-'-~-'~~~'~--~l I CLERK OF CITY COURT CASH IN CUSTODY OF CLERK OF CITY COURT As at December 31, 1940 Farmers National Bank, Salina, Kansas Balance Per Bank Statement ~ember 31, 1940 Deduct - Outstandin~ Checks Date Check No. AmoWlt August 24, 1940 909 * 1.32 September 4, 1940 931 .10 September 23, 1940 971 3.50 December 4, 1940 1072 .75 December 17, 1940 1097 .20 December 24. 1940 1103 45.00 December 28, 1940 1104 1.55 December 28, 1940 1105 5.77 December 31, 1940 1106 215.55 December 31, 1940 1107 110.45 December 31, 1940 n08 60.00 -- Total $444.19 Less - Deposit August 29, 1940 in excess of a.."llount shown on books - Re mitted to City Clerk in February 1941 .62 Balance per Books - Farmers National Bank Account Planters State Bank, Salina, Kansas I 'I t I' , \ Ii Ba1anoe Per Bank Statement - December 3~, 1940 Deduct - Outstanding Checks Amount Check No. 5665 6088 6238 6461 $ .10 4.00 .10 .75 Balance Per Books - Planters State Bank Account Total Cash in Custody of Clerk of City Court l-.-_~__ Schedule 31 $3,658.78 ~J:4. 81 $3~213097 $ 4.95 4.95 $ ~213.97 77. 1940 Ba~ Januar !, Unoo1leoted Fines :~ i: " I ~ Plus - Fines Imposed Year 1940 Over Parking Speeding Reckless Driving All Other Traffio Offenses Intoxicating Liquor Offenses Violation of City License Ordinanoes Disorderly and Immoral Offenses All Other Misdemeanors Paroles Revoked on Fines Previously Assessed osed Im Fines Total Court and Dis- Total to Account For District Balances Total Credit Less - Cas,h Collected Fines Worked Out Fines Paroled Fines in cases appealed to missed by City Attorney Correction of January 1, 1940, 1940 Ba1anoe December 31 Due from Defendants Note - The above balances inolude uncollected fines in cases appealed to and still pending in the District Court as at Deoember 31, 1940, in the following amounts , l_~=~~~ ~, '- ~_...._~-~.".~,,~.~....-.=-----,~~-""'" CITY OF SALINA, KANSAS S~;1lf.A.RY OF P.ECORDS OF CITY BUILDHm INSPECTOR FroIT January 1, to December Z:l, 1940 Due To BuildinE; Inspector - January 1, 1940 CollectionE for Year 1940 Bui IcinG Perni ts G&:3 IT.i..Sp0Ctioll:: Plu:;~birlg Ir:.s pectior1S Electrical 1I1spectiol~C Sign Permits Taxicab InspectionG CeE8.00 :::-(';:- r"7~. "_ '.- V . I l.. 646.5;:: 341.90 ::9.50 30.50 Total Collections Net Amount Due City Clerk Remitted to City Clerk ~- Exhibit tlL"" i', ,;; E.30 2.297.20 $2.. 238 .'le ~...'=-==' $2 .2~.40 79. CITY OF SALINA, KANSAS COMPARISON OF DEPOSITORY BONDS l.lIJD BALA.~JCES OF DEPOSIT As at December 31, 1940 !~a.."ne of Account -T u- 31.erl:.arct, ~::. ty ':'re~r:urer ChQ:les E. BCLker, City Clerk - Revo:~- in.g FUX1C. "7:. E. Dilli.......gl'..o.1;~, C:er1' of Cit~~ C>)'~trt C. E. ~~'::,~c::''''?J C:crt of Cit;;" 0cJ.rt >:~llc ~,~;f.2 Barld F-U:lc.. ?~b Tic Lib:-e.r~; Eoarc. S~~lir18 Put,lic :~(:altrl lI~r~irlg l~c:.oci[;~tion. ':'otal~ I.c.ss - Portion of above h~la"lcrt sscurec. by reoen.l Depo::it Insurar...ce Corporation Balances to be Secured by Collateral Collateral Required by Statute (70% of above balances) Bonds Depositeel b~- 38,nks as Collateral I ~.......=-~-=-=-~_.-~----- The Farmers National rank The Planters State 3c.nlc $129,001.38 ~l20,617.J6 ~l2P,13l.25 r::,.,,- ".....,(', J\,.I\...' .'vv Z,6f,E.78 (~. S f hrn Q' y '-"~ ........l ~1Z.Z,~2.9.87 ~l21,::E2.Cl $12.S,S;,;.l.7':\ t: n(',(" 0{1 .......,......""'v........... f, , 000.00 Exhibit wM" The National Bank of .America. 7'20.::~ :: J ~ .11.19 5,OOO.OC $128,329.97 $116,152.01 $12 3,9B1. 70 t 89,8:30.98 $ 81,306.41 $ 86,787.19 -.... =-- $ 99,000.00 ~ 88,400.00 d'. 32 ,eClc.oo <it 0/. .... = -.....v--- ()Q. " Ntt Exhibit ;:Udldx3 "uti -_. r , CITY OF SALINA, KANSAS IN FORCE 1940 Date Expires 31, FIDELITY BONDS As at Deoember Date Effective Amount Bond Issued B (Maryland Casualty Company, -( Baltimore, Maryland. * 5,000.00 (The Employers -( Ltd., Boston, 4-14-41 4-14-39 Mayor Ed Morgenstern 5,000.00 Corp. , Liability Assurance Massachusetts (The Continental Casualty Company p -( Chicago, Illinois 5,000.00 (The Fidelity and Casualty Company of New -( York, New York, New York 4-12-41 4-12-37 City Commissioner Branson Earl C .00 5,000 Guaranty Company, (United States Fidelity and ( Baltimore, Maryland 4-10-41 4-12-39 City Connnissioner Breon A. B 5,000.00 Employers Insurance Company, .Massachusetts (American - ( Boston, 4- 6-43 9-19-39 City Commissioner Price Lloyd W. 5,000.00 (The Aetna Casualty and Surety Company, -( Hartford, Connecticut 10- 6-41 10- 6-38 Manager (Superintendent, City ) - ( Waterworks Department)- 5,000.00 (National Surety Corporation, -(New York, New York 2-41 1- 1- 2-26 and) )- (Director of Finanoe - ( City Clerk Brown L. Herbert .00 5,000 Meroury Inderrmity Corporation, Minnesota (Saint Paul - -( Saint Paul, 7-16-41 1- 2-41 5,000.00 New York, (American Surety Company of -( New York, New York 5O,0?OoOO 5,000.00 1,000.00 ~ Ii 5,000.00 Ii ,I II 2,000.00 II II 2,000.00 Ii ~ " i' ~J Guaranty Company, (United States Fidelity and - ( Baltimore, }/18.ry1and (W~ry1and Casualty Company, ( Baltimore, Maryland 3- 8-41 3- 9-31 Police Judge Eller N. H. (American Surety Company of New York, - ( New York, New York ll- 4-41 ll- 4-36 City Engineer Elmer Woodson Hopkins Company, and Indemnity Connecticut (Hartford Accident -( Hartford, 4-11-41 4-11-39 Clerk of City Court Roy Dillingham 1939 R.O. 4-11-41 Bond of $1,000.00 required under provisions of 5-301 No Bond Furnished. 8 c * In favor of State of Kansas and/or Saline County Ti t 1e Name 4-12-43 4-12-37 City Commissioner Ferm William H. City Brown Herbert L. 1-16-21 1- 2-40 ) )- ) (Deputy City Clerk and -( Deputy Finance Di- ( rector E1da Banker Peterson Harold E. Charles (The AetnaCasualty and Surety Company, - ( Hartford, Connecticut 4-24-41 1- 2-41 6-22-33 1- 2- 26 ) )- ) City Treasurer (Secretary and Cashier, -( City Waterworks De- ( partment Ebe rhardt Todd Henry H. M. Lois 4-11-39 of City Court Building Inspector Marshall Brownell Bayne L. C Thomas *M. 0' .Annual Premium City Building and Contents City Hall Building City Hall Contents Fire Station No 1 Fire Station No 1 Apparatus) Election Booth, Election Booth, Election Booth, Band Shell Amount of Coverage 66,000.00 2,500.00 25,000.00 $ 500 000~, 500000' 500.00, 900.00 2,500.00' 800.0.0 4,500.00 500.00 9,000.00 500000 and Supplemental and Supplemental and Supplemental and Supplemental and Supplemental and Supplemental and Supplemental and Supplemental and Supplemental and Supplemental Fire Fire Fire Fire Fire Fire Fire Fire Fire Fire (Except Fire Fighting North Seventh West Crawford Putna..'1l City Rest Room Bath Pavilion Bath Pavilion Contents and'Pool Equipment Street Department Building Street Department Building Contents 311.23 $ 113,700.00 151,000.00 2,000.00 If;iscellaneous Dwelling and Garage (Dump Grounds) Sewage Disposal Plant Buildings and Sewage :Cisposal Plant Euildings Ash Street Building ~ld Conter.ts 'J'11 p' ) .11._ .,lver /,Al~ens-Fox Fire Truck ,./La France Pumper ,.. 1925 Seagrove Ladder Truck r 1930 Dodge Hose Truck v G. Mo C. Chemical Truck 0"1936 Hudson 8 DeLuxe Coupe vFire Department Equipment v 1939 G. M. C. Pumper Truck / Horse Barn (Gypsum Avenue) v'Shop and Contents (Oakdale Park) ~irport Depot and Hangar ,..;One Boiler at Memorial Hall, ,Memorial Hall ",City of Claflin 198.84 3.92 19073 9.70 82 3.32 27.00 6.00 9.00 4.05 1.65 3.25 26.80 25.50 79.20 8.78 34.67 25.81 49.08 1l.05 30000 9096 693093 310.00 666.30 $2.1.568.77 Exhibit jldirlx3 0' Kft.NSAS INSURANCE IN FORCE EXCLUSIVE OF WATERWORKS DEPARTMENT) As at December 31, 1940 Type of Coverage and Supplemental and Supplemental and Supplemental Building Contents 624 216 412 o!j, y I' 'Ii 153,000000 850,,00 3,000.00 15,400.00 1,000.00 4,500.00 1,000.00 1,500.00 675.00 275.00 500.00 4,000.00 4,250.00 2,000.00 3,000.00 1,000.00 5,000.00 25/300,000.00 5,000.00 4,000.00 2,500.00 S8 Fire e,nd Supplemental Fire and Windstorm Fire and Windstorm Fire and Windstorm Fire and Windstorm Fire and Windstorm Fire and Windstorm Fire and Lightning Fire and Windstorm Fire and Windstorm i Fire ffild Supplemental Fire and Supplemental Boiler Explosion General Public Liability Depositors Forgery Bond Fire and Supplemental Fire and Supplemental Life Insurance Health Insurance Accident Insurance at Smoky) Hall City CITY OF SAtINA, ( Fire Fire Fire Property / wld Supplemental llild Supplemental Fire Fire Sub-Total );:eLlor 1:::.1 E.dl Buildin~ Conter..ts ~ t Boiler at Cemeter;y) 1i'iindstorm Li ghtnin g Windstorm & Hail and and Fire Fire Contents and Contents (;~sh Street Sub-Total One House Eill Shelter (Gypsum Sa.lina Hall a.nd arJ.d Earn ,/ Dwelling City Firemen City Firemen Ci ty Fir emen Total CITY OF SALINA, KANSAS ACCOUNTS RECEIVABLE As atD~ce..ml>er31, ~~40 , .-,' ,'" ":-:"'~~'-<\'<.::' ,:",.-.:'}:.,.,>':~;,1,:,,:>,.j~.... General Fund Administrative and Finance Department Polioe Court Fines and Forfeitures Gas Franchise Fee Sign Permit :' "';''':'~-.~; Street Department Repairing Streets and Alleys Sales of Oil and Gasoline to other City Funds and Departments Fire Department Fillld 8&le5 of Gasoline to Police Department Memorial Hall Fillld Irall Rental Ticlccts 0cort.keepcr ~\lb1ic Addresf Opcr;:;.tor iiater, Light, Heat and ~ower Fun~ Salina Basebcll Association Airport Fund Airport Rental Firemen's Relief Fund Dues- Firemen's Relief Associa-tion Exhibit.pI' , . $6,380.50 1,318.62 .50 $7,699.62 $ 69.50 108. 11 177.61 8.54 $ 95.00 5.50 'Loe 25.00 129.50 250.00 20.00 -- 10.DO :---. $ 473.00 400.50' 38.00 7.50 919.00 6 L26, $9,275.53 .. Cemetery Fund Burial Fees Balances Due from Sales of Lots Balances Due from Sales of Graves Balance - Selling Price of Buildings Construction Fund Sidewalk Agreements Total 83. ill' ~ ^"-, "QIt Exhibit i!\"r' CITY OF SALINA, KANSAS STATEMENT OF BONDED INDEBTEDNESS As at December 31, 1940 Bonds Outstanding 12-31-40 Bonds Retired Year 1940 Bonds Issued rear 1940 Bonds Outstanding 12-31-39 Amount of Original Issue Dates of Maturity Date of Issue Se rie s Number Memorial Hall Waterworks General Improvement - Sewage Disposal Internal Improvement - storm Sewer Internal Improvement - Sewer Repair Internal Improvement - Paving Internal Improvement - Storm Sewer Internal Improvement - Lateral Sewer Internal Improvement - Flood Control Refunding - Railroad Aid *Interna1 Improvement - Paving Internal Improvement - storm Sewers Internal Improvement - Paving Refunding Funding Internal Improvement - Paving Internal Improvement - Storm Sewer Refunding Relief Highway Internal Improvement - Storm Sewer Internal Improvement - Paving Refunding Internal Improvement - Paving Internal Improvement - Condemnation Refunding Refunding Judgment Internal Improvement - Olive Street Viaduot Internal Improvement - Curb, Gutter, and Paving In'ternal Improvement - Lateral Sewers Refunding Internal Improvement - Internal Improvement - Internal Improvement - posa1 Plant Repairs Internal Improvement - Internal Improvement - Ii I ,I ! ~ !, r , r ~ Ii !i !' I /; ~ ~ " " " i ! " $ 155,000000 49,000.00 64,000.00 17,500.00 50,000.00 5,000.00 2,000.00 4,000.00 20 ,000.00 4,600.00 18,000.00 30,000000 9,000.00 900 .00 28,000.00 20,000.00 8,000.00 44,000.00 9,000.00 7,000.00 49..000000 56,000000 13,000.00 35,000.00 36,000.00 6,000.00 39,000.00 13,500.00 3,600.00 $ 20,000.00 31,000.00 7,000.00 7,000.00 1,500.00 10,000.00 4,000000 2,500.00 500 000 2,000.00 3,000.00 10,000.00 2,300.00 6,000.00 7,000000 3,000.00 300.00 6,000.00 5,000.00 5,000000 2,000.00 7,000.00 1..000.00 1,000.00 7,000.00 7,000.00 2,000.00 4,000.00 4,000.00 500.00 9,000.00 1,128.85 315.44 $ 20,000.00 186,000.00 56,000.00 71,000.00 19,000.00 ~10,000.00 54,000.00 2,500.00 5..500.00 4,000000 7,000.00 30 ,000 .00 6,900.00 24,000000 37 ,000 000 12,000000 1,200.00 34,000 000 5,000.00 25,000.00 10,000.00 51,000.00 10,000000 8,000.00 56,000000 63,000.00 15,000.00 39,000.00 40,000.00 6,600.00 48,000.00 14,628.85 3,915.44 $ 300,000.00 605,082.00 139,662.55 141,671.07 34,287.75 94,331063 88,392.58 22..995.80 9,873.19 20,000000 31,444.94 101.. 590 .57 23..377047 60,090.57 71,966.73 28,050 .35 3,292.01 64,000.00 25,000.00 47,102.18 18,340.53 72,000 .00 13..682.36 11,305.50 70,000.00 70,000.00 16,760.97 42..935.80 44,373.31 7,310.04 48,000.00 14,628.85 3,915.44 * Rate 5 1/2% 4 1/2% 4 1/4% 4 3/4% 4 1/2% 4 1/4% 4 1/4% 4 1/4% 4 1/4% 4 % 4 % 4 1/4% 4 1/4% 4 % 4 1/2% 4 % 4 % 4 1/4% 4 1/4% 3 1/2% 2 1/2% 2 1/4% 2 % 2 % 2 % 2 % 2 % 2 ~ 2 % 2 % 1 1/2"/0 1 1/2% 1 1/2% 10- 1-41/45 1-10-41/47 10- 1-41/49 2- 1-41/50 '~. , 11- 1-41/50 12- 1-41/50 6- 1-41 5- 1-41 3- 1-41/42 5- 1-41/42 1- 1-41/43 10- 1-41/44 9- 1-41/43 9- 1-41/43 1- 1-41/44 - 8- 1-41/44 12- 1-41/44 7- 1-41/46 7- 1-41/46 10-20-41/46 7- 1-41/47 7- 1-41/48 7- 1-41/48 2-15-41/48 6- 1-41/48 5- 1-41/48 7- 1-41/44 3- 1-41/49 3- 1-41/49 1- 1-21 10- 1-25 1-10-27 10- 1-29 2- 1-30 5- 1- 30 11- 1-30 12- 1-30 12- 1-30 6- 1-31 1-31 5- 3- 1-32 5- 1-32 1- 1-33 6- 1-33 9- 1-33 9- 1-33 1- 1-34 1- 1-34 8- 1-34 12- 1-34 1- 1-36 7- 1-36 10-20-36 1-1-37 1- 1-38 1- 1-38 2-15-38 5- 1-38 5- 1-38 3- 1-39 3- 1-39 3- 1-39 Purpose of Issue Curb, Gutter, and Paving Late ral Sewer Sewer and Sewage Dis- P-110 R-ll1 P-1l2 C-1l3 R-1l4 R-1l5 J-1l6 C-111 P-1l8 S-1l9 R-120 P-121 S-122 8-123 -. . - - - > '~. " ::-::'."'--.....-.-...:1.. _..... -'~ - .- -. - -- - - --_._------~ --,-- -_.~ ----- --- -----.-.,-..". -'.. ----- =': i":': :::::::: :'.:.'::-~' _'. .::-=.;.::.::___:.:':_~ :'_:-::: __:'. ,_," .c - .. --- .... - - -.--. . ---w~"'-'_"J iii~~~;CY'~~~~l .', ;: 25,000.00 2,700.00 6.932.49 732.49 $830 I 84 , " "'';''-4...' ~-"~'c' _ . h _ 'Y'~ .~"'~"_'.<__.~~~ ---..,.._~ ~....~. - .'~ =-....__u~~:.:-~ ~...~ Ei i f '. '1" ~ .. - -. . .. '-.'. - -~_.__...._---~- - '-. ----............~--~----- ...-..-.._---......~..,. -----.......-,.. ----..:..-_- -..,.- ~..- ....--._._~._-,.--'-"--...... ------_._~--~ ----.--- .~--. - --- .---------.....-........ ----- -- ---- -- ~- ~. - .-.. . 1 f .. ! t~iN!A~.;y;.;;.,: '1~ .. ~--'..-. ._._~~" ;::~- =.::..:. :..::.:?~~: :. ~:':::~'. ~, 3- 1-39 3- 1-41/49 1 1/2% 27,172.75 27,172.75 2,172.75 7- 1-39 1- 1-41/49 1 1/2% 2,971.36 2,971.56 271.36 3- 1-40 3- 1-41/50 1 3/4% 6,932.49 - 6,932.49 - #2,382,540.79 $1.005,288.40 16,932.49 $181.488.40 * Owned by State Permanent School Fund Main and Lateral Sewers Curb, Gutter. and Paving Total S-l24 P-125 CITY OF SALINA, KANSAS sc; eIlJberlo8 ;- RECONCILIATION OF CITY OF SALINA, FISCAL AGE1~CY ACCOUNT OUTSTA1{DING MATURED BONDS AND COUPONS As at Deoember 21, 1940 Itemsoutstandihg Date of Date Items Coupon Purpose of Issue Issue Due 1\0. Bond Number Waterworks 10-1-25 10-1-36 22 579 Yiaterworks 10-1-25 4-1- 40 29 481 Waterworks 10-1-25 10-1-<10 30 481 General Improvements - Sew8,;e Disposal 1-10-27 7-1-40 27 133 Internal Improvements - Storm SeNer 10-1-29 4-1-40 21 88, 89 ( 86, 87, 88, 89, 128, Internal Improvements - Storm Sewer 10-1-29 10-1-40 22 (129, 130, 131, 132, 133, (134, 141, 142 Internal Improvements - Sewer Repair 2-1-30 8-1-40 21 26, 36 Internal Improvements - Storm Sewer 11-1-30 11-1-40 20 60 Internal Improvements - Storm Sewer 3-1-32 9-1-40 17' 99 Internal Improvements - Paving 12-1-34 12-1-40 12 14 Internal Improvements - Paving 3-1-39 9-1-40 3 8, 9 Internal Improvements - Sewage Disposal 3~1-39 9-1-40 3 6, 7 Balance Per Fiscal Agency State~ent, Deoember 22, 1940 ~ a8 " ,I ,>;, 1 knount $ 22..50 22050 22050 21.25 47050 308075 45.00 21.25 21025 12050 7050 15.00 $$61'.50 !' -. '~~""4:-'" Schedule 32 Details @ $22.50 @ 22050 @ 22..50 @ 21.25 @ 23.75 23.75 22.50 21025 21025 12.50 3.75 7.50 13 @ 2 @. 1 @ 1 @ 1 @ 2 @ 2@. 1 1 1 1 2 - " - -'.- - . . - - '--, , ~ .~--~.-"... _.,~.. -. - . ~--_...:- :.....!.~-:.-~'.: ~'.-1.-;:~~_~<"";:.::: :':<(~ :;~_:- :,'';'' ~""____+.:' .<:.~_. ~-:g~2..~g~~~'{;~~[~ -~~~~~fg~~~;~~ii:;~,:;::~ =-'::~:':::':':'=':";':::::::::'.:-_":.:.....":,. -:--~-:.;;-..:.; -:.; ::-.:.:....>:. - -;..- '.~ ~:_' - "~ ~ _._.----..._-.----........,~. '.' " ,'-" .-.. '-'-' ----,--._---~. ..... ..._.,.~- ". --_._._._-~-,_.-.. . . . ..-- . -- - -~.. ~ ~!i~1tlftffft~~~~1t.~.~~}~:f}~~t~~~~~~t}~?:{~~?:;/;.;;,~-:::' 85. " ~ - { . ~ t" )~ CITY OF SALI$, KANSAS ! . Exhibit "Rt' J - - t!' STATEMENT OF TE.MPORARt NOTE INDEBTEDNESS As at December 31, 1940 . Construction Fund Da.te Outstanding Issued Paid Outstanding Project Issued Date Due Rate 1-1- 40 Year 194.0 Year 1940 12-31-40 -- - W.F.A. Project #7787-1 10-17-39 Upon Sale of Bonds 2'"l $7,500.00 $ - $7,500.00 $ - /" W.?A. Project #7787-4 5-21-40 Upon Sale of Bonds 2% - 4,250.00 - 4,250.00 W.?A. Project #8010-23 6-18-40 Upon Sale of Bonds 2c1 - 2,000.00 - 2,000.00 ;0 W.P.A. Project #7787-5 8-13-40 Upon Sale of Bonds 2% - 15,000.00 - 15,000.00 ,. 12-31-40 Upon Sale of Eonds 2% 1,500.00 1,500.00 W .P oA Project ~8010-3S - - $7,500.00 $22,750.00 $7,500.00 $22,750.00 ~'------ : =-:=:'=::~,-=::;;.==: - .._.. -- 86. a Ordinance #4937) (Per Ordinance and 188 185 and Curb and Gutter Curb, Gutter and #4970 ) Lateral Sanitar;)' Sewers #184, 186 (Per Ordinance 4/=4968) Paving (Per Ordinance #4967) Lateral Sanitary Sewers ff187 (Per Ordina.."1ce #4969) Purpose of Issue (Per PavinG Totals ii II I, il Ii ii Ii Ii Ii /: I' I' Ii Ii' J "-. "'___ .__ u . ~ ,_.,.. ," __, ...!2.":7":'-:-;".<~;:':-.-:,,;:,,::: !.:"'~; :..... -.....-.-...--....-....-.-..-. ...._'.... -~----.....-~---...--~ ~~~':;-=-G~~;::'" IIIll f f . r~~~~1~1 ;% t 1 1- H.;~~~:~ii{~\-: Ii ~ Memorial Hall Fund - Furniture and Equipment 65 ! Memorial Hall Fund - Materials and Supplies 40 l~.. ~~:~~~:~:~o e~;~~~~O~~i~~~~~:: ~::~~:~_____...__.__.. ............... CITY OF SALINA, KANSAS AUDIT ADJUSTMENT ENTRIES As at December 31, 1940 (1) Construction Fund - Refunds and Recoveries ConstructionFun~ -Servioes and Sales To transfer reoeipts from sales of asphalt (per receipts ,., 542 and #'f 543) to Services and Sales account. (2) Cemetery Fund - Burial and Removal Fees Cemetery ~d - Sales - Grave Spaoe To transfer 110.00 of collection from L. B. Smith (per receipt ~l42) from Burial and Re- moval Fees to Sale of Graves. (Stinnett Grave space) (3) Construction Fund - Equipment Rental Construction Fund - Tools and Equipment To transfer grader rental paid to Salina Street Department $163.84 (per voucher #71106) and mixer rental paid to General Improvement Fund $300.00 (per voucher #71105) from Tools and Equipment to Equipment Rental (4) Construction Fund - Miscellaneous Disbursements General Fund - Administrative & Finance Depart- ment To transfer cost of recording deed to sewer right of way (per voucher "1487) from Adminis- trative and Finance Department to Construction Fund Project #12. (5) Construotion Fund - Miscellaneous Disbursements Bond and Interest Fund - Miscellaneous Receipts To transfer unexpended balance of Constr~ction Fund Project #10 to Bond and Interest Fund. ( 6) '---~--~'~~~-~l Exhibit "S" I Account No. Debit Credit 9-45 . 124.82 9-85 1 124.82 10-1 35-2 10.00 10.00 10-5 10-65 463 .84 463.84 12-90 1055 90 1.55 10-90 90 81.60 81.60 91.93 91.93 87. ~---,._.~--_.._'~~'~"'..".~~~'e.~t'~~~~l CITY OF SALINA, KANSAS I, Exhibit ftSft (Conttd.) AUDIT ADJUSTMENT ENTRIES As at Deoember 31, 1940 Aooount No. Debit Credit (1) lIIemorialHall Fund - Furniture and Equipment 65 t 62.26 Memorial Hall Fund - llater1als and Supplies 40 . 62.26 To transfer cost of electrio motor and installa- tion trom lIIaterials and Supplies to Furniture and Equipment (Voucher f70434) (a) street Fund - Maintenanoe of Buildings and other Equipment 35-2 25.15 Street Fund - Tools and Equipment 65 25.15 To transfer cost of maintainer blades from Tools and Equipment to Maintenance of Buildings and other Equipment (Voucher #74893) (9) Park Fund - Tools and Equipment 65 19.55 Park Fund - Materials and Supplies 40 19.55 To transfer cost of wet concrete marker from Materials and Supplies to Tools and Equipment (Voucher #14966) (10) street Department Fund Reoeipts - Equipment Rental 20 Street Department Fund - Disbursements - Tools and Equipment 65 To record acquisition of Street Sprinkler Chassis from International Harvester Company by application of rentals on Street Department Trucks to other city funds toward the purchase price. 200.00 200.00 (11) Construction Fund - Tools and Equipment Construction Fund - Equipment Rental To transfer truck rental payments applied to- ward purchase of l-D30 1 1/2 Ton International Truck #=74418 from Equipment Rental to Tools and Equipment account (VOUChers #73493 - $264.90 and #74044 - $394.90) 13-65 13-5 659.80 659.80 I ! F I' L~.. ._____.._._...._.._ Q3. 1 -----,): CITY OF SALINA, KANSAS AUDIT ADJUSTMENT ENTRIES As at December 31, 1940 (12) General Fund - Administrative and Finance DeP.,r.t- ment-Misce11aneousDisbursements General Fund - City Court Department - Miscel- laneous Receipts To transfer funds. to City Court Department to oover operating defioit as anticipated in budget for year 1940. (13) General Improvement Fund - Disbursements - Profes- sional Services General Fund - Administrative and Finance Depart- ment - Disbursements - Professional Services To transfer amount of payment per Voucher #B9350 for plans and specifications on precinct building on Crawford street from General Fund - Administrative and Finance Department to General Improvement Fund (Costs of construction borne by General Improvement Fund) ( 14) General Fund - Police Department - Patrolmen and Special Police General Fund - Police Department - Materials and Supplies General Fund - Street Department - other Labor Park Department Fund - other Salaries and Wages Park Department Fund - Gasoline and Oil Park Department Fund - Materials and Supplies General Improvement Fund - Salaries and Wages Gene~al Improvement Fund - Materials and Supplies General Improvement Fund - Gas and Oil To transfer dis~ursements for the fol1o\ving to the funds indioated above: Supervision of ice skating on river Salaries and Wages $84.40 Materials and Supplies 14.01 $ 98.41 Hauling Trash - Clean Up Week 241.73 Tree Trimming and Wa~ering Salaries and Wages Gasoline and Oil Repairing Tables and Benohes Thomas Park $49.20 8.59 57.79 8.47 $406.45 f.~",~~~ _ .......~...~~~..~,,_.__~~....~.~~~_~......~.~_~_ "'hibtt. "Sit (Conttd.) Account No. Debit Credit 90 t3,500.82 90 $3,500.82 10 75.00 10 75.00 1-4 84.40 40 14.01 1-7 241.78 1-2 49..20 55 8.59 40 8.47 1 375.38 40 22.48 55 8.59 :? ~) ~ S r ..\ CITY OF SALINA, KANSAS ~~'~~l EXhibi::h, "S" (Conttd.) AUDIT ADJUSTMENT ENTRIES As at December 31, 1940 Aocount No. Debit (15) General Fund - Building Department - Maintenanoe of Building and Equipment General Fund - Building Department - Profes- Ii' siona1 and Contracted Service To transfer costs of repairing and welding to Building maintenance account. 35 . 17.30 10 (16) Waterworks Department Fund - Operating Receipts Waterworks Department Fund - Misc. Receipts To transfer proceeds sale of junk in July, 1940, from operating to miscellaneous receipts. 35-1 90 11 0.02 Credit . 17 .:50 1l0.02 c'J. CITY OF SALINA, KANSAS WATERWORKS DEPARTMENT FUND FINANCIAL REPORT Covering the Period from January 1, to December 31,1940 M. J. KENNEDY Certified Publio Aooountant Salina, Kansas __--1 L~__ Earl C. Branson B. A. Breon Charles W. Shaver L. B. Stevenson CITY OF SALINA, KANSAS WATERWORKS DEPARTMENT FUND BOARD OF CITY COMMISSIONERS Ed Morgenstern Mayor WATERWORKS ADVISORY CO~lISSION Roy F. Bailey Chairman WATERWORKS DEPARTMENT Herbert L. Bro\Yn - Superintendent Lois M. Todd - Cashier Lloyd W. Prioe Wm. H. Ferm Fred D. Kastner R. C. Gebhardt i - -- ". ,~-----j WATERWORKS DEPARTMENT FUND COMMENTS The books and records of the Waterworks Department Fund of the City of Salina, Kansas, have been audited for the period beginning January 1, 1940, and ending Deoember 31, 1940, inclusive. A report of suoh audit is herewith submitted. SCOPE OF AUDIT The audit was performed in aooordanoe with the general and speoifio required pro- visions of the Minimum Standard Audit Program, approved by the State Municipal Accounting Board applicable to suoh fund. The audit included a verification of the assets and liabilities of this fund at December 31, 1940, in the manner and to the extent hereinafter indicated, and a general review of all revenues and expenses for the year 1940. HISTORY The Waterworks system, supplying the water needs of the residents of the City of Salina, Kansas, was purchased from private interest in October, 1925, by the oity, and since January 1, 1926, has been operated as a municipal activity. The Waterworks Department is governed by the city commissioners in conjunction with the Waterworks Advisory Co~~ission, which consists of five members who serve without pay and are appointed by the Board of Ci~J Commissioners. The advisory commission was created to oonsult with and advise the Board of City Commissioners with reference to the operations of the Waterworks Department. BALANCE SHEET Under Exhibit "A" is shown a balance sheet of the Waterworks Department as at December 31, 1940, a brief summary of which is as follows: Assets Plant and Property Current Assets . 962,471.45 178,484.58 Total Assets tl.,.140 ~ 952-.03 Liabili ties Total Liabilities $ 888,247.84 84,858.18 155,000.00 12,850.01 f1~140,956.0~ Surplus Reserves Bonds Outstanding Current Liabilities 91. APPLICATION OF FUNDS --~~~-~-l The source and applioation of funds realized during the period under review is shown by the following statements Funds Provided From net income for year ended December 31, 1940 - Exhibit "B" ~ - Depreoiation expense deduoted1I1 arriving at net inoomebut not requiring an outlay of funds From decrease in working oapital (sched- ule below) Total Funds Provided Disposition Bonds retired Additions to Plant and Property Replacements charged to Depreciation Reserve Total Funds Applied $66,653.86 10,449.34 $77,103.20 9,870.95 l?~,~~:!~ $31,000.00 . $55,057.85 916.30 55,974.15 $86 974.15 -.-'--'-- ----..~-r-&"""" The decrease in working capital represents the net decrease of current assets over current liabilities as follows: Current Assets Cash in Office Cash Balance - City Treasurer City of Salina Bonds City of Salina Temporary Notes Acoounts Receivable Materials and Supplies Prepaid Insurance Aoorued Interest Receivable Total Current Liabilities Accounts Payable Meter Depo s its Aocrued Interest on Bonds Total Working Capital December 31, 1940 December 31, Increase or 1939 Decrease $ 601.34 $ 575.36 $ 25098 112,968.02 135,215.01 22,246.89 30,600.00 37,171.36 6,571.36 22,750.00 7,500.00 15,250.00 1,545.98 1,273.73 272.25 9,223.46 7,531.38 1,692.08 298.03 633.05 335002 497.75 388.29 109.46 $178,484.58 $190,288.18 $1l,803060 i 4,253.76 $ 6,090.66 $ 1,836090 6,852.50 6,599.50 253.00 1,743.75 2,092.50 348.75 $ 12,850.01 $ 14,782.66 $ 1,932.E.:5 f165.1~~!._~ llJ 5JE.QE~~ t2.121~ 95 92. COMMENTS ON BALANCE SHEET - EXHIB IT "A" ~l I PLANT AND PROPERTY. $962,471.45. represents the book value of the fixed physical property owned by the department as at the close of the year. details of whioh appear tmder Sche dule 1. The basis of the valuation as shown on the books is the appraised value at the date of aoquisition. plus additional improvements at cost. Additions to plant and property during the year 1940 are summarized as followss Plant and Property - December 31, 1939 $911,472.14 Additions - Year 1940 Job 11=184 Job 11=185 Job :/1=186 Job :/1=187 Job #188 Structures and Manholes 1reter Boxes and Aocessories Real Estate Pump House Wells Well Pump, Motor, and Equipment Furniture and Fixtures $ 1,040.36 16.268.60 21.883.14 3,763048 1.883.16 15.00 1,947.61 75.00 1,783.70 3,142.17 3.259.85 163.15 $55.225.22 Less - Miscellaneous minor sales of equipment 167.37 Net Additions - Year 1940 55.057.85 $966.529.99 ~ - Fully depreoiated property aban- doned and charged to deprecia- tion reserve 4,058054 Plant and Property - December 31. 1940 1962,471045 Job #184, $1.040.36, covers the cost during the year of material and supervision furnished in connection with the laying of a six inch water main in Tenth Street from a point 300 feet south of Franklin to Wilson and west in Wilson to Eleventh Street} a six inch water main in Claflin Avenue from Ninth Street to Pershing and north in Pershing to Jawel1;a four inch water main in Tenlawns Street from BrO\Vll Street to Frost; a six inch water main in Frost from Eleventh Street to Sherman; a six inoh water main in Charles from Eleventh Street to ~{elfth Street; a six inch water main in Eighth Street from Lincoln to Grand Avenue; and a six inch water main in Fourth Street from Hamilton to Otis and west in Otis to Fifth Street. The common labor on this job was furnished by W.P.A. workers. The job was started in 1939 and completed in 1940 at a total cost of $9,012.67, of whioh $7,972.31 was expended during the year 1939. The job was approved by the city connnissioners and the Waterworks advisory commission at an approximate cost of $6.000.000 93. ,i "~","~_~i Job #185, $16,268.60, covers the cost during the year of material andsupervision furnished in connection wi th the laying of a flow line from well:/f7 to the reser- voir at Fourth and South Streets. The oommon labor on this job was furnished by W.P.A. workers. The job was oommenced and completed during the year 1940, and was approved by the oity commissioners and the Waterworks advisory commission at the approximate cost of $16,000.00. Job #186, $21,883.14, covers the cost during the year of material and supernsJ.on furnished in connection wi'th the construction" of a one million gallon conorete reservoir at the pump station. The common labor on this job was furnished by W.P.A. workers. The job was commenced during the year 1940 and was still unfin- ished at the year end. This job wa~ approved by the oity commissioners and Water- works advisory commission at the estimated cost of $20,000.00. Job #187, $3,763.48, covers the cost during the year of material and supervision furnished in oonnection with the laying of a four inch water main in Gypsum Hill Cemetery from Mount Barbara storage tank to the south line of Gypsum Hill Ceme- tery; a six inch water main in Lincoln from Thirteenth Street west across Broad- way; a six inch water main in Barney Street north from Lincoln across Broadway; a two inch water main on parking on east side of Olive Street from Marietta to State Street; a six inch water main in Charles Street from Twelfth Street to Phillips Street; and a six inch water main in Wilson Street from Eleventh Street to Sherman. The oommon labor on this job was furnished by W.P.A. workers. The job was commenced in 1940 but remained uncompleted at the year end and was ap- proved by the city commissioners and the Waterworks advisory comndssion. Job #188, $1,883.16, covers the cost during the year of material and supervision furnished in connection with laying a twelve inch water main in Kirwin Avenue from Santa Fe Avenue west through the south part of Highland Court to connect with the present eight inch water main at the end of Sunset Park; and a twelve inch water main in Iron Avenue from Santa Fe to Ninth Street. The common labor on this job was furnished by W.P.A. workers. The job was commenced in 1940 and remained un- completed at the year end. Structures and Manholes, $15.00, represents the purchase of bricks for minor im- provements on structures during the year under review. Meter Boxes and Accessories, $1,947.61, represents the purchase of new meters and acoessories during the year 1940. Real Estate, $75.00, represents the amount paid to Hazel C. Risser, et aI, for an easement necessary in connection with the construction of a flow line as describ- ed in Job #=185. Pump House, $1,783.70, represents the amount paid to H. E. Woods and oovering the oonstruction of well house 18. Brothers Wells, $3,142.17, represents the cost of a well contracted withthe Layne Western Company and other materials incidental to its completion, as follows: Layne Western Company - Well Other Materials including valves, oonnections, etc. $2,480000 662.17 Total J3.142.l7 94. L..-.....~""'-'~___---=~~-=,~ Well Pump, Motor and Equipment, $3,259.85, represents the oost of a well ptnllp purchased from the Layne Western Company together with oonneotions and equipmen't neoessary for the installation as follows! Layne We stern Company Kansas Power & Light Company General Electric Company $2,339.00 794.72 126.13 Total ,~ ,259.85 Furniture and Fixtures, $163.15, represents the cost during the year of furniture and fixtures by the department as follows: New Royal typewriter Visible reoord oabinet $ 68085 94.30 To tal llli!~ During the year funds for the purohase of an International truck were advanced by the Waterworks Department for other city departments, which funds were later reimbursed by other city funds with the exception of $22.25, which the auditors were advised would be repaid to the Waterworks Department in 1941. During the year 1940 steel pumps, boilers, etc., which had become obsolete and had been out of service for some time, were junked. These assets had been fully depreciated in prior yearF and an entry transferring suoh property out of asset aocount was made by a oharge to the reserve for depreciation account, in which had been accumulated the previous depreciation oharges on suoh equipment. The following is a summary of the amounts making up such transfers: Balance - December 31t 1939 - Fixed Assets Account - steam ptnllpS, boilers, etc. $4,225.91 Less - Sold for junk 167.37 Remainin~ Balance Char~ed to Reserve for De- preciation Account 1!,.058.54 All oharges during the year 1940 to plant and property accounts were made from claims offioially approved by the Board of Commissioners through periodic appro- priations. No examination or verifioation of plant and property accounts waS made for prior years. CURRENT ASSETS, $178,484.58, as at December 31, 1940, are made up of the follow- ing itemst Cash in Oi'i'ice Cash Balanoe - City Treasurer $ 601.34 112,968.02 $ 30,600.00 22,750.00 $113,569.36 City of Salina Bonds City of Salina Temporary Notes Sub-total Carried Forward 53,350.00 $166,919.36 L~<_~_.._____~_ 950 Sub-total Brought Forward $166,919.36 Acoounts Reoeivable Materials and Supplies Prepaid Insurance Accrued Interest Receivable 1,545.98 9,223.46 298.03 497.75 Total Current Assets ~178,484.58 Cash in Office, $601.34, represents oash on hand in the Waterworks Department offioeo The count of cash was made on January 2, 1941, and reconciled back to December 31, 1940. The cash count revealed a cash shortage of $1.04 which was adjusted by the auditors with a charge to expense. An additional charge to ex- pense in the amount of $3.00 was made to correct an understatement of cash re- ceived on a meter deposit made February 28, 1940. Cash disbursements for meter deposit refunds, misoellaneous payrolls, freight, express I and petty claims are made from current oash on hand. Reimbursements for such items are later reoeived from the city treasurer through appropriations made by the Board of Commissioners. Cash Balance - City Treasurer, $112,968.02, represents the amount of cash in the hands of the city treasurer to the credit of the Waterworks Department Fund as at December 31, 1940. This amount was checked with the city treasurer's records. Cash receipts during the year were deposited direct to the credit of the city treasurer. Claims of the Waterworks Department during the year were paid by the treasurer in much the same manner as olaims of other city funds. Your attention is directed to the fact that certain claims have been approved for payment and warrants issued before the claims were verified by affidavit as provided by 10-802 G.S., 1935. City of Salina Bonds, $30,600.00, represents the face value of investments made by the Waterworks Department in bonds Salina, K~lsas, a brief summary of whioh is as follows: at December 31, 1940, issued by the City of Balance - December 31, 1939 *37,171.36 Less - City of Salina bonds retired - 1940 Refunding Bonds Internal Improvement Bonds Internal Improvement Bonds (Series S-124 ) $3,000.00 3,300.00 271.36 6,571.36 Balance - December 31, 1940 1~,600.00 The particulars of the bond issues included in the above investments are as fol- lows: Series R-155, Refunding Bonds, dated January 1, 1938 due July 1, 1941 to 1946, inclusive. Interest rate 2% per annum, payable semi-annually on January 1 and July 1 of each year Amount Paid $24,000.00 ~~-..._--~------.--~~ o~o~o '~~_H:.~~J Internal Improvement Bond dated September 1, 1933, due September 1, 1941, to September 1, 1943, in- clusive. Interest rate 4% per annum, payable semi-annually on March 1 and September 1 of each year Series 8-124, Internal Improvement Bonds, dated July 1, 1939. due July 1, 1941, to July 1, 1949. inclusive. Interest rate 1 1/2% per annum, pay- able semi-annually on January 1 and July 1 of each year Tota.1 Amount Paid i 3,900.00 2,700.00 J30.600.00 The bonds are in the custody of the superintendent of the Waterworks Department, who keeps them in a safety deposit box in the Planters State Bank, taken out in the name of the Salina Water Department. The bonds were inspected by the audi- tors. City of S~!_ina Temporary Notes, $22,750.00, represents the investment by the Water- works Department in temporary notes issued by the City of Salina, Kansas,as fol- lows: Date Issued Purpose 5-21-40 6-18-40 8-13-40 12-31-40 w. P. A. Project No. 7787-4 w. P. A. Project No. 8010-28 W. P. A. Project No. 7787-5 (W. P. A. Project No. 8010-38) - (Lateral Sewers 187, 188 ) - Total Interest Rate 2% 2% 2% .Amount $ 4,250.00 2,000.00 15,000.00 1,500.00 1-22,750.00 The above notes are payable as soon as the bonds oovering the improvements are issued and sold. The notes are in the custody of the superintendent of the Water- works Department and are kept in a safe in the Waterworks Department offioe. The notes were inspected by the auditors. Accounts Reoeivable. $1,545.98, represents the amounts due from consumers and othe~as at December 31, 1940, as follows: Accounts Receivable ~ December 31, 1939 Plus - Billings for year 1940: Water Miscellaneous Sales Penalties Sales Tax $131,395.01 18,103.36 1,254.34 2,015.98 Sub-total Carried Forward L---,""",,~'~1_~'-='-~,"==--"""'----=="'-'-~=--=- i 1,273.73 152.768069 $154.042.42 970 - '~"~-~l i Sub-total Brought Forward $154,042.42 Less - Cash collections Rebates, December, 1940, bills Accounts charged off $143,347.03 8,770.06 379.35 152,496.44 Accounts Receivable - December 31, 1940 as Follows: Due from Consumers Other Accounts Receivable . 1,545.18 .80 '1.545.98 The stub accounting method of billing is in use by the city and bills are pre- pared, totaled, and proven on a Burroughs billing machine. The calculations of units of water used, as shown by the meter books, were test checked against the rate schedule and compared with the amounts as shown on the consumers' bills. Test checks were also made of individual billings to see if the bills were pre- pared and paid in accordance with the rates provided by ordinance. A penalty of ten per cent is assessed for failure to pay bills when due; however, such penalty is waived in cases of sickness and to w. P. A. workers. Records of service connections were examined and test checked to the billing sheets to determine that billings were being recorded on service oonnections made during the year. The total billings for the year, plus outstanding accounts,at the beginning of the year, were accounted for either in the form of cash recexved during the year, discounts and rebates allowed, bad debts charged off, or outstanding accounts due at the close of the year. During the year, by approval of the governing body, a summer discount of twenty-five per cent was allowed domestic consumers for the billing periods from May to November, inclusive. A rebate of the December, 1940, bills to all consumers was also allowed by the comnission in the amount of $8,770.06. Amounts charged off during the year in the amount of $379.35 were au- thorized and approved by the Board of City Commissioners during the oourse of the audit. All water used by the other city departments and funds appears to be metered and billed except the water used in several of the parks for sprinkling lawns,shrubs, and flowers during the summer months. Materials and Supplies, $9,223.46, represents the value of materials on hand as at December 31, 1940, as follows: Operating stores material Meter Department Material $6,613.78 2,609.68 Total Materials and Supplies 19.223.46 ! I I ~ Prepaid ~nsurance, $298.03, represents the unexpired portion at December 31,1940, L~~ m.ur=c~pr.mi=S~.'id by ~h. W.~.~ork. D.parw.n~. All ms~=c. ~POliC:~~ ~ A physical inventory of all materials was taken at the end of the year under the supervision of the superintendent, who certified that the quantities were correct and that items were priced at the lower of cost or market. The auditors ohecked the mathematioal acouracy of the inventories. were inspeoted by the auditors, and an insurance sohedule was prepared, a brief summary of which is as follows: Property Pumping Station Building Pumping Station Maohinery and Equipment Garage and Warehouse Bldg. !)vie 11 ing an d Gar age Water Wells - Buildings Water Wells - Equipment Steel Water Tank Elevated Water Tank Workmen's Compensation and Employers Liability Contraotor's Public Lia- bili ty Ci ty Hall Ci ty Hall 1936 Chevrolet 1 1/2 Ton Truck 1935 Ford 1 1/2 Ton Pickup 1935 Ford 1 1/2 Ton Piokup Coverage Fire and Supplemental (90% co-insuranoe) Fire and ,Supplemental (90% oo-insuranoe) Fire and Supplemental Fire and Supplemental Fire and Supplemental Fire and Supplemental Windstorm Windstorm (90% co-insurance) Messenger and Interior Robbery Mercantile Safe Burglary Bodily Injury and Property Damage Bodily Injury and Property Damage Fire, Theft, and Tornado Amount of Coverage . 14,000.00 ,. 23,000.00 1,500.00 1,700.00 2,900.00 2,900.00 7,500.00 50,000.00 Legal Liability 5/10,000.00 1,000.00 1,000.00 5/10/25,000.00 5/10/25,000.00 Actual Value Annual Premium . 8.79 16.97 3.97 6.55 13.79 13.79 25.62 47.96 323.80 225.60 16.67 8.33 25.56 25.56 5.00 Your attention is direoted to the fact that the department has no fire,theft, and tornado coverage on the 1936 Chevrolet. Fidelity bond in the amount of $5,000.00, oovering the cashier of the Waterworks Department, is in foroe in accordanoe with the statutory requirements. Fidelity bond in the amount of $5,000.00 coverirgthe superintendent of the Waterworks Department was also in force during the year. Acorued Interest Receivable, $497.75, represents the amount of aoorued ~ntereet receivable as at December 31, 1940, as follows: City of Salina Bonds City of Salina Temporary Notes Total $312.25 185.50 / .497.75 SURPLUS, $888,247.84, represents the surplus of the Deoember 31, 1940, as follows: Waterworks Department as at Balanoe per Audit - Deoember 31, 1939 ~ I ! I $821,843.98 Plus - Amount set aside as reserve for retirement of bonds as at Deoember 31, 1939 7,500.00 Balance per Books - Deoember 31, 1939 Plus - Profit for year 1940 per Exhibit "B" Sub-total Carried Forward $829,343.98 66,653.86 $895,997.84 99. i:---,____,~~, Sub-total Brough't Forward $895,991.84 ~ - Amount set aside as reserve for retirement of bonds as at Deoember 31, 1940 7,750.00 Balance - December 31, 1940 J888.247.84 The portion of surplus appropriated to plant and property and the portion of un- appropriated surplus as at December 31, 1940, .+~as .follow~j Surplus invested in plant and property Unappropriated surplus $722,613.27 165,634057 Total t888.247.84 RESERVES, $84,858.18, represents the balanoe at December 31, 1940, of 'the follow- ing book reserves: Reserve for depreciation Reserve for street construction of flush tanks Reserve for retirement of bonds $76,875.96 232.22 7,750.00 Total Reserves iS34.8&.18 Reserve for Depr~ciation, $76,875.96, represents the balance as at December 31, 1940, of the book reserve set aside for depreciation on plant and property as follows: Balance - December 31, 1939 $71,401.46 ~ - Depreciation reserve added in year 1940 10,449.34 $81,850.30 ~ - Purchases of replacement meters purchase of replacement typewriter Accumulated reserve on fully depreciated steam pumps, boilers, etc., abandoned in year 1940 $ 850.00 66.30 4,058.54 4,974.84 Balanoe .. December 31, 1940 ~76.87~~ The amount added to the reserve acoount in 1940 was charged to depreciation ex- pense for the year. The reserve account represents the book reserve only, as no cash funds are actually set aside or segregated. Reserve for Street Construction of Flush Tanks, $232.22, represents the amount received in prior years from the Sewer Fund covering the installation cost of flush tanks to be installed in portions of the city not now receiving water ser- vice. As water main extensions are extended to the applicable districts, flush tanks will be installed and charged to this reserve account. No charges during the year 1940 were made against this reserve. This represents a book reserve on- ly as no cash funds are actually set aside or segregated. 100 0' ~--"'~_ft=__~--"='''.~._ Reserve for Retirement of Bonds, $7,750.00, represents the amount set aside from surplus for the annual retirement of bonds in the amount of $31,000.00. The ba1- anoe in this aooount at Deoember 31, 1940, represents the monthly entries from Ootober 1, 1940, to December 31, 1940, inclusive. This aooount represents a book reserve only, as no oash funds are aotua11y set aside or segregated. BONDS OUTSTANDING, $155,000.00, represents the faoe value of City of Salina Water- works Department bonds outstanding as at Deoember 31, 1940, originally issued for the ~poseofpurohasing the Waterworks system as tallows: Bonds Issued for Purohase at Plant $605,082.00 Less - Bonds retired to January 1, 1940 Bonds retired - year 1940 $419,082.00 31,000.00 450,082.00 Bonds Outstandin~ - December 31, 1940 ~155,000.OO The bonds were issued October 1, 1925, and are due serially tram October 1, 1941, to October 1, 1945, inclusive, and bear interest at four and one-half per cent per annum, payable semi-annually on March 1st and October 1st each year. Although these are general obligation bonds of the entire City of Salina, Kansas, the Wa- terworks Department has met the principal and interest payment each year since their issuance. The bond records of the city were inspected and bonds retired during 1940 were inspected and found to have been properly canoe lIed. CURRENT LIABILITIES, $12,850.01, as at Deoember 31, 1940, are made up of the fol- lowing items: Accounts Payable ],'[eter Deposits Acorued Interest on Bonds $ 4,253.76 6,852.50 1,743.75 Total .12.8~.01 Accounts Payable, $4,253.76, represents amounts due on open acoounts as at Decem- ber 31, 1940. All of the above items were paid during the oourse of the examina- tion. Your attention is directed to the fact that no payments have been made to the State Compensating Tax Department covering the tax on materials purohased outside the State of Kansas during the year 1940. No liability on any such purchases has been accrued by the auditors. Meter Deposits, $6,852.50, represents the outstanding balance of deposits made to the city by consumers to guarantee the payment of water accounts as at Decem- ber 31, 1940, as follows: Outstanding B~lance - December 31, 1939 $6,599.50 Plus - Meter deposits received - year 1940 1,527.00 $8,126.50 1,274.00 Less - Meter deposits refunded - year 1940 Outstanding Balanoe - December 31, 1940 96,852.50 101 0 ~ c..~...~_~~,"--I The total outstanding deposits at the year end, per the general ledger, were re- oonciled with the detail of individual depositors with the exception of a differ- ence of $2.00. No adjustment for this amount was made by the auditors. Your attention is directed to the fact that interest on meter deposits is not paid by the Waterworks Department in accordance with the requirements of 12-822 G.S., 1935. Aoorued Interest on Bonds, $1,743.75, represents the amount of interest on City of Salina, Kansas, Waterworks Department bonds aocrued "c but not due as at Deoem- ber 31, 1940. Interest on all outstanding bonds was paid to October 1, 1940, at which time bonds in the face amount of $31,000.00 were retired. The accrued interest on the remaining bonds at the close of the year was computed on the face amount of $155,000.00 at four and one-half per cent for three months from October 1, to Deoember 31, 1940, inclusive. OPERATIONS Under Exhibit "B" is sho\Yn a statement of profit and loss for the period from January 1, 1940, to December 3l, 1940, inclusive, of the Waterworks Department. A brief summary of the operations for the year 1940 compared with the operations for the year 1939 is as follows: Year 1940 Revenues $134,146.15 ~ - Rebates, Refunds and Charge Offs 9,435.87 Net Operating Revenues $124,710.28 Operating Expenses Water Supply Expense Pumping Station Expense Distribution Expense Commercial and General Expense $ 5,190.01 16,977.08 5,022.36 12,396.38 Total Operatin~ Expenses $ 39,585.83 $ 85,124.45 Profit from Operations Interest on Bonds and Depreciation 18,470.59 Net Profit ~ 66~653.~ Year 1939 $146,382.62 13,980.21 $l32,402.41 $ 4,569.54 17,670.58 5,228.36 12,872.27 $ 40,340.75 $ 92,061.66 19,533.24 ~ 72,528.42 The above statement is indicative of highly satisfaotory operating results for the department during the year. OPERATING REVE1mES, $124,710.28, for the year 1940 and a comparison with the rev- enues for the year 1939 are as follows: " ~.-.=>.=--------..~......-..-=. 102. Total Revenues Year 1940 Year 1939 $1l0,704.09 $117,320.75 5,111.62 4,630.06 419.45 437.45 1,316.60 3,772.85 12,300.00 15,375.00 1,427.20 1,466.35 116.05 120.80 $131,395.01 $143,123.26 1,254.34 1,184.50 1,094.54 1,750.07 258.00 221.50 144.26 103.29 $134,146.15 $146,382.62 9,435.87 13,980.21 f124..r11Q_.~ f132 ,4~~~ Domestic Consumers Railroads County Buildings City Buildings Ci ty Hydrants City Schools Government Buildings Sale of Water Penalties Interest Reoeived Rents Recel ve d Miscellaneous Less - Rebates, Refunds, and Charge Offs Net Operatin~ Revenues Sale of Water, $l31,395.01. The decrease in the sale of water from $143,123.26 in 1939-~31,395.01t in 1940, or a decrease of $11,728.25, is due principally to the following: Elimination of sewer flushing charge as at January 1, 1940 - 12 months at $175.00 Reduction of hydrant rental from $25.00 to $20.00 per hydrant per year - 615 hydrants at $5.00 Decrease in domestic consumption Increase in other sales of water $ 2,100.00 3,075.00 6,6l6.66 63.41 Total Decrease in Sale of Water lJJ..7 28 .25 The above decrease in the sale of water is partially offset by a corresponding de- crease of $4,160.03 in the rebates allowed for the month of December, 1940 under December, 1939. Interest Received, $1,094.54, consists of the following: Year 1940 Year 1939 Interest on bonds Interest on Temporary notes Interest on oertificates of deposit $ 504.25 590.29 $ 967.15 639.43 143.49 Totals lJ~94.5jl ~~750.07 Rents Received, $258.00, covers the rental of a dwelling by the Waterworks Department located at 409 South Fifth, $21.50 per month. house and garage owned for twelve months at 1030 OPERATING EXPENSES, $39,685.83, for the year 1940 are briefly summarized to indi- cate the various types of expenses included as follows: Year 1940 Year 1939 Salaries and Wages Paid Electric Power Supplies and Repairs Office Stationery, Supplies, and General Expense Insurance $17,707.89 10,651.39 7,699.06 $17,086.63 11,513.15 7,303.32 2~762.97 864.62 3,716.!Q 719.26 $40~340.75 Total $39.585.83 INTEREST ON BONDS, $8,021.25, for the year 1940, oonsists of the following: Interest on $186,000.00 at 4 1/2% for nine months Interest on $l55,000.00 at 4 1/2% for three months $6.277.60 1,743.76 Total $8.021.26 -- ------. DEPRECIATION, $10,449.34, for the year 1940 consists of charges for depreciation on plant and property as follows: $856.57 per month for two months $873.62 per month for ten months $ 1,713.14 8,736.20 Total !J.0,449.34 The rates of depreciation used for the monthly charge were determined by the city engineer's department as follows: Cast iron mains, 112%; fire hydrants, valves and valve boxes, flow lines, 1%; tanks and towers, 1 1/2%; struotures and manhol~ meters and services, pumping station, sand trap and reservoir, station piping, furniture and fixtures, 2%; venturi meters, garage and storage bUilding,3%; real estate improvements, :3 1/2%; pump house and derricks, individual wells, well pumps and motors, cottage, electric pump and motors, 4%; and trucks and cars, laboratory equipment, 10%. GENERAL Entries necessary to adjust the books to conform with the audited balance sheet and profit and loss statement are shown under Sohedule 2. The auditors wish to express their appreciation for the cooperation of the super- intendent, cashier, and other city officials and employees during the course of the examination. \;"..______.=".~_~~~~~~-_..______-~-.._a.,....___....."~_=_"""~.~_~=__~~_~____.. 104. ....._.....li CITY OF SALINA, KANSAS WATERwORKS DEPARTMENT FUND I BALANCE SREET As at Deoember 31, 1940 Assets I Fixed Assets Plant and Property - Schedule 1 Current Assets Cas h in Office Cash Balance - City Treasurer City of Salina Bonds City of Salina Temporary Notes Accounts Reoeivab1e Materials and Supplies Prepaid Insurance Acorued Interest Receivable Total Current Assets Total Assets t 601.34 112,968.02 $113,569.36 $ 30,600.00 22,750.00 53,350.00 1,545.98 9,223.46 298.03 497.75 Liabilities [ Surplus Surplus as at Deoember 31, 1939 Profit from January 1, to December 31, 1940 - Exhibit "B" $829,343.98 66 ,653 .86 $895,997.84 Less - Set aside as Reserve for Retirement of Bonds Total Surplus 7,750.00 Reserves For Depreoiation - Plant and Property For Street Construction of Flush Tanks For Retirement of Bonds Total Reserves jFixed Liabilities i1 City of Salina, Kansas, Waterworks Bonds , (Dated October 1, 1925 - due serially from October 1, 1941, to October l, 1945, inclusive at 4 1/2%) $ 76,875.96 232.22 7,750.00 iCurrent Liabilities I Accounts Payable ~ Meter Deposits ~ Accrued Interest Ii i on Bonds $ 4,253.76 6,852.50 1,743.75 Total Current Liabilities Total Liabilities Exhibit "A" $ 962,471.45 178,484.58 l}. ,140 ..~56 .01 $ i I ~ ~ c ! t I' t I I ~ , 888,247_84 I 84,858.18 155,000.00 12,850.01 f1,140.956.03 105. CITY OF SALINA, KANSAS WATERWORKS DEPARTMENT FUND PROFIT .AND LOSS STATEMENT From January 1, to December 31, 1940 Revenue s Sale of Water Penalties Interest Received Rents Received Miscellaneous Total Revenues Refunds, Rebates and Char~e Offs December, 1940, Bills Rebated Refunds Accounts Charged Off Total Refunds, Rebates and Charge Offs Total 9Peratin~ Expenses Water Supply Repairs - Well Pumps Repairs - Flow Line Repairs - Electrio Equipment Lubricants Electric Power Pumpin~ Station Superintendence Pump Labor Power Fuel Lubricants Miscellaneous Supplies and Expense Repairs - Electrio Equipment Repairs - Power Station Building & Grounds Distribution Labor - Removing and Resetting Meters Labor - Meter Department Repairs - Meters and Equipment Repairs - Valves Repairs - Hydrants Repairs - Mains Repairs - Services $131,395;.-01 1,254~34 1,094.54 258.00 144026 $ 8,770.06 286.46 379.35 $1,322.06 10 .80 91.53 11.84 3 ,753.78 t. 5,190.01 $1,620.00 4,439000 6,797_61 122.98 35.93 790.28 17.43 3,153.85 $1,440.00 1,440.00 1,162.73 35.02 312042 161.54 470.65 16,977.08 5,022.36 Exhibit "Bn $134,146.15 9,435.87 $124,710.28 106. CITY OF SALINA, KANSAS WATERWORKsDEP ARTMENT FUND Exhibit nB" (Conti d) PROFIT AND LOSS STATEMENT From January 1, to Deoember 31, 1940 Commeroia1 and General Salaries - Aooounting and Collecting Salaries - Meter Reading and Collecting Administrative Salaries Office Supplies and Expense Stationery and Printing Insurance . $3#300.00 2,248.95 3,219.94 2,153.25 609.72 864.52 $ 12,396.38 Total Interest and Depreciation t 39.585.83 $ 85,124.45 $ 8,021.25 lO,449.34 18,470.59 f 6~653.~ Total Operatin~ Expenses Profit from Operations (before Interest and Depreoiation) Interest and Depreciation Interest on Bonds Depreciation Net Profit (from January 1, to December 31, 1940) SUMMARY Revenues Less - Rebates, Refunds and Charge Offs $134,146.15 9,435.87 $124,710.28 Operatin~ Expenses Water Supply Expense Pumping Station Expense Distribution Expense Commeroia1 and General Expense $ 5,190.01 16,977.08 5,022.36 12,396.38 39,585.83 Profit from Operations $ 85,124.45 Interest and Depreciation 18,470.59 Net Profit , 66.653.86 107. CITY OF SALINA, KANSAS WATERWORKS DEPARTMENT FUND Schedule 1 PLANT AND PROPERTY As at Deoember 311 1940 Construction Work in Progress Job No. 186 Job No. 188 Total Plant and Proper~ (As at December 31, 1940 $ 21,883.14 1,883.1!> $ 23.766.30 $ 6,972.26 562,813.87 35,578.52 19,720.62 55,569.84 53,140.10 733,795.21 $ 1,922.50 12,653.38 39,353.65 25,582.28 43,971016 123,482.97 $ 9,875.00 3,580.40 18,750.84 3,069.37 8,596.31 11,929.99 2,195.43 10,746.75 68,744.09 $ 2,282.04 1,117.50 1,880.00 6,329.32 1,074.02 12,682.88 ~471.4~ Distribution.System Structures and Manholes Cast Iron Mains Hydrants Valves and Valve Boxes Real Estate and Standpipe Meter Boxes and Accessories Water Supply Real Estate Pump House and Derrick Wells Well Pumps, Meters and Equipment Flow Line s Pumping Stations. Real Estate Real Estate Improvements Pump House and Stack Cottage Other Structures, Sand Traps, etc. E1eotrio Pumps, Meters and Equipment Venturi Meters Pipes and Piping General Equipment Garage and Storage Building Trucks Portable Air Compressor Furniture and Fixtures Laboratory Equipment 108. '--, ,--,~,- CITY OF SALINA, KANSAS WATERWORKS DEPARTMENT FUND Sohedu1e 2 ADJUSTING JOURNAL ENTRIES As at Deoember 31, 1940 (1) Debit Cre di t $ 36.00 4.40 9.50 .61 81.70 5.92 $ 138.13 Meter Deposits Acoounts Receivable - Gus Burhle Misc. Offioe Supplies and Expense Misc. Supplies and Expense Repairs - Station Building and Grounds Water Revenue Cash on Hand To record miscellaneous disbursements and refunds from Cash on Hand as at December 31, 1940. (2) Repair Services Cash Balance - City Treasurer To adjust amount of voucher #9758 to agree with amount of warrant #75028 on December l7, 1940. .10 .10 (3) Misc. Office Supplies and Expense Meter Deposits To correct error in recording meter deposit receipt 2-28-40 to Vic Smith Service and Stor- age - =#=5701: Reoorded per Cash Books and per Meter Deposit Card $ Reoei ve d per Meter Deposit Reoeipt Stub 3.00 3.00 2.00 5.00 Charged to Expense J 3.00 .~ :- (4) Inventory - Meter Department Meter and Service Dept. -. Equipment and Re- pairs Expense To increase Meter Department Inventory as follows: Balanoe per audit Balance per books 65.73 65.73 $2,609.68 2,543.95 Adjustment (Correction in Price Extensions) 1 65.73 109. ---~-,-,._. CITY OF SALINA~ KANSAS WATERWORKS DEP.AR TMENT FUND ADJUSTING JOURNAL ENTRIES As at December 31, 1940 (5) Operating Stores Inventory Repair Servioes To reoord physioa1 operating stores in- ventory as at December 31, 1940, as fo11owss Physical Inventory Book Inventory Adjustment (6) Prepaid Insurance Insurance Expense To reoord prepaid insurance as at Dece~ ber 31, 1940. (7) Accrued Interest Receivable Interest To aocrue interest on City of Salina Bonds and Temporary Notes owned by the Waterworks Department Fund. (8) Reserve for Depreciation Pumping Station #45-5 To eliminate fully depreciated steam pumps, boilers, etc. sold as junk in 1940. (9) Sales Tax Water Revenue (Miscellaneous Income) To adjust balance in sales tax account to reflect liability as at December 31, 1940: Sales Tax per Books Less - December Co11eotions paid in January, 1941 Total $6,613.78 6,597.71 J 1~.07 $ 133.53 79.92 ~ 53.61 Sohedu1e 2 (Contfd.) Debit $ 16.07 298.03 '497.75 4,058.54 53.61 "-~-,,---~"-~,., Credit $ 16.07 298.03 497.75 4,058.54 53.61 no. CITY OF SALINA, KANSAS WATERWORKS DEPARTMENT FUND Sohedu1e 2 (Cont I d.) i ADJUSTING JOURNAL ENTRIES As at Deoember 31, ~ (10) Debit Credit $ 235.82 471.65 23.72 35.93 193.98 2.00 3.05 17.61 11057 482.02 41.83 771.50 1,883.16 $4,173.84 Power :/1=5 Power :Jfe Fuel Lubrioants - #10 Misoe11aneous Supplies and Expense Repairs - E1ectrio Power Equipment Repairs - Station Building and Grounds Meter and Service Department Repairs Expense Repair Servioes Miscellaneous Office Supplies and Expense Stationery and Printing Expense Job :/1=186 Job :/1=188 Acoounts Payable To record accounts payable of the Water- works Department Fund as at December 31, 1940. 111. ---~,---,