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Audit - 1954 CITY OF SALINA. KANSAS ~ .. I FINANOIAL REPORT CoveriIW:. the Period from JanuarY 1. 1954 to December 31. 1954 D. N. Turner tzRTIFIED PUBLIC .AGCOUNTANT SAI,)]U., K~l\TSAS 'aITY OF S4T.TNA~ KANSAS . T BJ}D E X *---- , Page N\1IIbera ... eo.menta 1-18 h:hibit IAI s..-maY"y statement ot Receipts, Dl.aburseaents, and Balances ot Cash and Investments 19 Exhibit ".8" Comparison of Actual Receipts with Budget 20 Emibit · G.. Statement ot Expenditures Compared with Budgeted _aunts 21 Exhibit "D" Cash Receipts, Disbursements and Balances of the City Treasurer with Beeonc.Uiation of Disbursements 22 Exhibit "EI Investments in O1stody ot City Treasurer 23 Exhibit "F" Summary and Reconeiliation ot 195.3 Tax Roll Showing Tams Assessed and Collected by the County Treasurer and Reaitted to Qity Treasurer and Lis'ts of uncollected Balances and UDremitted Bala1lces 24 Exhibit IIGIf Stateaent of Taxes Beoeived .trom Goun'ty Treasurer Show:tng Carrent and Back Tax Received and Distribution to Ftmds on Basis of Asses SIlent. 2S Emibit "Hit Qlerk ot the City Court - Statement of Beoeip'ts, Dlsbursements and Balances of Cash 26 Exhibit "II an-an- ot Pollee Records 'Z7 lbbibit IJH Summar,. ot the Records ot the City Building Inspector 28 Exhibit wKI CoIlparison of Depository Bonds and Balances of Deposits 29 Ezhibit ILl l'1a.lity Bonds in For.. 30 EDibit "II" Insaranoe in !Wce 31 Emibit M." Accounts Reoei"f'able 32 Exhibit 10" Statement of Bonded Indebtedness .33 Exhibit 'PII statement Showing Balances and Changes in Temporary Bote Indebtedness 34 Schedule Ill" General OperatiDg Fimd, statement ot Receipts, Expenditw:'fjs, Liabilities and Balances 35 Schedule "l-A" General OperatiDg Fund - Detail ot Receipts trOlll Licenses, Fees and Permit. 36 .~ ..::" . _"0 ~ OF SAT.TNA., KANSAS 1 !f 1211 (Cont'd.) Pace 1fImb81'8 '~..f' ~ Schedule tll-B' General OperatiDg Fond - Departaental BreakdollEl of Expendi tu.res Com.pared wi. th Budget , . _ i 37 Schedule "l-al General OperatiJJ.g Fund - Deta:U of Expenditures - Mayor and Commissiozwrs 38 Schedule "1_b" G4tneral Operating Ftmd - Deta1l of Expeadiwe8 .. Gi t7 Mauagu 39 Schedule "l-c. General Operating PUnd - Deta1l of Expenditures . City Olerk and Oit1 Treasurer Sehedule 11-d1t General OperatiDg Fund - De'taU of Expenditures - C:l. ty Build:iDg Schedule 1I1-e1t Geaeral Operating Fwld - De'taU of kpend1tures - Cit1 Attorney General Operating luna. - Detiil of Expend! tares - Ci V Court General Operating Fund - Detail of Expenditures - Engineering , General Operating Fund - Detail of Expendi turea - Fire ,Department General Operating Fund - Detail of Expenditures - Inspection General OperatiDg Fand - Deta:U ot Expend! tures - Park Department General Operating lund - Detail of Expenditures - Police Depe:rtaent General Operatingl!\D1d - DetaU of Expenditures - Fubllc Health Department Sahedule ill_nil General QperatiDg Fmld - Data1l of Expenditures - Street, Alley and Sewer Schedule 111-0" General Op8rat!DgFund - DetaU of Expenditures - Ge:rbage Department S*edW.e l1,.pH General OperatiDgl\m.d - DetaU of Expenditures - Waste Colleotion and Disposal Schedo.le "l-qll General Operating Fund - DetaU of Expenditves - Sewage Disposal r Sohedule H1_t" Scb.edJ1.le 11_gH Schedule u1_hlt Schedule 1t1_i" Schedule n1_j" Schedule 11_k" Schedule 11_1" Sehedule "1-." " t ~, 'r JI) 41 42 43 General OperatiDg lUnd - Deta:U of Expendi turell - Pollee Oourt 44 45 46 47 48 49-50 51 52-53 54 55 56 SchedW.e ttl-r" Schedule "1...... ,,-, - Schedule "1-"" Schedule "1-11" Schedule "2" SchedtUe 8.3" Sehedule "4" Schedule 115" Sehedule "6" ... Schedule W'{" Schedule "8' CITY OF SAl.IN.A..KANSAS ;[ !i 12 ~ ! (Cont1d.) :Page Nulibers General Operating Fund - Detail ot Expenditures - Str.et Lighting General Operating Fund - Detail ot Expenditures - Traffic and :Park:1.ng Control General Operating Fund - Detail ot ExpenQitures .. .Airport 1>>partment General Operating Fund - Detail ot Expenditures .. S.".s 111111" "'g :Pools 57 58 59 00 lie_rial Hall Fwld - Reeeipts, Disbursements, Liabilities, and Balances 61. General andSpeo1al ImprOTement !Und - ~oeipt8, Disbursem&nts 8X'ld Balances 62 General Improvement Fund - Receipts, Disbursements and Balances 6.3 ~65 08J11&tery Fund - Receipts, Disbursements, and Balances Public Health Nursing Fund - Receipts, Disbursements, and Balances Band Fund - Reoaipts, Disbursements and Balances Library Fund ... Reeeipts, Disbursements and Bala.n.oes 66 ff7 68 Schedule 89" Noxious Weed Control. Fund - Receipts, Disbursements, and Balances f:8 Schedule 110" Trust and.Agenq Ftmds .. Receipts, Disbursements and Bala.n.ces ot Gash 70 Schedule "lOwA" Fire_c. Pension Fwld .. Reoeipts, Disbursements aDd Balences 71 Schedule "10-13 II Polloe Pension Fund - Receipts, Disbursements, and Balances 72 Schedule "lla Indwttrial Developllent Fw1d - Reeeipts, D:1.sbursements and Balances 73 Schedule "u' Sehedule 111311 t Bond alld Interest :rund .. Receipts, Disbursements and Balances 74 Water1fOrks Department Fund - Receipts, Disburseaents and Balances 75 S_dule 11411 . Schedule "1511 Schedule 1IJ.6tt '-l Schedule 1117" Schedule 118" Schedule 111911 Schedule 120" Schedule "20-J.I Schech1le "21" Sohedule "22" ... Emibit IAn Exhibit ".B II SohechU.. III Sohedllle '2" .... CITY OF SlT.TW~ KAWSAS I !i ~ I ! (OontfdJ.. OcmaVuction lund - Receipts, DisburseJll8nts and Balances . .. . Material stores - Receipts, Disbursements and Balances Veterans Housing - Receipts, Disbursements and Balances Gl:ri1 Derellse Fund - Receipts, Disbursements and Balances Street Machinery Fund - B8ceipts, Disbursements and Balances Clearing lecOlUlts - Reeeipts, Disbursements and Balances Cash in Olstody' ot City Treanrer and aw.ary Reooncdliation or Bauk Balances - DBesmber 31, 1954 OutstandiDg Qleoka - Bank Reoonciliations - DeoeBlber 31, 1954- Gash :In the Cu.atody or the Clerk or the City Court - w. J. Broom - Deoember 31, 1954 Beoonciliation or F1soal Agency Aocounts - Outstanding Bonds and Interest Coupons WATERWORKS lEP.mTIIENT OollDll8nts Page Nn~$r8 77 78 79 80 81 82 83-84 85 86 87-91 Waterworks Department FUnd - Balanoe Sheet - DBoember .31, 1954 92 Profit and Loss StatellBDt - Year Ended Deesllber :U, 1954 9.3 Operating Gosts - Year 1954 Gompared with Year 195.3 94 -- . Plant and Property Ao~s - J&m1arY 1, 1954 and December 31, 1954 95 Salina, Kansas May 10, 1955 fo The Ma10r eBd The Board of City CoIImissioners Salina, Kansas Gentlemen: Pursuant to ;your instructions w:chae'::llade an audit of the books alld records of the Cit;y of Salina, Kansas covering the ;ye,g ended Deeember 31, 1954 and no... submit our report thereon. A separate section at the back of this report presents COIIID8nts, exhibits and scheduJ.es COYering the operating results of the Waterworks Department during the year under rme.... ~ SOOPE OF THE AUDIT - . . ... The audit 1I&.S perforaed in accordaJ1ee with the general 8Jld speeitic reqtlil'9ments of the Jjnjlllp Standard _elit Frocraa approved \)" . ' the s~te MnnicipalAccounting Board, Nove1llber 31, 19)5, and as revised 1949, 8Jld included an eXaJI'li nation of the records of all Ci V Offices and Officers except the llunicipal Band Board, the Public L1br,g;y Board and the Pub1ie Health Nursing .Association, which Boards receive money appropriated by the City but have exclusive control over the disbursements of both the aJIlOUDts appropriated to them bY' the City and other money which the;y - . ," may receive. We were not authorized to audit their activities and no report is being rendered on them. 2 ,~ OOMMEl'lTS The fo110wing comments are presented for your information; SUMMARY STATEMilliT OF RBCEIPTS. DISBURSEMENTS. LIABILITIE~ BALANCES OF CASH AND INVESTMENTS - EXHIBIT "A" This exhibit shows fund cash and unencumbered balances at the beginning and end of the year together with re ceipts and Budget Charges during the yeeJ:. The composition of the total funds in the hands of the City Treasurer are presented at the foot of the exhibit. The cash receipts and disbursements together with the 1):) cember 31, 1954 bank balances are shown in Exhibit lIB". The detail of increases and decreases in the Fund Investment accounts are given in Exhibit "Ell. OOMPARIOO.!IJ OF ACTUAL RECEIPTS WITH BUDGET - EXHIBIT "B" This exhibit presents a compeJ:ison of actual receipts with the anticipated receipts for each fund together with amounts of excess or deficiency in receipts as compared with the budget. Actual receipt. "~e more than anticipated receipts by $56,860.26. STATEMENT OF EXPENDITURES OOMPARED WiTH BUDGET APPROPRIATIONS - EXHIBIT "C" This statement sets forth the disbursements charged against each fund and comparison with the 1954 Budget figures. All Fund expenditures were under the budgeted amounts with the exception of the Firemens Pension Fund and Police Pension Fund. EXHIBIT "D" Exhibit liD" shows a Reconcilement of the Receipts, Disbursements and Balances of the City Treasurer. SGiEDULES 1 TO 19 INCLUSIVE These schedules set forth the detailed receipts, Budget Charges and beginning and ending balances by funds for the year under audit. A comparison of actual receipts and Budget charges with Budgetary alIlounts is a.. shown for all funds included in the Budget. 3 Salaries paid to officers and regular employees during the year 1954 were found to be in accordance with the rates specified by ordinances and the scrutinized. limitations prescribed by the statutes. Classification of Salaries was GENERAL OPERATING FUND - SCHEOOLE "1". "I-A". "I-BU. and "l-a" to "1-\1" Disbursements of the General Operating Fund increased by $76,786.61. The following summary compares the various General Operating Fund departmental Disbursements for the 1954 with those for the preooeding year. Consolidated Fund Departments ... Mayor and Commissioners Ci ty Manager Clerk and Treasurer Gi ty Building City Attorney City Court Poli ceCourt Engineering Fire Inspe ction Park Police Public Health Street, Alley and Sewer Garbage Waste Collection and Disposal Sewage Street Lighting Traffic and Parking Airport Swi mm; "g Pools Totals 1953 ~ 3,053.25 7,829.76 26,456.96 8,240.24 6,672~92 10,925.92 2,104.5~ 22,527.65 122,634.88 9,796.67 37,838.23 124,818.44 12,8ffl.93 7.3,360.66 91,362.36 10,343.01 34,053.09 26,309.75 27,734.61 2,670.02 7,796.51 i669.. 397 .38 1954 , $ 9,146.07 . 8,372.84 38.946.36 9,088.ll 6,874.51 10,272.15 2,068.75 21.,104.59 128,152.12 8, .3 57 .09 37,003.26 130,863.36 13,729.96 94,257.66 99,536.77 10,282.98 37,780~71 30,616.67 37,779.79 3,073.62 8,876.62 $746.183.99 BUOOET QIARGES Increase (Decrease) $ 6,092.82 . 543 .08 12,489.40 847.87 201.59 (653.77) (.35.77) (1,423.06) 5,517.24 (1,4.39.58) (834.97) 6,044.92 862.03 20,897.00 8,174.41 (60.03) 3,727.62 4,306.92 10,045.18 403.60 1,080.11 $76.786.61 During the year the Ci1;y collected $45,301.60 from licenses, fees and permits, a increase of $14,184.35 from the amount collected in 1953. It' I /..- Schedule "I-A" presents the classification of the various fees, licenses and permits and compares them to the budgetary estimates. Franchise Ordinances in effect during the year were examined. In each case receipts were found to be in accordance with the ordinances and 4 franchise agreements. The amount due from the Kansas Power and Light Company for the last nine months of 1954 amounting to 110.099..2& iror Gas and $37,472.74 for E1ec'tiric Franchise were received by the City in April 1955. This receivable is shown in Exhibit tlgll. Police Court Fines and Forfeitures in the amount of ~38,231.00 were imposed during the ye~. This represents a decrease of $8,800.00 over the preceeding year. A statement prepared from the Police Court records is submitted in Exhibit "I", all but $2,273.00 of 1954 fines were settled during the year. Distribution of the Cigarette TaX was checked in the Gounty Treasurer1s records. $6,103.64 received by the County Treasurer in December was still in his hands. Receipts of City Court costs and fees amounted to $4,553.53 and were traced to the records of the City Court as shown in Exhibit "Hn. GENERAL OPERATING FUND DEPARTIvI8t'lTAL DISBURS&MENTS The detailed departmental expenses are compared with the budget estimates in Schedule "l-B" and further analysis is shown in Schedules "l..a to l-u". All payments were traced to the related warrants and all vouchers were examined IIld over 10% in number and over 50% in aJIlount of the disbursements were compared with the vouchers. No irregularities weN found. MEMORIAL HALL FOND - S<1U"}OOIE "2t' A comparison of the 1953 Rental and Concession receipts with I i I ~ I I l- those of 1954 is shown below: 54 Increase over 1953 $4,842_56 4.741..42 $ 101.14 1954 Rental and Concession 1953 Rental and Concession GENERAL AND SPECIAL DJIPROVEIvOOiT .. (SPECIAL FOND IN LIEU OF BONDS) - SCHEOOlli "3lt This fund was created in 1946 with the purpose of levying currently for the City's Share of Improvements made instead of issueing bonds s therefor. All receipts were from current Ad Valorem Taxes and disbursements were made in 1954 as budgeted. Through error in the County Treasurerts remittance report, $1,347.25 was credited to tax collections in this fund instead of to General Operating in 1953. Correction has been made now, but the error, results in a cash overpayment at D3cember 31, 1954. GENERAL IMPP.oW;MF:NTS FUND - SCHEWLm M.&,tt The income from this Fund consists of taxes, sales tax and weed cutting. All Tax Receipts were confirmed by inspection of Salina Countyts records. t.. CEMET'.ERY FUND - SCHEDUIE "5" Verification of Lot and Space Sales was made from the Deed Stubs and checked to the receipts record. The Burial Record was e~ed. Tax Re ceipts were verified. PUBLIC HEALTH NURSING FUND - SClfEOOIE "611 All receipts in this fund are from Ad Valorem Taxes and Sales Tax and all disbursements were made to the Salina Public Health Nursing Association. BAND FOND - SQIEOOIE "7" Ad Valorem Taxes and Sales Tax and rent from Claflin Hall are the only receipts recei'ded in this fund and all disbursements are made to the Salina Municipal Band Board. LIBRARY JroND - SCHEDUIE "8" Ad Valorem Taxes and Sales Tax comprised all the re09ipts to this fund and all disbursements 'lllfere made to the Free Public Library Board of Salina, Kansas. .. BINDWEED CONTROL FUND - SC1IEJlJIE "9" .All Transactions in this fund appeared to be in order. Only receipts were from Ad Valorem Tax and Sales Taxes, and expense reimbursements. TRUST AND AGENCY FUNDS - SCHEIUIE "10" Statements of receipts, disbursements and balances of cash for all 'l'rust and Agency Funds are included separately under the above schedule. ;.- 6 Supporting Schedules "lO-A" and tllo..Btl set forth oomparison of Cash Receipts and Disbursements with Budget Estimates for the firemen's Pension Fund and the Policements Relief and Pension Fund respeotively. l)lring 1954 the Firemen's Relief Fund received paYments to Insurance Refunds in the amount of $6,557.63 for the year 1954, a decrease over 1953 of $689.22. The classification of the various receipts and disbursements of t.he Trust and Agency FUnds is set forth in a self-explanatory manner and it is felt no further comments thereon are needed. Particular attention is oalled to the fact that the balance of the Police :aelief and Pension Fund as shown on Schedule IIl0-A." is over $10,000.00 by $1,286.62 and Firemans Pension is under by $74.45. INIlJSTRIAL DEVELOPMENT FUND - SOOWLE "il" There were no receipts during 1954. Disbursements made appear in order. BOND A;ND INTEREST FUND - SCl!EWLE: 1112" Receipts of this Fund include Ad Valorem Taxes levied for the payment and principal and interest as general bond issues and for the payment of principal and interect 0T1. +,h~ G-tt~~r s share of Special. Improvement Bond Issues. The proceeds of special assessment taxes assessed against property owners for the ownert s share of the cost of special improvements are also included in the rereipts of this fund. WATERWORKS DEP ARTMENT - SCHEWLE tt13 tt This schedule shows a summary of the receipts and disbursements of the Waterworks Department, which cleared through the City Treasurer during the year. I ~ The balance shown at the end of the year consists of cash only and does not include investments Owaed by the Waterworks Department. These investments are listed in detail on Exhibit lIE". Additional comments, exhibits and schedules pertaining entirely to the Waterworks Iapartment are submitted in a separate section at the back of this report. It should be ! ~ 7 noted that collections by the Waterworks Department on December 31, 1954 are !lot reflected in this fund or on any of the other Fund records at the close of the yee:r. The Cash Fund of $900.00 maintained is shown in the Ci ty Clerkt s Records. A summe:ry of the Waterworks Depe:rtmentts cash and investments at December 31, 1954 is shown below: Cash in the custody of the City Treasurer - Genl. Investments in the Custody of the City Treasurer Cash fund maintained in the Waterworks Department Office Total Cash and Investments $265,094.23 280,057.00 900.00 $51..6.051.23 OONSTRU GTION .FUND - SaIEDULE 1114" The Various Construction Projects accounts are grouped under this schedule and the receipts, disbursements and balances of each construction project account as well as the total receipts, disbursements and balances of all construction project accounts are shown t,hereJ.ll. Transfers of Parking Meter moneys were made to this account as shown. PaYment of Parking Revenue Bonds and Interest was made from this fund. BRIOOE OR STREET BUILDD1G MAGHNERY AND EWIPMENT .FUND - SQiEDJIS "18" Transfer of $1.0,000.00 was made to this fund during 1954 and $8,413.84 was spent for Machinery and Truck. ClEARING ACOOUNTS - SaIEDULE tt1911 A Grouping Fund for all collection accounts, labeled "Clearing" was established. Income tax, Social Security Tax, and Sales Tax Collections, Bond Deposits, and Receipts received in advance, are all included under this category. See Schedule "1911. CASH IN THE CUSTODY OF THE CITY TBEAS'URBR - EXHIBIT "DII Under this Exhibit is shown a summary statement of the Treasurer's ... Cash Balance at the beginning of the year, the receipts and disbursements i' ~ clearing the treasurer's Bank Accounts during the year, and the Treasurert s Cash Balance at the close of the year. Schedule 1120" shows the reconciliation of the Bank Balances " ~, ,.'." ,'...",c... ,,... " -',..'.. " ,..... ."" 8 ooni:-irmed--tG-u-s-.-by ..the- d.epositories with the December 31, 1954 balances on the Treasurert s books. A list of the Outstanding O1ecks at that date i.s set forth in Schedule 1120-A". In accordance with the customary procedgre, the City. s Books and Records were not closed until a few days after the close of the year in order that all receipts and disbursenlents applicable to the year 1954 might be entered. The 1955 deposits shown on this reconciliation (Schedule "2011) consisted of collections applicab1e to the year 1954. nN~TMENTS IN CUSTODY OF TIIE CITY TREASURER _ EXHIBIT ''E" This Exhibit sets forth a description of the investments in the Custody of the City Treasurer as at the beginning and closing dates of the audi t period together with details of the change in investments during the period. Investments in the custody of the Treasurer on May 6, 1955 ware verified by inspection. There ~~l:l no changes since D3cember 31, 1954. Interest Coupons on Bonds were properly acoounted for and the income from investments collected,;4u1-iDa the period was traced into the records of Cash\..._i.' : to , ~ re cei veda .. ~ The Oityts share of the 1953 taxes collected by the County Treasurer was traced into the various City of Salina 1954 Fund Tax Accounts maintained on the records of the Salinf County Treasurer. 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 1953 ,Tax Javy Collections. together with Collections du.t'ini the year on Taxes _Assessed in prior periOds, and that these distributions were made to the City on the basis of the tax levies for the years in which the collected Taxes were levied. It was determined that the City credited receipts from the County Treasurer to t..l1e City Funds on the same basis, with exceptions stated in comments on the General Operating and General and i ~ 9 - Special Improvement FUnds. The County Treasurer's allocations on Sales Tax residue to the City appeared to be in accordance with the statutes. SUMMARY AND RECONCILIATION OF 1953 TAX ROLL SHOWll'JG TAXES ASSESSED AND COLLEGTEDBY THE COUNTY TREASURER AND UNOOLlliCTLD BALANCES - EXHIBIT "Fit 'l'his exhibit sets forth the original tax roll applicable to the Ci ty of Salina, as certified by the County Clerk to the State Tax Commission, is adjusted for additions to the tax roll, taxes refunded by the County, and taxes remitted to the City, for the purpose of developing the amounts of 1953 taxes assessed but not collected by the City. 3T ATEME1~T OF TAXES liECElVED FROM THE COUNTY TRE:ASURER S1-IOWLN"G ClJRRENTAND DELINWENT TAXES AND DIS'lRIBUTION TO FUNDS ON BASIS OF ASSESSMENT - EXHIBIT "G" This statement shows the total aJIlount of taxes received by the City during the year 1954 and the years in which such taxes were levied by the Ci ty. The allocations to the Ci. ty FUnds is based on the tax levy for the years in which the collected taxes were levied. Included in this exhibit is an analysis of delinquent, current, tangible and intangible taxes received. ... : "' The individual fund statements of receipts, disbur~ements and balances of cash for tax levying funds, Schedules "1" to "12", inclusive, shows the total Ad Valorem Taxes received by each tax levying fund. SUMMARY OF ACCOUNTING PROCEDURE AND VERIFICATION OF RECEIPTS AND DI33URSEMENTS OF CITY GL3RK AND CITY TREASURER Receipts: The City Clerk is the principal collecting and accounting officer. All items of cash received, except taxes and infrequent collections received directly by the City Treasurer, are handled first by the City Clerk or Clerks in his office. The City Clerk and City Treasurer a1"e provided with standard triplicate receipt forms numbered by the printer and a receipt is issued for I ... 10 , .. each individual collection made by these officers. The City Clerk deposits collections made through his office on the average of every two or three days, and a test check of his records indicate that his collections were made intact and promptly. The City Treasurer reports each of his collections separately to the Clerk and such collections are recorded on the Clerkr s cash receipts record. The City Clerk's records, indicated that the City Treasurer had promptly deposited all sums of money coming into his hands. IA1plicate of receipts issued during the audit period by the City Clerk and City Treasurer were test che eked into the Clerkt s re cord of cash received and the mathemati~al accuracy of that record was verified. The a.uditor scrutinized the fund classification of the receipts as shown on the Clerkts cash record, for verification of fund distribution and the classification of receipts within the funds was test-cheeked. Monthly totals of fund receipts were traced from the receipts record into the fund ledger. The entries in the cash receipts record were also test-checked into the receipts analysis record, and that record was tested as to accuracy of tetals. Ra cords of licenses issued and other available evidence of cash received were also traced into the Clerkts cash book. The colleotions of the Director of finance were traced into the Treasurerrs Bank Accounts; Collections of the Treasurer were also traced into his various bank accounts. The three local baoks were approved as depositories by the Governing body on June 19th, 1933. No cash was on hand in the office of the City Clerk at January 1, 1955 since all cash received was deposited intact. All 1955 deposits applicable to the year 1954 v.ere entered on the books as at I>>cember 31, 1954. Certain collections, made in 1954 were applicable to the year 1955 and are sho'Wtl in a separate fund called 1955 receipts paid in advance, and are included in "Clearing Accounts". ;, '-,c ,. .;. 'i. 11 Disburseaental Jll c1sia vouchers paid during the year were examined and test checks of postings and extensions were .ae. Claim Vouchers wre test traced .. into the Clerk' B ordinance registers, and the fund distributions were all checked to the Ledger Sheets. The Jlathellatical accuracy of the aLty Clerkfs warrant registers were prewen and the fund totals of each appropriation ordinance .re traced into the fund ledger. Postings were test-checked frOIl the Clerkls warrant register to the disbursements 8J1alysis record and that record _s proven for accuracy of totals. The 01 ty used a warrant form for maJrjng disbursements, 1lIhicb. becomes a check on being signed by the City Treasurer. The Treasurer uses a rubber st8llP facsimile of his signature for this :parpose. .All checks can_lied during the year were eX8llined and traced to the aPpropriation ordinanee record. Fund Ledaer: The 01 ty ma;i.ntains separate fund accounts for the cash and investments of each 01 ty Fund. .All postings to the Fend Ledger were traced from their source into the J\md Ledger, "'4 the Jlathellatical accuraoy of the Ledger 1II.S . -" pt'OTSn. Fund Ledger Balances were COJUpnted and a total balance was abstracted from that record. ... Treasurer's iecor4f1 ~e Treanrer's reoorcl of cheeta issued, and deposits aade, and bank balanees is maintaiDed by a bookbeper in the oftioe of the City Clerk as au incBlpendent record. Statement of total receipts, disbursements and balances as sho. by this record are set forth in Exhibit "D". CTERE OF THE GIn OOURr STI'l'F.UF.NT OF RE<BIPTS.. DISBUR.<m:\lENTS AI;D BALANCES OF C.sm - li:YHTRIT "Ha This ezh1bit sets forth the cash balanOlt. in the C\lstody of the Clerk of the City Court, at the begimn;ng and end of the audit period together with receipts and disbursements during the yeer 1954. These figure. were taken frOll I .. the reoords of the merk of the O1t1 Court. A comparison of fees on hand and cash balances as of December 31, 1954, is sho1lll at the foot of the statement. A list of the individnal case balances I - ! c '.C' 12 are not set forth in this report, since it is a part of the Clerk's permanent records, and was verlf'ied to the Case Ledgers. Reconciliation of the Clerk of the City Court cash balances at the Farmer's National Bank, Salina, Kansas, is shown on Schedule "23". Cancelled checks were examined for signature and endorsement. The Clerk of the City Court maintains a record of cash received and disbursed, a ledger of cases and monthly reconciliation of Case balances with the cash balances. Verification was made by comparison of cance11ed checks vr.i.th disbursements as recorded, by proof of monthly Postings by addition, by comp8.ri~on of all du~lj.ca~ r~ceipts to ~e reoeipt record, . and comparison of such totals with aJIlounts recerded and by 'tes......cheok of individual items te the aJIlOUJ1t recorded, by verification from the records or reports of City and County Officials as to ~ounts shown paid to them, by test-checking of items of receipts and disbursements to the Dockets and to the Case Ledgers. The Detail of Case Balances shows $30.08 more total than the amount of cash I . on hand.. POlI<Z roURT FINES AJ.'lD roRFElTURES ... A Police Sergeant acts as collection officer for the Judge of the Police Court. Entries on the Police blotter show the amount of the Appearance Bond deposited; fine imposed or other deposition of the case; fine co11ected or paid by work; and other informe.tion regarding the Case. Receipts for fines paid are issued from a duplicate receipt book, the duplicate being retained for all except still traffic violations, which are entered in total each day. These totals were test-checked by addition of tickets and duplicates were test-checked to the docket. Cash, as received, in fines and Bond Forfeitures, is plaoed in .. numbered Case envelopes which are accumulated until the end of each Blotter Page, when these envelopec t.ge~~er with other similarly numbered case envelores containing fines, workout, parole, dismissal evidence, are turned over to the Police Judge who reconciles the cash and other items with his docket 13 I ~ records and prepares an analysis thereof which he submits to the City Clerk together with the cash received. These amounts s.l-}ould not be allowed to accumulate so long but should be turned over often, never being over the aJIlouut of the Judges B~. Still Traffic Fines are turned over daily. The analysis of fines imposed for the year 1954, as prepared and submitted by the Police Department to the City Manager, was eXBJllined and found incorre ct as were some other reports filed, however the totaJ. cash received was agreed with the amount turned in. The cash anaJ.ysis of cash received by the Police Department was, as stated above, found correct as submitted. SUliMARY OF POLICE OOURT REOORDS - EXHmIT "I" This exhibit shows the January 1, and December 31, 1954 balances of uncollected fines by the following years - 1950, 1951, 1952 and 1953 together with the 1954 collections, paroles, workouts and dismissals for each year and group of years. Verification was made by test additions of the dup1ioate receipts for several months and comparison with cash reported and paid to the City Clerk, for all months. Tests were made from duplicate receipts to the envelopes and from envelopes to the Police Blotter. Page footings of the Judges Blotter was proven and compared with the page analysis for each month. Tests of monthly fines and colleotions was made for the year 1954 from the Blotter and compared with these reported to the City Clerk and City Manager. SlJ}{:iMARY OF THE REOORDS OF THE CITY BUILDING INSPECTOR - EXHIBIT "J" This exhibit shows a classifioation of the collections made by the building Inspector together with the remittances made to the City Clerk during the period from January 1, to December 31, 1954. Cash received from the collection of fees and issuance of permits as shown by the duplicate receipts, were traced into the Register of Collections maintained in the Building Inspe..torts Office, and from that Register to the monthly reports and remittances to the City Clerk. Fees charges appear to be 14 in accordance with the rates set by ordinances. Underpayment was made in the amount of $4.45 for 1954, le~vj_ng a net overpayment of $1.38 for the three years 1952, 1953, and 1954.. OOMP.^.RISON OF DEFOSlTORY BONDS AND BALANCES OF mroSIT - EXHIBIT "K" This statement compares the balances on deposit as at December 31, 1954 wi th the amounts of depository bonds pledged by the banks as collateral to assure the payment of these deposits. The local banks have pledged United States Gov.~nt or Kansas Municipal Bonds as collateral for deposit of public moneys. ... The Governing Body does not appro'Ye depository bonds as required under section 13-2107 of 1943 Sv.pp1ement. It was ascertained that depository bonds pledged by banks did adequately secure the deposits as at December 31, 1954, and it appeared that deposits were adequately secured at all times during the year with the exception of two peak periods. All depository bonds were confirmed by correspondence with banks holding same for safekeeping. FIDELITY BONDS IN llORCE - EXHIBIT ilL. Fidelity Bonds in Force as of December 31, 1954 a.s detailed under the exhibit were inspeoted and checked to the statues and 1948 revised ordinances to determine that such bonds meet statutory requirements as to type, amount and approval. All Fidelity Bonds except those of the Clerk of the City Court and the Marshall of the City Court are in custody of the City Clerk and Director of Finance. The bonds of the Clerk of the City Court and the Marshall of the City Court are in custody of the County Clerk as is provided for under 20-1420 and 20..204 and 205 C.N. 1935. The bonds of the Clerk of the City Court and the Marshall of the City Court are drawn in fa.vor of the State of Kansas rather than in favor of the City of Salina. All other fidelity bonds were dra1lll1 in favor of the City of Salina. The 1iability of Surety Companies on all fidelity bonds was confirmed by correspondence with the Home Office of the Surety Companies, and it was ascertained tha.t each of these companies was I ~ 15 authorized to do business in the state of Kansas. INSURAlIJCE Dl FORCE - EXHIBIT tlM" This exhibit presents a summary statement of the Insurance coverage on the various properties owned by the City together with the type of Insurance thereon. Policies are issued, in most instances, to cover a period of either three or five years. The properties listed under the heading of City Buildings and Properties with a total coverage of $393,590.00 are insur..d by a group of 29 companies with ea~ policy having a ninety percent co-insurance clause. ~.r all Building and contents are insured by a group of 25 ~,~ compSnies for $231,000.00. Each of the policies in tr>is group contains a ninety percent co-insurance clause. Airport policies carry 80% and sewage Building Policies carry 90% Co-insurance . Insurance coverage on other properties not included in the above groups and other types of protection are listed separately. Insurance I - I coverage pertaining to the waterv:orks department is shown separately on a schedule in the latter part, of this report also. It was determined that all insurance companies ..i ting insurance on the City's property were authorized to de business in the state of Kansas. AGroUNTS RECEIVABLE - EXHIBIT tiN" A1Iounts due to the various funds of the City as at December 31, 1954 as determined by our examination are shown on this exhibit. No independent verification was made with debtors. This exhibit does not include Ultpaid taxes. ACOOUNTS PAYABIE No separate schedule has been presented of accounts payable as they are classified by funds under Exhibit "A". The amounts included as liabilities l'9Elre determined from inspection of the records maintained by the City merk's Office . STATEIV'iENT OF BONlED INDEBTEDNESS - EXHIBIT "0" This statement presents, j:n rletail, the bonded indebtedness of the 16 1 City of Salina, at Dacambel' 31, 1953 and December 31, 1954 together with bonds issued and retired during 1954. The following is a sUllllll8ry of Bonded Indebtedness classified as to type of Bonds outstanding, with yearly Maturity totals: Outstanding December 31. 1953 General & Revenue Bonds $1,724,000.00 Special Improvements Bonds 1,909,426.13 Year Due 1955 1956 19 r:J1 1958 1959 19 Eo 1961 1962 1963 1964 1965 1966 1967 1968 1969 1970 1971 1972 19'73 Totals 1954 Issued Retired December 31, 1954 $475,000.00 $172,000.00 271,582.78 254,612.72 $746,582.78 $426,612.72 Totals $2,027,000.00 1,926,396.19 $3,953,396.19 Total Bonds --L $ 424,43.3.43. 520,282.78 497,700.00 470,000.00 308,000 .00 262,000.00 262,000.00 210,000.00 201,000.00 128,000.00 114,000.00 62,000.00 62,000.00 62,000.00 62,000.00 62,000.00 62,000.00 62,000.00 62,000.00 $3,953,396.l~ General Bonds amounting to $2,027,000.00 and the Special Improvement Bonds amounting to $1,926,396.19 were outstanding at December 31, 1954. $3,633,426.13 General Bonds $ $ 176,000.00 206,000.00 208,000.00 19~,000.00 136,000.00 122,000.00 123,000.00 90,000.00 91,000.00 90,000.00 91,000.00 62,000.00 62,000.00 62,000.00 62,000.00 62,000.00 62,000.00 62,000.00 62,000.00 $2.021.,000.00 Spacial Bands 4Jo! 'IJI $ 308,43.3.41 314,282.78 289,700.00 272,000.00 172,000.00 140,000.00 139,000.00 120,000.00 llO,OOO.OO 38,000.00 23,000.00 ~926,396.lQ There were no additional water Departenent Revenue Bonds issued during 1954 and $66,000.00 retired, leaving outstanding at December 31, 1954, $1,200,000.00 ,. The following schedule shows the total Bonded Indebtedness outstanding, at the close of each of the last ten years. There was, $20,000.00 of off street Parking Bonds outstanding January 1, 1954 and payment was made of $20,000.00 during 1954. A new issue of $200,000.00 was made during 1954. 17 Bonded Indebtedness December 31, 1945 1946 1947 1948 1949 1950 1951 1952 1953 1954 $ 233,933.28 220,633.86 705,939.15 1,027,014.09 1, 474, CJ14.86 1,.398,901.43 1,538,099 .96 1,836,017.06 3,633,426.13 3,953,396.19 REOONCILIATION OF THE CITY OF SALINA FISC4,{. AGENCY ACOOUNT - SClIEDULE "22" The balance shows as unpaid December 31, 1954 has been confirmed by the state Accountant. Cancelled bonds and coupons paid by the Fisoal Agency during the year 1954 W3re carefully examined and checked against the bond record and found to be proper charges. Prepayment of the $].0,000.00 balance of off Street Parking Bonds was made in October 1954 to the F.i.scal Agency so as to clear the entire issue. TEMPORARY NOTE INDEBTEDNESS - EXHIBIT liP" This statement shows the amount of Temporary Note Indebtedness owed by the City at December 31, 1954. These notes will be repaid. out of the proceeds of bond sales. MOOTES AND ORDINANCES The minutes of the meetings of the governing body during the audit period, ordinances enaoted during the period and the 1948 revised ordinances were reviewed for matters pertaining to the audit. The Minutes appeared to be complete and in good order. GENERAL During the course of the audit, explantions of'ririous matters were obtained from officers and employees of the City. We w.l.sh to express our appreciation for the co-operation and assistance of all those with Whom .. came in contact. 18 I <ERTIFI CATE We certify that, in our opinion, subject to the foregoing comments, the accompanying e.xb.ibi ts and related schedules properly refle ct the financiaJ. condition of the City of Salina, Kansas, as at December 31, 1954 and the results of its operations for the period from January 1, 1954 to December 31, 1954, inclusive. We further certify that, subject to the comments pertaining to the Waterworks Department Fund, as shown on the pages immediately following Schedule "23" of this report, the exhibits and schedules pertaining to the Waterworks Department Fund correctly reflect the financial. conditions of that Fund as at December 31, 1954 and the results of the operations of that Department for the period from January 1, 1954 to December 3J, lQ54, inclusive. Respectfully Submitted Dewey N. Turner B@~~' Dewey N. ner, Licensed Municipal Public Accountant, #110 in charge of and actively engaged ont:1is audi t. 19 Exhibit "A' Gash Unenaumbered Gash ReOlipts Accountability Charge s Cash Liabilities BalanCss ,1954 TJnenaumbered 1954 12-31-54 12-0 31- 54 12w.31-54 $ 742~764.79 $ 768,939..88 $ 746,183099 $ 22~ 755.89 $62,272038 $ 85,028027 ll,209,,10 12,526..19 1l,1,,04<s97 1$1121022 1,000.01 2g121.23 25~522034 26,459.81 27,500eOO (1,,040.19) ... (lg040,,19) 41,806.68 43,367015 42,025.10 11'342005 3,333.69 4,675.74 12,746.29 17, 475.Z7 10,098.21 7,']771)06 tf.} .95 7,447.01 5,245,,90 5,246.11 5,244.00 2.11 ... 2..11 7,851036 7,944.44 7,816000 128.44 ",. 128.44 44,787.91 44,957 .91 44,f::09 ,,00 348,,91 ... 348a91 10426.59 1~617 ,,46 1,510.,29 107 .17 .- 1Cf1 017 12}l009.98 20,488.28 10,562.73 9,925055 ... 9,925..55 ... 12, 649c.01 305eOO 12,344..01 - 12,344,,01 416,936'&65 452,779,,61 382,049013 70,730.48 .. 70,730..48 1,161,165024- 1,3Cf1 <;454044 1,049,623..87 257~ 830.. 57 8,163.66 265g 994.23 9,504040 21,208 ..60 9,921098 11,286,,62 - 11,286062 $2..492,,977.23 I: 743.114.16 $2. 3480854.Z7 $394,,259.89 $74.839.69 $469.099.58 $ 890,673,,80 $ 998,138')01 tT~ 681, 5350Z7 $3160602,,74 $ 286a4J $316,8891117 'tl' 68,054.34 80,133..56 76,377014 3, 7560~ 7,355099 11,ll2041 10,000000 10,000000 8,413.,84 19586016 - 1, 586.16 25,630036 40,090025 1211029.Z7 28,000098 944.67 29,005065 13>> 671 &l2 15,293.94 12,651017 2'1642.77 1,325066 3,968,,43 458 001 618.73 618,,73 ... ... ... ... 2,095.24 ... 2,095..24- ... 2,095,,24 20~340070 41,080097 3,583005 37,497092 4840Zl 37g 982 ,,19 7,900000 14,692084 .. 14,692.,84 .. 14,692.84 7,022050 14,965..77 ... 14,965.77 .. 14,965.77 5,310000 7,405000 7,220iloOO 185.00 ... 185.00 ,,049,0660: I 802 428o~7 ~0.397.02 $432,482.86 ,542.04401 3.151:282.. 4 $85.236071 $901,582 .44 12..31-54 Add! tions Reductions B~lS:Ol1ce~ $ 12>> 700000 $ 27,100000 7,500~ ... 6, 500 ..00 ... 670,000.00 280,057 \1'00 None L..226.700 1100 Unencumbered &sh 1-1- DISlURSEMENTS INmllSlVE INVESTMENTf' OF RECEIPTS TO DECEMBER OF~ CITY SUMM YE 0ash 1-1-54 $ 26,175009 1,317.09 9Y7047 1, 560\t47 4,728.98 621 93008 170000 190087 8g478.30 12,649,,01 35,842096 146,289020 llll 704.20 $37 ,811.Q7 559,,41 .. 2, 862fr91 54,,78 - ... ... ... .. - ... 7g986.61 - 63,986016 1,876050 937047 4,423..38 4,783076 .21 93.08 170.00 190&87 8p478030 12,,649.01 35,842,,96 154,275.81 11,704020 $ Funds Bu eted . Genera.IOPerating Memorial Hall General and Speoial blprovement General Impl"ovement Cemetery Publio Health Nursing Band Library ~oJdous Weed Firements Pension Industrial Deve101=81en t Bond and Interest Waterworks and Waterworks Financial Po1i~ Pension J4,9.274.78 $1CY7 g464021 12,079,,22 o 14,459,;39 1~6l6..82 160072 2,095..24 2O,7406Z7 6g 792084 7,943027 2,095coOO .. - .. 824..30 882,,92 ... ... ... ... ... ... $ 107 ,464.21 12g CfI9.22 o 15,284.19 2p40/9074 160.72 2g 095 024 20,740.27 611792.84 7, 943.Z7 2,095000 $ Total Funds Not BUI eted Construction Gl.earing Accounts street Machinery Veterans Housing Material stores Water Refund Ci:rl1 Defense Firemens Relief Cemetery Endo1llllent Hillcrest Memorial Endowment Hillcrest Memorial Trust J 1:7C!J022 50982.00 1...1-54 Balances 39,800,,00 7,500,,00 6,500,,00 950,057000 $ Funds Investment Fi.reJl\ens Relief Cemetery Endo1\lll1ent Hillcrest Memorial Endowment Waterworks Totals Totals - All Total Investments CITY OF SALINA. KANSAS OOMPARlSON OF ACTUAL RECEIPTS WITH BUOOET JanuarY 1. 1954 to ~ceI!1ber 31, 1954. Inclusive ~ax Levying Funds General Operating Memorial HaJJ. General & Special Improvement General Improvement Cemetery Public Health Nursing Band Library Noxious Weed Firemens Pension Police Relief and Pension Bond and Interest Total Tax Levying Funds Non-Tax LevYi:tu! Funds Waterworks Depa,rtment Clearing Accounts Construction Veterans Housing Store s Accounts Firemen t s Relie f Hillcrest Memorial Trust Hillcrest Memorial Endowment Oemetery Endowment Street Machinery Water Refund Total Re ceipts (Exhibi t A) 1954 $ 71;2,764.79 ll,209.10 25,522.34 ,41,806.68 12,746.29 5,245.90 7,851.36 44,787.91 1,426.59 12,009.98 9,504.40 416,936.65 ~1,.?31.811.99 $1,161,165.24 68,054.34 890,673.80 25,630.36 13, 677 .12 20,340.70 5,310.00 7,022..50 7,900.00 10,000.00 458.01 Total Non-Tax Levying Funds $2.210,232.07 Total Funds $3,542.044.06 Anticipated P..mount of Re ceipts Budget 1954. Surplus $ 724,318.0/1 $18,445.80 ll,148.27 Eo.83 25,162.35 359.99 41,463..50 343.18 11,520.28 1,226.01 5,2.50.00 7,816.00 35.36 45,409.00 1,184.74 241.85 ll,906.82 103.16 8,776.07 728 .33 380,995.71 35,940.94 $1.274.951.73 $56,8Eo.26 20 Exhibi t fIB" Amount of Budget Deficiency $ 4.10 621.09 ~ CITY OF SALINA, KANSAS STATEMENT OF EXPENDITURES OOMPARED WITH BUIGETED AMOUNTS January 1, 1954 to December 31, 1954. Inclusive Tax LevYing Funds Gener~ Opera.ting Memorial Hall Cemetery General &. Special Improvement General Improvement Public Health Nursing Band Noxious Weed Firemen's Pension Policemen1 s Relief & Pension Bond and Interest Library Cllargeab1e to 1954 ~udget $ 746,183.99 11,404.97 10,098,21 Z7,500.00 42,025.10 5,244.00 7,816.00 1,510.29 10,562.73 9,921.98 382,049.13 44,f:fJ9.00 Total 'l'ax Levying Funds i!..298.925.40 Non-Tax LevYing Funds Waterworks Department Clearing Accounts Construotion Veterans Housing Stores Accounts Firemens Relief Hillorest Memorial Trust street Machinery Water Refund Industrj.al Deve10pIlent $1,049,623.87 76,377.14 681, 535.Z7 12,029.27 12,651.17 3,583.05 7,220.00 8,413.84 618.73 305.00 Total Non-Tax Levying Funds ~1.852.357 .34 Total All Funds $3.151. 282.74 1954 Budget $ 747,050.10 11,500.00 12,100.00 Z7,500.00 42,216.00 5,250.00 7,816.00 1,810.00 10,020.00 9,888.00 395,182.15 45,409.00 $1.315.801.25 Amount Over Bu~et $ 542.73 33.98 21 Exhibit lie" Amount Under Bud9:et $ 866.11 95.03 2,061.79 190.90 6.00 299.71 13,133.02 800.00 $16.875.85 CITY OF SALINA, KANSAS CASH RECEIPTS. DISBURSEMENTS AND BALANCES OF THE CITY TREASUF.ER WITH REOONCILIATION OF DISBURSEMENTS January 1. 1954 to December 31. 1951... Inclusive :eaJ.ance January 1, 1954 Receipts (Exhibits A and B) Total Accountability Disbursements * Fund Cash Disbursements Balance December 31, 1954 Cash December 31. 1951.. The Farmers National Bank The Planters State Bank The National Bank of America - General $292,746.91 316,337.59 291,597.94 Total Cash in Banks Water Dep31"tment Cash on Hand Total Gash Availab1e (Exhibit A) Reconciliation of Disbursements 1954 Budget (barges (Exhibit C) 1953 Liabilities Paid Liabilities December 31, 1954 (Exhibit itA") Cash Disbursed 1954 * 22 Exhibit IfD" $ 476,566.4l 3,542,044.06 $4,018,610.47 $3,117,028.03 $ 901,582.44. $ 900,682.411- 900.00 $ 901.582.44. $3,151,282.74 50,982.00 $3,202,264.74 85,236.71 ~3.ll7.028.03 Ii ,! ,I II j f 23 Exhibi t liE It 1_;.lance De oember 31. 1954 %> 5;100000 22g0000>00 - ... 00 .. Reductions $ Ig 700 000 11,000000 $ 12,700.00 $ . 7, 500.00 $ 6, 500 $00 670,,000~00 Addition~ Balance January 1. 1954 $ 6,800000 33pOOOoOO 500 tiXJ 6,5006100 7, $ $ Bond or Interest Oertificate Rate Number 1 1/2 15-20 1 3/4 23-44 2 Date .J&! 5,3... 57 56 1954 arTY OF S INVESTMENTS IN CUSTODY OF CITY TREASU!!Sill December 31 Date of E!ms! Issue Firemens Relief Fund Ci ty of Salina 11..1-47 City of Salina 8...].-52 '.I6Jtal Firemens Relief Fund Cemetery EndoYlll1ent Fund U" Sd Treasury Bonds 1944 Hillcrest Memcn-ial Endo1'lBlent Fund U 6' So Treasury Bonds WaterlIDrks ]fund U. S. Treasury Bonds 24 F' Exhibi t ~ OF 3 CITY ROLL REOON OIL! RER (DUNTY TRE CES "D UNREMITTED B CITY TRE ~ ~ Jl AND REMITTED TO LISTS OF UNOOLLEOTED B SHOWING T Totals to City Treasurer $340,192.27 28.562.13 $368, 754.4D 6,109..90 7,032.92 25,184.59 37 ,424096 4l~120.53 5~158.78 4,780.16 1,096.27 8,350 (>38 5,452054 202,833.41 Correction .In 1954 $ 12066 195021 ~207 ...87 ..23 026 ..94 1039 10\53 .20 <J18 004 .31 .20 7.55 $220.70 Tax ~ $1,434.98 24..92 $1,459.90 25.77 29,,67 106.23 157.86 173.45 21.76 20 416 4.62 351122 23.00 855.57 . Unpaid by County Treas.. urertil La er Total Olrrent <bl1.eotiona tribu tad Adjusted Tax Roll $ 8,495000 445.08 $ 8,940.08 152.52 175046 629035 934.35 1,026.80 128.75 119.06 27 .33 208..80 136.54 5,065s32 Jl7.544.36 $338,744063 28.342..00 $367 , 086~63 6,083~90 7,OO2~99 25,0'77 rt42 37~265lt71 4O,945~55 5,136..82 4,759~82 1,091.,61. 8,314085 5,429034 201,970.,29 $347,239063 28.787.08 $376,026.71 6,236..42 7,178045 25,706,,77 38,200.06 41,972.35 5,2651>57 4,878 cB8 1,118.94 8,523,,65 5,5654-88 207 ,035.61. D. & Eo & tbated Tax $329039 It6040 $4 51179 5.91 6081 24.39 36024 39481 5~0 4..63 11106 8,,08 50Zl 196.39 ~2.913.21 Added ..lIL $2,199.08 2,890077 $5,089~5 39.. 50 45.46 162.80 241.92 265,,81 330.35 30090 711C9 53G98 35..25 1,311.,16 $!7 .317007 Original Tax Roll $345,3690'94 26.032.71 $371,402.65 6~202083 7,139.80 25,568,,-36 37,994.38 4lp 746..35 5,237.22 4,852.61. 1,112.91 8,477075 5,535.90 205,920.84 FUnds Gene 0 r ~ -- Tangib1.e Intangible Total General Operating Band Cemetery Genera1. & Special Iniprovement General Improvement Library Memorial Hall Public Health Nursing Noxious Weeds Firemens PensiDn Police Pension Bond and Interest $1ll,972.15 87,484.92 961. .92 413000 1,429..90 5'54 ,86 $ 6,2.49019 3,372.95 124006 91000 86&56 \ (3,,)6) $1ll,972015 87,484092 961. 002 41.3 000 1.,429090 "~~6 $118, 221.34 90,857,,87 1p 085 008 S04eDO 1y 516046 551050 f799cs38 $ 46..81 48633 $118,268 "J.5 90,906.20 19085..08 504000 11516046 551.50 Total Ad Valorem and Intangible Taxes Specials Paving Sewer Water a,.'1d Easements Weeds Sidewalks Widening of Roach I $202.815c85 $ 9.92~ $2'7.U:Ju76 . 280078 1 ~, ~95014 $894052 !fl Q 317 007 Total Spec:1.als Funds Total All - 2; Exhibit "G" ,CITY_ OF SALINA, KA.NS~ ,STATEMENT OF TAXES RECEIVED FROM COUNTY TRffiASU:RER ?HOWING ClJR11.ENT AND BACK TAX MOE:IVED AND DISTRIBUTION TO EUNDS ON BASIS OF ASSESSM~NT - YE.b.R 1954 , ),952 & Prior ~953 ~otals Funds years Ad. Valorem & Intangible Tax General Operating Ad Valorem $ 3,515.27 $340,192.27 , $343,707.54 Intangible 16.75 28.562.13 28.578.88 Total General Operating $ 3,532.02 $368,754.40 $372,286.42 Memorial Hall 53.26 5,158.78 5,2J.2.04 -General & Speoial Improvement 337,,75 25,1.84.59 25,522.34 General Improvement 419.33 37,424.96 37,844.29 Cemetery 71.82 7,032.92 7,104.74 Public Health Nursing 48.99 4,780.16 4,829.15 Band 59.01 6,109.90 6,168.91 Library 380.26 41,120.53 41, 500.79 Noxious Weed 10.80 1,096.27 1,107.07 ;iremens Pension 52.57 8,350.38 8,402.95 Police Pension 87 .94 5,452.54 5, 54fJ.4S Bond and Interest 1,442.24 202,83.3.41 204,275.65 Total Ad Valorem and Intapgib1e TaX J 6.495.99 $713.298.84 $719.794.83 Speoials Curb, Gutter and Paving ~~ 5,253.74 $111,972.15 $117,225.89 Sewer 1,493.21 87,484.92 88,978.13 Water Service to Water Department 315.15 961.02 1,716.17 Weeds - to Gen'!. Improvement Fund 47.00 413.00 4&).00 Sidewalks 1,429.90 1,429.90 Widening Roaoh 554.86 554.86 Total Spa cials i 7.109.10 $202.815.85 $209,924.95 Total - All Taxes $13. to 5.09 $916.!1:14.69 i<]29.V19.78 ,,-".. 26 Exhibi t "B:" CITY OF SALINA. KANSAS CLERK OF THE CITY OOURT Statement of Receipts. Disbursements & Balances of Cash January 1. 1.954 to December 31, 1954, Inclusive Balance January 1, 1954 $,3,034.99 Receipts City's Fees Sheriffs Fee s Judicial Fees Fines Checks Collected Miscellaneous Costs $4,553.53 959.03 128.55 6,402.37 2,832.06 7,640.79 651.84 Total Receipts $23,168.17 $26,203.1.6 Total Accountability Disbursements Ci ty' s Fees Paid to Oi ty Clerk Sheriffs Fees to Sheriffs Judicial Fees to County Treasurer Checks Collected Costs Miscellaneous Fines $4,553.53 1,1.39.24 128.55 3,365.15 597.58 6,882.92 5,920.85 Total Disbursements $22, 587 .82 $ 3,615.34 $ 3,645.42 Balance December 31., 1954 Balances per Detail of Case Ledger Difference De camber 31, 1954 Difference December 31, 1953 $ $ 30.08 1.0.96 27 Exhibit "I Totals $ 5,722075 38~ 231.00 $43.953075 ~ $ 38~231.00 $38Q231.00 $35,522.50 1,159,,50 3,385075 $40,,067075 $ 3.886.00 $34,073..50 1,009050 87 5 !tOO i.35~<j 5lr~oo j 2.273000 !ill $3p339050 $3.339050 $1,158.50 150.00 1,281000 $2.589050 $ 750,,00 290050 250000 L540.50 j 863000 ~ $1,403050 ~45j ~50 $ $ 464..75 ~464lP75 CITY OF ~ SUMMARY OF POLICEHEOORDS Ja.nu 954 to December 1954. Fines ImpOsed ~ Bal.anoes January 1, 1.954 $515.00 Fines Imposed 1.954 Total. Accountability $51.5.00 Accounted for By Cash Colle cted $ Fines Worked Out Paroled and/or Dismissed, ete, 515.00 Total.s $515eOO Bal.ances December 31, 1954 .. ~ $464075 $Z64--;?5 CITY OF SALINA. KANSAS SUMMARY OF REOORDS OF T"BE CITY BUILDING INSP1:'~OTOR Year 1954 Colle ctions Building Permits and Inspe~ions Gas Inspe ctions Plumbing Inspections E1ectrio Inspections Sign Permits Radio and T. V. Antenna Permits Total Collections 1954 Balance Overpaid January 1, 1954 Total Accountability Remitted to City Clerk 1954 Balance Overpaid 12-31-54 28 Ex..l-:libit "J" $ 6,595.45 687.00 1,682.25 1,886.60 1.3.00 3,375.00 $1.4,239.30 $ 5.83 $1.4,233.47 $14,234.85 $ 1.38 " .. " ~ .. '_o::.......~ ,'f~.;.'M..' ;-..' 29 Emibit ilK" ~TY OF SAT.Tl1'.L WSJS OOIlPARISON OF DEPOSITORY BONOO AND BALANCES OF DEPOSITS '" .. . . . December 31.. 1954 Famlera ~ter8 Natione.l lIatioaal state Bank of tame of J.ecounta B-nlr BaJlk :America Ji. H. Eberhardt, Gity 1'reallllftr .292,746.9~ $1eO,254.'21 $291,639 .07 w. T. BrOOll, Clerk of City Govt 3,772.43 -- Totals U96, 519..34 f780,254.2:1 $291,639.07 Less F .D.I.G. 10,000.00 1.0,000.00 1.0,000.00 Balances to be seeared by collateral i~86. 519.34 ~770. 254.z7 ~S1. 639.fY'I Required 70% ~200.563.30 J539.~77 .80 Sl97 .'147.30 Bonds ])epeaited by Banks 1286.000.00 1)26.M>0.OO $210,000 .00 I ~ . 30 Exhibi t "L" CITY OF SALHl"A.. KANSAS FIDELITY BONUS IN FORCE ~cember 31. 1954 31. CITY OF SALINA, KANSAS Exhibit "M" INSURANCE: IN FORCE: De cember 31. 1954 .Amount Type of of Co-Insuranoe City Group Coverage CoveraRe % Buildings and Contents Fire & Extended $393,590.00 90 Fire Department Group International Squad Wagon Fire, Lightning & Trans. 2,000.00 3 Trucks fire, Lightning & Trans. 24,734.00 3 Vehicles Fire , Lightning & Trans. 3,.4-95 i000 Airport Group Hanger #3 Fire & Extended 5,000.00 80 Hanger #4 Fire & Extended 5,000.00 80 Cafe Fire & Extended 500.00 Liability Each Accident 15,000.00 Waterworks Group Water Tower Windstorm 142,500.00 90 Garage & Warehouse fire & Extended 1,500.00 90 Dwel1ing Fire & Extended 3,600.00 Pumping stations & Contents Fire & Extended 37,000.00 90 Ford tT Pi ckup Comprehensive I . Safe Burglary 1,000..00 Workmen's Compensation Liability 52,780.00 Manufacturers & Contractors Accidents 15/30 M Water Softener Fire & Extended 823,829.00 SewaRe DiSpOsal Group Buildings and Contents Fire & Extended 225,000.00 90 Memorial Hall Grou p Buildings and Contents Fire & Extended 231,000.00 90 Owners, Landlords & Tenants P. & P. Damage 25--300 N Miscellaneous Rolling Stock Fire, Theft & Liability Messenger 2,000.00 Recreation Center Building fire & Extended 18,000.00 90 Cemetery Dwall.ing & Garage Fire & Extended 3,000.00 steam Boiler Explosion 10,000.00 Veterans Housing Liability 15--60- 5 N Ca:meras 205.00 Forgery Robery ~<.I'...; CITY OF SALINA.. KlNS~ ACCOUNTS RECEIVABLE ~cember 31.. 1954 General OJ:l8rat:1nll bna. Fell.. F1Bes Gas aDd Electrio lranchises C:l.garette TaXfrca Gout, LiquorTa"lt froa Oount1 0s_wr1 *. .3,SS6.oo 47,372.02 6,103.64 2,010.93 351.50 .32 Exhibit IIIfIl ,- 'C ! _~t ::M:".tt.-4.blli I"'. 1.... , ,.t"~1 l.~..OO ;,,'OOV .00 .2.,~)O .(,'1,J 5-. lot.? .!lC 111'~i~ 44. '~JD .t<(;1 $',000 ... '. J,2C.ooO.oo 12,000.00 ll..OC'iV .~ 1;2,~.}O .Cl~~ 1',t1(l0..00 to ,I.JOO.OG it~,UU1.OCt :a;.w.."~O .00 QfOOC.t~ ~~){) .00 ... *.000.00 l~C>OO. COO .0\) ;;47.4'1 i .'1 e~.-"1.61 14J.944." )'1. 1.fill.81 2)9.'14..9t 2'1s.~.~ ~.OOO.t.1(J 'IIIl,li.._-I'UIJ1_.,Jf,....~ W,) ..1" 'if, .~ 32./lfll.U i.tJ9,>>4M :t'I S.~'(iO .lifJO.~1.. ......, ii'" ~~~ 1.000.00 ',toC.OO 1, sue.GO 1, TOOt#) 41,-..00 ..\.~.oo '1 ,6OC~"1O n,~.oo 1I.~)C.fJO 4C.CCO ..<<J J,.l,*.ClQ 4.....00 u.~.. U.~M >>.~A a.~.oo 10.~.oo 11,~~.oo "000.00 U....S... U,625.97 ao,uoo.t):J t.3t"'lCO. ?6 ..., ~........ .1.....'- -"'t at Or'llj..l i'~'r q. -L.... ill .~ooo... 'tCOO.QO J.. ~.co .,IOOM 3S,GQO.oe l00.0GO.OO ''-000.00 ,'.OGO.eo 10J,t1OO.QC >>,ooo.co 2.2..~ .GO 144.....00 14.COCM >>,000 .00 1>>.0t>> .00 'rI ,000" 90,000.. ,J.;,lGl.GO "'000.00 M,MS." lC7.61S.91 ..~.Q\) Ws.'i'GO." 1,~.0Q0.OO ""1,lt'll.'l '~.m.61 14).940.89 j 10,ilUO.o.l -, ')4.78 l4.%..U l'....6l "',Oi1lG .00 "',2..00 61.912.2) UCi.O..f1 1",000..(;0 '1,174->> 1t.1U4 242.WI.06 49,'2~"" .u.,a....20 1''''..16 ",Of'.19 lO4.676.. 44,0)4.6' m._.oo ,.,.,-" 107,621.97 >>,eoc.OO ..S, 700.'16 .1.000,000.00 :l4T ,472.91 aa,m.a 14', ".89 )4,_.. ;Of.m." ns,oct.. iOO.Ot3O..00 , 1 1.2' 1._S 1.' 1d' 1." 1..' I..." 1.25-1.' 11/8 1 l/1-1.lS 11/1 1.2' 1.25 1.25 ~., i.' 1." 1.' 1.' 1. ',..l.S 2 l.' ,.s., t/I lS/l 1'" 1 ",,",2 i I}/' 1'" 1S/f ia-:l 1/4 ftM1 ht.w1" ill- , 1'" 19. 1'" 1'" 1* 1t. 1'" 19. 1'" 1'54 1''4 1'" 19S' 19" 1961 It" 1'* 1'" 1'" 1'1'1 196) 1'" 196) 1m 19. 1'. 1~ 1'" 196' 1965 19. .w.t .l," 4-1.., '*1-46 ~)..- 11...1-4' 11-1-41 ..~ '-1-_ 10-1"- '-1-4' 12..1-49 1~..1-4' la-I","" 12-1."" 12-1._ U-l..50 J.2-1-S1 11....1->> 1:-1.. 10..1..52 U...l.~ 1.~...1...f2 ~l...') V-I- " ..1..." 11...1.', U...l.', 11..1-" 11..1." 11-1-" 11-1-" 12-1-$4 Ia~ .. ~~.~ la~ i..........' ~ laIr_JllllU.' ~ :ta"R.,.,a,t 1.~ 1......>>t .,... QIIb. .,. ,. ",pt,.. ~, a',*, , ~'_1_ t!a.1Sf_U_ t.tRa1 .-.. ~ . .,.,. ~4' _'WI' .IlU ~_, .... ~. ~_t.r ~ tariq -.., ......& I''''" ~~_,... It ,em.. {:>>ft, h.lWl''' t'..uc lid.- tt t;&~....... fl".""'. h"~ ~ i ht....' ~. 6lJ''-1!iIi4/or j'mtc ~f''''''''f___ ;;;..... ~J_,... .;;t<<ti.. ~.\tQ'...l. ~\:I.lUtaJ.. .... _4 t-t4JtI ~_,,_ ~ aN fAt,,,, t~ ~ 4A4 ~t.\iw ,;un .-. ._.. tm4 l..lq h.ll.1'. . ,.a. I '~f'1*. .011 1') 1'6 1" l)il l4e 141 14' .1-4~ 146 14' 1# 149 1" 151 1. 1" 1,. lSS .~. 156 1" 1" .. 1" 1te 161 16i 1.., 164 '1,.1 .... .. 116....' .lWatl '-~- ,.. ~.... r.,....... feW "1 34 Exhibi t lip Ii B aJ.anoe s 12-31-54 $ 75,915.88 3,977..08 20,591.21 ~17 CITY OF S ~MENT &110WING BA IN 1l'EMPORARY NOTE INDEBTEDNESS January 954 to De camber 21 , Inclusive Interest Number te of Issue Rate % 1 7-1.3-53 1~5 2 8-10...53 105 3 <j...l4--53 1.&5 4 10- 5-53 1. ..5 1 9-14-53 105 2 10...12...53 2 3 D.- 2...53 2 4 12- 7-53 2 1 11- 2-53 2 2 12-21...53 ., ~ 3 5-24-54 2 Q 7-19-54 2 1. 12...13...54 2 1 12-13...54 2 1 12..13...54 2 'futals Paid !22lt Issued 1954 BalanOl 1...1-54 $ 5,6951:117 9,162.36 17,1.02.d7 22,61.1.31 17,793.80 19,640..13 II>> 503.75 29,244<>58 3~ 578..91. 20, 768~59 47>>919052 JJ3,724,,5<) 47,919.52 48,724.50 75,915&88 3;,977008 20,591021 $ $ 5,69500'7 9,1.62.36 17,102..17 22,611.31 17,793080 19,640013 11,503075 29,244<>58 3,578&91 20,768.59 PaYable to Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer CITY OF SALINA. KANSAS GENERAL OPERATING FUND STATEMENT OF RECEIPTS, EXPENDITURES, LIABILITIES AND BALANCES AND OOMPARISON TO 1954 BUOOET January 1. 1954 to De~mber 31. 1954. Inclusive Balance January 1, 1954 Receipts Ad Valorem Tax (Em. G) Intangible Tax (Exh. G) Sales Tax Cigarette Tax Licenses, Fees & Permits (Sch .1-A) Parking Meters Franchises Police Court, Costs & Fines Services & Sales Refunds and Recoveries Highway Maintenance :Reimbursements Ga.soline Tax Rentals Liquor Enforcement Tax Dog Impounding Inspection and Examination Fees From Water Department Concessions Engineering Fees City Court, Costs, Fines, etc. Total Receipts Total Accountability Budget Charges (Sch.l-B) Unencumbered Balance 12-31-54 Liabilities 12-31-53 Unencumbered Cash 12-31-54 Liab ili tie s 12-31- 54 Cash Balance 12-31-54 Actual $ 63.986.16 $343,707.54 28,578.88 33,659.11 23,768 .18 45,301.Eo 30,000.00 65,701.51 35,522.50 1.3,800.56 25.00 4,206.00 1,622.92 56,42.3.51 4,890.08 7,756.87 649.00 28.00 10,000.00 423.22 32,146.78 4,553..53 f7 42.764.79 $806,750.95 $'71..6.183.99 $ fIJ,566.96 $ 37,811.07 $ 22,755.89 $ 62,2'72.38 185.028.27 Budget $ 22,731.11 $34].,585.12 29,032.70 33, 659 .ll 25,500.00 33,775.00 44,000.00 65,500.00 40,000.00 8,767.06 4,500.00 1,500.00 40,000.00 5,000.00 6,000.00 200.00 3,500.00 10,000.00 300.00 2'7, 500.00 4,000..00 t724. 318 .99 ~'747 ,050.10 $747.050.10 $ ..Amount of Actual Oyer Bueu;et $41.255.05 $ 2,122.42 11, 526.Eo 201.51 5,033.50 25.00 122.92 16,423.51 1,756.87 449.00 123 .22 4,646.78 553.53 ~18.445.80 $59,700.85 ~ $fIJ.566.96 35 Schedule "1" AJnount of Actual Under Buew:et $ $ 453.82 1,731.82 14,000.00 4,477.50 294.00 109.92 3,472.00 $ $ 866.11 $ 36 Schedule "l-A" CITY OF SALINA. KANSAS GENERAL OPERATING FUND DETAIL OF RECEIPI'S FROM LICENSES. FEES AND PERMITS ~D OOMPA,.m:SON WITH 1954 BUOOET o!anuary 1. 1954 to December 31. 1954, Inclusive Amount of A'nount of Actual Budget Actual Over Actual Under $ 5,000.00 $ Buds:et Bu~et <:areal Mal. t Beverage $ 5,200.00 200.00 $ Reta.il Liquor Licenses 9,300.00 6,500.00 2,800.00 Wholesale Liquor Licenses 2, 500.00 2,500.00 Amusement D3vices - Pin Ball, etc. 1,757 .50 2,000.00 242.50 Da.'1ces - Public Licenses 138.00 200.00 62.00 Music Machine Licenses 1,191.50 1,350.00 158.50 Mina ture Pool Table & Shuffle Board 975.00 1,000.00 25.00 Pool Hal.l,Shufne Board & Bow1i..'1g Alley 787.50 900.00 112.50 Skating Rink Licenses 100.00 50.00 50.00 Theatre and Opera House 375,00 /1)0 .00 25.00 Auotioneer - Auction Sale 212.50 200.00 12.50 Billboard Advertising 150 .00 100.00 50 .00 Concrete Construction Licenses 140.00 150.00 10.00 Electrician Licenses 525.00 450.00 75.00 Fireworks Dealers Licenses 825.00 500.00 325.00 Gas Fitters Licenses 130.00 100.00 30.00 Insurance Company Licenses 450.00 450.00 Junk Dealer - Buyer and Collector 301.00 300.00 1.00 Junk Dealer -Auto and Parts 150.00 150.00 Pawnbroker Licenses 600.1C 750.00 1.50.00 P1.umber Licenses 708.00 600 .00 108.00 Taxi-OabLicenses 705.00 1,000.00 295.00 TaXi-Cab Driver Licenses 700.00 1,250.00 550.00 street AdYertising 31;3.00 50.00 298..00 Trailer CaJ1lPS 50 .00 50.00 Truck Licenses 15.00 SO.OO 35;;00 Vendor, Peddler and Itinerant 411.00 50.00 361..00 Te1.evision Permits 100.00 100.00 Building Permits 14,234.85 6,000.00 8,234.85 House Moving Permits 56.00 25.00 31..00 Food and Milk Permits 1,241.00 650.00 591.00 Dog Licenses 1,074.75 900.00 174.75 Totals ~5.301.60 ~~~.775.00 $11,526:60' ;$ $ 3,146,,07 8,350019 32,149,,36 8,660.25 6,848,,41- 10,185,,07 2,059.15 20>>982.99 123,058,,35 8,271049 35,859..71 126,862.83 13, 6891J56 62,387,,98 98,537,,51 10,101..02 36,163019 28,041.05 37,339.16 21375,,50 8,8420.77 En CUlI'Ibranoe s $ 6,000,,00 22065 6,797000 L-27,,86 26010 87..08 9060 121,,60 5,093477 85~W 1.$143,,55 4,000 cr 53 40,,40 31.,869.68 999026 181096 1,617.. 52 2, 575l>62 440063 698,,12 33..85 $62.272.38 1 37 Schedule "1-13" CITY OF S GENERAL 0: ING FUND 'MENT :AKmWN OF 19 EXPENDITURES ~1D DIS3URSETvISNTS -- ~ 954 EXPE~NDITURE:S WITH 1954 ] : ~T APPROPRIATIONS Y. 1. 1954 to December 31. Ie ~ Inclusive Fersonal Servi..s 'Contraotural SerVices .i tal au tl Sundry ~x~ndi ture Totals :Act'u.al. 'Budszet Actual BudJ;:et Actual BudJ;1;et Actual Budge t 4ctual Budget Act~l 15udget ioners ~ 375000 " 375.00 $ 8,771007 $ 2,920,,00 (ri- d;- $ $ $ $ $ 9,146607 ~ 3..295<'100 / <.II 'll' 6,220..50 7~052,,00 1,4391J30 1;700,,00 178..04 350000 425,,00 350,,00 no ,,00 75..00 8~.372,,84 9,5Z7~00 er 25,045~22 29,ff14.25 9,582...33 3,8001:00 3,483,,54 2~ 670,,00 805,,27 275,,00 30..00 350,,00 38,946,,36 36.. 769 ((25 .3,590.75 3,900.00 3,974073 5)135000 1~398..83 1.~350ltOO 1.23080 9,088..11 10,385..00 6,745.32 6,500.00 104,,40 75 .00 24..79 50(1-00 6~874",51 6,625,,00 8,693000 9, 300,.00 1,423041- 2,050.,00 155..74 150 ..00 10,272.15 11,500000 2,015..35 1,920.00 53.~D 35.00 2,068<>75 1,955,,00 19,046..00 20,882.00 899.19 2,147050 561015 1,107050 598,,25 200,,00 25,,00 2lpl04459 24,362..00 112,443055 117,492.00 4,342043 5,190400 6,564~26 5,300,,00 4,801..88 25,,00 128,152,,12 128,007,,00 7,200.00 7,640,,00 1,055.05 850000 96.04 175,,00 6,,00 25,,00 8, '357009 8,690,,00 30,284.40 35,933.20 2,356.00 5,380000 IJ666..1.7 2,725!il00 2,681.69 3,954..65 15..00 25 <tOO 37,003026 48,017..85 95,019..30 91,442..00 12,858.79 10,670.,00 16,767061. 7,750000 6,055,,16 8,250,,00 162" 50 100,,00 130,863036 118, 212,,00 11,610.00 13,250000 1,61.7.30 1,550000 337,,67 350000 154099 150,,00 10.,00 10,,00 13,7z:J096 15,310.00 Sewer /~, 792020 55,650.00 3,017.46 4,225,,00 17,462042 19,035000 30,983058 2.00 25000 94,257066 78,935".00 87,782.82 87,280.00 3,133028 2,250.00 8,64]067 6,100..00 3,500.00 99, 536..77 99,130000 ~ Disposal 7,780.50 8,800.00 395..03 300000 2,107.45 1,700000 10,282098 10,800..00 19,762..73 20,140000 15$ 772084 13,935...00 2,227097 1~7051S00 17,,17 25000 37,780071 35,805000 29,823.74 28,200.,00 792093 975.,00 30,616..67 z:J,175.00 ng Control 27,775.08 25,050.00 2,946..46 2,350000 4,821.,08 1;.,525,,00 ~,23701.7 25,500,,00 37,779.79 57, /"'.25,,00 180..40 100.00 2,435017 2,700.00 211055 950.00 246050 300..00 3,073062 4,050,,00 5,838.01 6,150.00 696.27 1,600.00 1,081033 925000 1,066073 200<100 1.94.28 200,,00 8,876.62 9,075..00 $97.062050 $67.766..31 $5611917050 $500180002 ~,679065 $1.339088 $1.860000 ~10 38 Schedule "1_&" CITY OF SIT.l1(j., KANSA.q - ., . GENERAL OPERATING PUllD mTAIL OF EXPENDITURES - YlYOR AliD CX)IW:ISSIONERS ,-, ~ January 1. 1954 to DeceDlber 3].. 1954, IDclusiTe OYer Under :!ctual. Budl:e1; BudRe~ Budget ~r.ADD , SerY1.. j - ~ Sa1aries - Gc8missioDera 375.OQ .37 5.00 ~ CoDvaetaral Serrloes Convibu1;iOJl. . 370.00 . 370.00 . $ PriDtbg, BindiBg & IMpliea:ting - 500 .00 500.00 Legal. AdYertising 1,654.71 1,250.00 404.71 SuratlBonds 62.50 75.00 12..50 TraTe1 530.11 100.00 430.11 Other 6,153.75 625.00 5,528.75 Total Coavac'bural Services ~, 771..IYl ~2. 920.00 j5,851.07 t Total Expenditures ~.J.46.07 J3.295.oo ~5.851.07 t 39 Sohedu1e "l-b" aITI OF SiT.Tn.. KANSAS GENRlUT.OPERAtING.1'OlfD IET&TT. OF EXPEllDITURES - OITY )Wl~ lanua:rY' 1. 1954 to December 31. 1.954, IncJ.usi...e Over 'Un&lr itd::nJll B~e' lludll.' Bud2et Peraoft.' Services . Sa1&ries 14,470.00 Gi'tiyJlanager $5,082.00 $ $ 612.00 Other - ~plar 1,61D.OO .1,62.0.00 - Other - Part Time - 200.00 200.00 Other - Protessional 130.50 150.00 19.50 fetal Personal Servioea i6.220.~ ~.052~OO ~ $ 831.50 c.n'traotural $ 600.00 $ 600.00 . _to use all.wau.. I TeleIi10ne and Telegraph 647.55 600 .00 47.55 TrawliDg 19.39 100.00 80.61 PriDUDg, B1adir1g aD4 DlplicatiDg 33.55 150.00 11.6.4' Bend 8Jl,c1 I:uaran.. 20.00 25.00 5.00 SeGlal Saauri t1 68.20 J.OO .00 31.80 ~estag. - 50.00 50.00 Bepa1r. and IIa;lAWI1aJ1. 50.61. 75.00 24.39 Total CoDwactural t:L~ 439 a30 ~,100.00 t J 2~.70 llaterial aDd Slln'Dl1ea . . . . 86.71. ottioe Sapplies 113.29 :?DO .00 Booka aacl Periodicals 64.75 150.00 85.25 Total Mawrial and Supplies ~ 118.04 t 350.00 j ~ 111.96 ~ J J t 35.00 t Organization ba 11.0.00 75.00 Gam. tal. OIltlaY . $ . I hrni tw:'e alld Jrixturea 150.00 150.00 JleohaDiOal EquiIJlll8Dt 425.00 200.00 .225.00 Total Capital 0a'tJ.a7 ~ 425.00 ~ 350.00 t 75.00 J Tetal. SS.3'12.84 $9.527.00 f ~.154al6 40 CITY OF SIT.Tlf., KDlSAS GENElUL OPERAfilG "l!W1) tEraTT. OF EXPENDITURES - crT! CIERK AND CITY TRE.&.~ Schednle '1-0' . . Ja_-P'IT 1, 1954 to December 31. 1954. IneJ.usi"f'e OYer Ua4e1' Actual Bud2et B11dIzet Bucket Person..l Servioe. .ans and Salaries Clty Clerk - Peterson . 5,082.00 Cl ty Treasurer 960.00 OLty Clerk - Banker 2.160.00 . 8,202.00 . 8,562.00 i . 360.00 Auditiag 1,200.00 2,500.00 1,300.00 Judges and Glerks - Election. 4,742.08 9,000.00 4, 2'!fl .92 Other - n.gular Wag.. 9,338.80 7,562.25 1,776.55 Other - Part Time Wages 1, 000.00 1,000.00 Other - Protessional 1,562.34 1,050.00 512..34 fotal Personal Services ~25. 045.22 ~.674.25 j jt4. 629 .03 Oonwaetval . 156.84 $ $ $ 243.16 Telephone and Telegraph 400.00 fraftl 30.25 100.00 ~.75 Pe.tap 547.00 700.00 153.00 F.re1ght, Express, eto. 3'21.33 100.00 2'Z7.33 PrintiDg, BindiDg and ~plioatiDg 963.02 950.00 13 .02 PrintiDa ElectiM SawJ.1-s 522.85 625.00 102.:1.5 lAgalAdYertisiDg 45.50 175.00 l29.5O SaNtY' .Bonu and Insvan.. 253.75 200.00 53.75 Repairs to Furniture and Equi}aent 422.83 200.00 222.83 So<<i.al Security 312.96 200 .00 112.96 Ot.ber 6,000.00 150.00 5,850.00 fetal Coatraotllral f 9.582.33 J 3.800.00 t5.782.33 ~ Material and Sa):)ilie~ t 1,468.24 t 1,250.00 . 218.24 . ott:l_ Sappl1es Books and Periodiea1s 663.49 420 .00 243.49 Eleotion Supplies 7M.SO 500.00 268.50 Other 583.31 500.00 83.31 fetal Material and Sapplies j 3,483.54 j 2.670.00 t 8l.3 .54 * Ce.m tal Ou:lA'l.aY $ 204.76 $ . 204.76 $ Furniture and Fixtures Mechanical Equi~Jlt 600.51 27 5.00 325.51. fotal Capital. OUtlay t 80 5.27 t 'Z75.00 ; 530.zt.. ~ Sacin' $ 30.00 I 350.00 J $ 320.00 Organization Dds fotals J38.946.36 .36. 769.25 $2.177.11 . 41 ScbedJJJ.e "l_dft CITY OF 3lT.TTIlJ.. lWlSJS ~~T. OPERlTIIG JU1) . mATT. 01 'I~nT~q - CITY BTTTT.TlDlG . - h . . J~."" 1. 195.4 to December 31. 1954. IneJ.uaiTe OYer Under J.ctn.~1 Bwme1; Bud6ze1; Bu~e1; PersonAl Services Wans and Salarie. $3,480.00 $ . Salari.s $ 3,780.00 300.00 ProfeasiODal llO.75 120.00 9.25 Total Personal 8erftoea J'.S90~'5 ~ 3.900.00 ~ t 309.25 Cenwao\ural serf1..s BuUdiJag ~pa1rs $1,61.5.09 . 1,000.00 $61.5.09 . EquiJa8at, Repairs 16.60 200 .00 183.40 Gas Service 661.90 1,100.00 438.10 L1aht, aud Pe1l8r Servioe 388.15 425.00 36.85 Water Serv;laa 3ll.70 275.00 36.70 Laundl"7 and '10_1 Serrlce 29.73 175.00 145.27 Social Securi t7 fJ:J.f:AJ 60.00 9.60 Iasuraaoe 881.96 1,900.00 1,018.04 Total CoD'traotaral Serrlces ~3.9'14.~3 ~ 5.135.00 t il..160.27 .a_rial 8JiLd StlPJU.1ea $ f~~ . 9'7.54 . JaJ:dtor aud Toilet, Su,ppl1es 947.54 . Eleotrioal sad Lighti:ag Supplies 284.84 350.00 65.16 Paint, ancll&iDt.i1Ig )lat.erials 155.32 100.00 55.32 Tools 11.l3 50.00 .38.~ Te1ial Material aud Sapplies ~.398.s3 t 1,350.00 l 48.83 ~ CatdW Ou'UaY J J J121.8Q J IUnI1 t&re and ECflipl8Dt, 123.80 Totals J9.088 .ll J10.385.00 J Jl.296.89 42 Sell.dole 11...11 CITY Of SlT.nT.4_ KANSjS GEHElUL OPERATDIG :roND ~rAIr. OF EXPENDITURES - CITY ATTORNEY January 1. 1954 to December 31. 1954. InGluive OYer Uu.r l'ersonal ~oe. -,otual Buda:et B'Ildlret Budllet Wdes and Sslariea 13,000.00 $3,000.00 1 Cit,. Attoru.e1 1 .As s:Lstaut Ci V Atterae1s 2,23'>'00 2, 500.00 280.00 Legal Services 1,525.32 1,000.00 525.32 retal Personal Services t6.745J2 ~. 500~ ~5.32 ~ ~Jltractural Services J ~ f 29 ./,IJ - Seoial Seaari1;1 104.-'0 75.00 Materials sad SU'PPlles J J Office su.ppl1elt j 24.79 50.00 $ 25.21 Totals 16.. 87/,..51 ~6.625.00 J249.~1. J 43 Schedule "1..fII OITI OF SlT.nT A.. KA1\!SAS GENEIW. OPERATING PUJD . . mTJIL OF EXPENDITUBES .. CITY OOURf Jam1ary 1. 1954 to December 31, 195.4. Inclusive OYer 'UDder :1ctual. Bude:et Budaet Budnt Peraol'l...1 Se1"T1c:es Salaries andWues Jdge $ 3,600.00 $ $ $ Clerk 2,100.00 Marshall 2,100.00 Other Salaries 805.S9 . 8,800.00 ~ Total. . 8, 60 5.50 $ 194.50 Professional ~.50 500.00 412.50 Total Personal SerYices J 8.693.co f 9.300.00 j i 6ff1.00 Contractural. Serr.i.oes . 1,500.00 TraT81 . 7ll.90 . $ 788.10 Te1e];i1oae 8Xld fe1egraJ:h 166.55 200.00 33.45 Soc1al Secmr1 t1 172.11 100.00 72.ll BindiDg, PriAtiDg 8M Dtlp1icatiDg 372.85 200 .00 172.85 Sarev Bonds 50.00 50.00 Total Contractural Servioes J ~,423.41 t 2.050.00 ~ ~ 626.59 -,:terial.a 8Ild Sapn11es t 11.6.94 $ Office SIlpplies 150.00 $ $ 33.06 Books and Periodicals 38.80 38.80 Total Materials and SappJiea ~ 155.74 t 150.00 ~ 5.7/" ~ Totals ~0,272.J.5 ~ 500.00 , Jl. WaS5 r'~ .'i~ 44 Schedule ltJ.,..g" 'CITY OF SAf,INA. IANS6P GENERAL OfERATING FUND IET4TT. OF ~DITURES .. POLICE OOURT J,nuarY 1. 1954 to December 31. 195.4. InoJ.usive 45 Schec:h1le II_h' CITY OF sn.l1l1. KANSAS ,GE~ OPlmATING'mID IETUT. OF EXPENDITURES .. ENGTWli:F.Rnrr.. January 1. 195.4 to December 31,. 1954.. Incl.us1ve OYer UDder 4ctual ~8t BudRej; ~ud2et Per8OD8l Services L'aries and WaDS OiV Eng111eer . 5,082.00 . 5,082.00 i $ Field Rn~n.ers, etc. 13,964.00 14,800.00 8.36.00 Appraisal and Abstracting 1,000.00 1,000.00 Total Personal 88mees ~9..0J.6.00 ~~.882~ ~ A.836.00 Oontractural .1"V'1oes $ . $ $ Legal .AdYertiaiDg 700.00 700.00 Bqui~t ~pa1rs 75.00 75.00 ti811 't7 Bed 12.50 12.50 TraTel 198~ 100.00 9S.l0 Blue Print:i.Dc and ibotograpby 268. 8 250.00 18.78 PrintiAg, B;ntting ~d DlpJicating 22.50 250.00 2'27.50 Social lear1t1 .322.65 250 .00 72.65 Motor V~h1cl. Inaurance .35.91 60.00 24.09 Motor Veb1c1At Bepairs .300 .00 300 .00 110.. V'ehid.e tire and Tabe Repairs .7S 50.00 49.25 J\lrId ture Repairs 38.00 100.00 62.00 Total Ceatractural Services f 899~2 ~ t il.248.31 Materials and $MnnHes . . . . 86.90 Offioe SUpplies 113 .J.O ~200.oo IIoter Vehicle License Tei. 7.SO 7.;0 1I0tel" Vehicle tires and Tabes 12S.00 125.00 Motor Veh1&1.e lu1 aJld Lubr1ceJlts l66.78 17S.oo 8.22 Metor Vehicle Parts 150.00 150.00 Draf'tiDg 8Jld ~er1ng Supplies 180.91 350.00 1~.09 llaehiDe1"1 81ld-Equi1W8nt Parts 75.00 75.00 Books all.d JPerioc11cals 89.60 25.00 64.60 I..vIIber 3.26 3.26 Total Materials aDd Supplies J 5i1.l5 J 1~10'1 ,50 ) a 546.35 c..1Xl i;aJ. OutlaY $ 461.90 $ $261.90 Forni ture 200 .00 $ Tnoks 136.35 136..3 5 I Total Cap:l. tal Outley . 598.25 . 200.00 ~398.25 j . SundrY J . * . OrgaDisation ))lea 25.00 25.00 Totals t21.lO..59 iU..362.oo $ $},257 '11.J. ..,... CITY OF SaT.TN l.. KaNSAS GENERAL OPERATING WND JB!~ OF EXPENDITURES - FIRE lEPARTIIENT JaauarY 1.. 1954 to DeceJ'lber 31.. 1.954. Inclusiw ~ perslmA1 Services '82es ~d S.l.ries Fire adet !'irellen, Inspectors, etc. fotal Personal Services Centractoral Senioes Telep.,one aDcl TelegraJil Travel Postage SGcd.al Secarit1 Print1:Dg 8Jld Binding Motor Vehicle InsureJlC8 Motor Vehicle !ires aDd Tubes llepa1rs Motor Vehicle Repairs Radio EquiJ8ent Repairs Gas Servi ce Light and Power SerTi.. Water Service BuUd1ng Repdrs JUrni tare Repairs Fire B7drant R8nt Laundry and To_I Service Bu1ld1ng Insurance Equ1~nt Repairs Total CoDtractural Services llaterials ~d SQt>illes Expendable Too18 Otfice Supplies Books and Periodicals O1eJdeals, J:rl;Igs 8J1d Laboratory Sapplies 1\1818 and I,ubriC&1lU Je:ni tor and ToUet Qlpplies Motor Vehicle Parts Motor Vehicle fires aDd Tubes Jlaehiaer1 and Equi}:88nt Parts WeariDg APPaI'tl Radio Parts Other Operating Supplies Electrical and Lighting Stlpplies Paint and PaintiDg llat8rial8 Welding and Blacksllith1.ng Materials Seeds, Flauta, etc. Total Materia18 & Supplies Ca'Di tal 0utJ.aY' T1'11oks Fire Fighting EquiJ88Ut Total Cap:J. tal OutlaY Sl1DFY organizational 1)u.es Totals A.trl:nDl. ~u&zet $ 5,082.00 . 5,082.00 ~:~:;~ ;h~:~~:: . 709.75 . 159.91 32.17 126.94 32.04 473.89 54.25 478.34 535.20 218.65 3:11.79 31.l2 651.00 81.95 264.48 t 4.i~~ i $ 96.68 . 292.95 Eo.75 50.35 2'Jl.53 429.49 484.62 45.18 880.94 3,205P1 2.88 169 .IS 223 .86 73.40 291.AJ. 750.00 250.00 26.00 90.00 35.00 465.00 25.00 50.00 150.00 57 5.00 500 .00 350.00 200 .00 50.00 800.00 200 .00 525.00 1~ 00 5,1 .:00 150.00 200.00 75.00 250.00 850.00 400.00 950.00 750.00 200.00 100.00 75.00 300.00 150.00 300.00 500.00 5.~:: .~. "''''t . 46 Schedl11e 1I1_i" OVer Bucbzet $ J . 7.l.7 36.94 S.S9 4.25 35.20 171.79 t . 4.95 I . ~ 6.564.26 t $ 4,775.00 $ t 4,8~~;= . I . 25.00 1128.152.12 ~2S.007.00 92.95 29.49 680.94 3,105.rn 73.86 ~. 26.4.26 . $4,775.00 . ~8~~:: ~ ~ t i 145.1.2 . Under BpnD'At . . 5.04S~5 _5.04S~5 $ 40.25 90.09 2.96 25.00 lSO.00 96.66 131.35 IS .88 149.00 US.05 2Eo.52 847.'!f1 53..32 14.25 199.65 '!f)2.47 465.38 704.82 72.l2 130 .S5 226.Eo 2OS.':fJ 50.00 'j/~ 25.00 ~1; ,.',",-'N, 47 Sched.uJ.e lIl-jll 91TY OF S1T.nrA.~ KANSAS , , ~ Ol'ERA!DG FUND - ~TAIL OF ElPEIlDI'MTRF"q - INSPECTION fllllUarY 1. 1954 to ])eoallber 31. 195.4. Inclusive OYer Unier PersODal Senioes Actual Bucket Butket Buda:et T ..hor and Walles f7, 200.00 f1 ,u.o.OO $ 60.00 $ Frole s slow 500 .00 500.00 Total Personal Services t{1 t 200 .00 ~.640.00 j $&.40.00 a.....cturaJ. Services $ . I I 30.00 .&'ato... all.._- 420 .00 450.00 Print:ing, Bind1Dg and DllplicatiDg 246.55 200.00 46.55 SoaUJ. Seouri t1 133.50 1.00.00 33.50 ID.nrance aud SureV Bond 5.00 5.00 Repairs - !'DrD1 tare 60.50 100.00 39.50 7raTel 189.50 189.50 Total Gontractural f,l.055.05 J 850.00 ~5.o5 t Materisla and Sap1>l1ea $ 96.04 $ $ 71.04 Offiee Sapplies 25.00 $ Books aJ1d Periodicals lSO.00 150.00 Total Materials and Supplies ~ 96.04 . 175.00 ~ $ 78.96 Sodry . 6.00 $ j $ 19.00 OrgaXlizational ])a.es 25.00 Totals Ja.3S7 .09 J8.690.00 . '332.91 JJ3 CITY OF SAT.TrU. KANSAS GENERAL OPERATING FUND m!.&IL OF EXPENDITURES - PARK JEPARTM&NT JanuarY 1. 1954 to l')ecember 31. 1.954. Inclusiye , 4,etuaJ. Personal Services 'Ides and Salaries Superintendent Begnlar Wages Part time Wages Other Departments Professional !otal. Personal Services Con\raotural. Services Telephone and Telesrapb Light and Pe>>war Service J.uto use allowance Building Repairs Social Security MoWr Vehicle - InsuranCJ8 Motor Vehicle !ires and Tubes Repairs Motor Vehicle Repairs Gas Service Repairs to MachiDery and EquiJaent !raveling Printing and BindiJaa Total Contractaaal Services Materials and SUppl.ies Expendable Too~s $ Olemieals, ))rugs & LaboratoryS\lpplies Janitor and!oUet Supplies Motor Vehicle Fue~, L11bricsnts, etc. Mowr Vehi cle Tags Motor Vehi cle Parts Motor Vehicle !ires and 'fu.'bes Imaber aUd Lumber Products Recreational SUpplies Seeds, Plants, Trees & Botanical Supplies Other Operating Su.pplies Eleotrieal and Lighting Supplies Machinery and EquilWBnt Parts Pai11t and Painting Supplies Books and l.?eriodieals Total Materials and Supplies CaPital outlaY Park EquiIDent Recreational Equipaent TrUcks . . . Landscape ImproV'ement !otal. Capital. outlaY iuJ1dn' Organizational ]):lee $ 5,082.00 1.6,998.40 7,854.00 350.00 .30.284.40 . 172.17 248.78 60.00 955.C1l 565.14 140.17 9.50 13.36 126.26 39.10 9.00 I 2.3~1:~ 83.84 85.26 4.36.85 32.50 53.34 165.85 52.29 86.71 37.23 57.48 308.63 266.19 . ~.666.17 $ 668.i.o .108.81 1,21.0~OO J 2.~~ J 15.00 !otals 137,003.26 Schedule "l-k" OYer Under Budsitet Bud2et i~et $ 5,082.00 $ $ -' : . .~.. ....' 20,031.20 3,032.80 10,420.00 2,566.00 400.00 JI)O .00 ~35.933.20 ) ::c>:~ j 5.648.80 $ 150.00 . 22.17 $ 150.00 98.78 60.00 3,75'J.00 2,794.93 450.00 115.14 145.00 4.83 50.00 40.50 150.00 136.6.4- 1.00.00 26.26 300 .00 260.90 ;0.00 43-.00 ~ S,~:~ ~ ~ 3I'oJ::: $ 1.00.00 $ $ 16.16 25.00 25.00 150.00 64.74 ;00 .00 63.15 ;0.00 1.7.50 100.00 46.66 200.00 200 .00 300.00 134.15 175.00 122.71 500.00 U3 .29 100.00 62."D 100.00 42.52 200.00 108.63 200.00 66.19 ~:~ 25.00 . 25.00 J 2.725.00 J 1,058.83 $ 2,204.65 . $ 1,536.25 150.00 4l..l9 16OO~ 1,210.00 i ~ l.~~:~ i 3:9~ . J 25.00 $ $ 10.00 J48..01.7.S5 I illI'Oli..59 49 Schedule '1_1lt CITY OF SALTN \ KANSAS GENERAL OPERATING :roND IET~Tt_ OF ElPENDITURES .. POLItZ IEP4RTII~ ~p~ 1. 195.4 to December 31. 1954. Inclasift OYer :a"'''D'et UD4er Bu&ze't Personal. S8rri._s _828S 8lld Sa1ar~s aiiel . Other Salaries MediCal Other Professional Total Personal Senioea Contraotural :l8moes .Auto Use Allo'ftl'ioe' Telephone and telegraph Tra....l Hospitalization Postage leediDg Prisoners Blue PriDtiDg and Photography Prin:t;bg, Bi1"ldi"g and Dlp1ioatiDg Instti'&1loe and Bonds Soiial Secm'i. ty Motor Vehicles - Insurance LightSerrloe Repairs - BuUdiDg Repairs - Fnrni:ture aud FJ.XtUre. BepWfi - MaChiDer7 and Eqa1}a8nt llepairs - Motor VehiCle - . Repairs - Motor Vehicle Tires &: Tabes Wash and Iatbric&1lt Laundr'y and Towels LeisJ. Advertising ~otaI Conwactural SerYioes Kater".' 13 s.nd Su:p'Dlies Expendable Tools OfnoeSa.ppl1es Books and Periocii.cals Olemicals, ])rggs &: LaDoratorT Sappliea FOod tor animal. '8D:c1 ftsl1 Janitor &1ld ToUet Supplies Motor Vehicles - Fu.el, Lubr:l.081'lt, etc. Motor Vehicles - Taga Motor Vehicles - Parts MotorVehieles - Tires and Tubes WeariDg .Apparel Other Operating Su.pp11es Electrioal and Ligh't.iDg parts lIaoh1ner1 and Equiplent Parts PaiDt 8J1d Paint:f.ngSapplies Photograph;r Supplies Radio Parts .' , Total Materials and Snppl1es AotuA1 . - . Bud2et $ 5,082.00 $ 5,082.00 $ 89,226.00 86,010.00 3,21.6.00 541~94 2SO~OO 291.94 j 95.~~:~ j 91.~:: j 3~67~~ t . . 1.,680.00 . 1,600.00 $ 1,508.36 1,500.00 451.67 200~OO 10.50 75.00 . 165.00 . 150.00 2,290.37 2,500.00 . 195.82 300 ~oo 1,196.99 700.00 15.00 73~ SO.oo 399 .36 350.00 35.3.86 400.00 100 ~93 200.00 145.95 100.00 ~75 -100.00 3,172.67 1,750.00 293~56 200.00 731.28 400.00 26.alSO.OO 112.8~~ J JD.~:: j 2.188.79 . ~-.15. 200.00. 487.35 '!/15.75 600.00 128.24 100.00 36.20 75.00 172.70 150.00 72.42 150.00 6,4f:IJ.79 4,000.00 6l~75 75.00 3S4~12 200.00 '. .358.79 400.00 4,024.34 400.00 3,624.34 2,l43.58 700.00 1,443.58 5.51 5O~OO 1,8$ 25.00 li.65 25.00 9~.~ ~~OO ~.~ t 1.6~~~:~ J 7~~:~ ~ 9.~:t . 80.00 . 8.36 251.fI1 64.50 209.6.3 104.l8 15.00 15.00 496.99 23.ll 49.36 46.14 39 II 45.95 99.25 1, 422.f:I1 . 93.56 331.28 23.39 28.00 $ . 24.25 38.so 77.58 13.25 41.21. 44.49 23.l2 13.35 . 28.24 22.70 2,~.79 154.12 (Continued next page) 50 Schedul.e 11-11 ( Oontirmed) Catd. tal 0utJ.a7 AutomobUes FUrni turi Radio Equiplient Total Capital OutlaY ~ftdrY Organizational ])les Totals .lc~ . 5,637 e42 . 417.74 Budlze~ OYer . Bllaget Under ia4set 4,500.00 .750.00 f ~~=:: j j 100.00' 62.50 J t;u.S,,212.oo tl2~6~.36 J 11,1.37.42 . 332.26 .~:~~ ) 6.055.1.6 J . ;J.62.50 tJ.3o.8oJ.J6 I ! r , I l 51 Seheciule 1J..a1 CITY OJ' SlT.nT.1. KlNSAS GEmm.4L OPli:Rl'l"ING F'DllD m~JIL QF ~ITURES - PUBLIC HEAL~ T1F.P~ Ja1mJll'PY 1. 195.&. to December 31. 1954, Inclusiye of OYer Under Actual Bl1&zet BuCIIzet iu.Uet PerJift'fta' SerYioe. Salaries tIL1'1d W~es . 4,080.00 . 4,080 .00 . . Sapema01" . - Other 'Salaries 7,080.00 6,720.00 360.00 Iledieal .- , 450.00 450.00 ProtessiODal 4SO.00 2,000.00 1,5SO.00 Total Personal SerYices m.6lO.oo tl3.2SO.00 ~. ~,~.OO Coa'trlietural Sei'T1oe, . . . . 160.00 .lute use - allowanee 840.00 1,000.00 Prht.i.JaC, Binclii1g and b1p11oatiDi 156.15 lSO.00 6.J.5 Repairs - Ft1rni tare and J'ixt11re. 9.00 50.00 41.00 Bepa:lr. - lIachi1ie1'1 aad Eqa1p1Bnt SO.oo so.OO I. aUd D1.tilled Water Service 15.84 50.00 34.l6 Soe.ial Seer! V 1.96.00 150.00 46.00 i'ra'Y8liDg 400.31 100.00 300.31 Total Contractural Serrioes j 1.61.7.30 ~ 1..550.00 t f11.30 t " <6ITY OF SJLtNA.. KANSAS GElfF.rjJL OPERATING FUNl) 52 Schedule Ifl..n II JZflTT.OF ~DlTURES -STREET. IT.TF.I AND miRR JIIDU."'" 1. 1954 to December 31. 1954. Inclusin :AO'tnA1 Eerso".' San-ices WaftS ddS.'Anes Supe:datendent and Foreman Other Labor . Meti oal SerYi.. Total PersorialServioes Contraotural Serdoes Telephone and fe1egrali1 Printi.Dg, Bindi1'lg &: Dlplicating Insurance Motor Vehicle Insurance Gas Servi. LiglIlt and Power Service Water Bern. bpairs - Building Bepaira - Machinery and Equifaent bpe.irs - Office Farniture and l'ixtures Repairs - Motor Vehicles Repairs - Motor Vehicles fires and Tubes Rent - Machiner1 Rent - 14otor Vehicles Hospitalization Sa_I' Repairs Sidewalk Repa1rs Social Se curi t1 Total Contractural Services JI~terials and Sul>'Plies Expendable Tools Office Supplies JaJiitor and toilet SUpplies lIotor Vehicles - FUel, Lubricants, eto. Motor Vehicles - TalS. Motor Vehiales - Parts Motor Vehicles - Tfresand Tabes Other Opera.tiIlg Supplies Aaphal t and Road Oil Cement Electrical and Lighting Supplies Hardware L1DIber .. Machinery and EqoipiSntParts Metal. and Metal. Prodnc'ts Pa1nt and PaintiDg su.pplies Sand, Rock, Gravel SIlo. Cllat Sewer Pipe . and Tile S_eper Parts We1d.ing and BlackSlDithing Materials Total MateriaJ.s and Supplies $ 7,620.00 34,326.~0 . 846.00 $42.792.20 $ 156.00 88.95 333.33 489 .06 300 .20 41.60 295.00 10.51 92.63 2S7.60 113 .18 5.00 3.89 . 830.51 J 3.017.46 $ 414.49 2.81 4,508.94 226.60 1,131.02 788.45 .185.70 3,681..18 810.15 38~08 1~E$ 23.95 1,334.56 121.3$ 00.24- 1,135.28 . 66.00 2,82.3.10 . 108 .80 Jl7 .462.42 Buda:et $ 7,6~.OO 47,430.00 J55.~:~ $ lSO.00 75.00 SOO .00 SOO .00 450.00 75.00 1SO.00 100.00 400 .00 SO.oo 125.00 200.00 50.00 50.00 50.00 100.00 200 .00 1.OOO~OO J 4.225.0? $ 400.00 50.00 35.00 4,300.00 500.00 2,000.00 750.00 . 100.00 2,500.00 400.00 SO.OO SO.oo .100.00 2,500.00 100.00 100.00 2,500.00 150.00 2,250.00 , 200 .00 Jl9.035.00 (Continued next page) Capitsl. O11.UaY Garage Equipnent street and Sidewalk I:m.provements street JlachinerylUnd . Total Capital 0utJ.81 Sundry Organizational ])les Totals J.c~, $ 725.73 . 2'J7 .85 J~:~:~ $ , 2.00 *9~ 257 .66 BudQ:et . ~ $ 25.00 178.935.00 53 Schedule "l-nu ( CoDt1.Dued) OYer' Ua&tr ~udEet Bud2et $ 725.73 $ , , 2':11.85 J~:~:~ J j a 23.00 Jl5.322.66 $ 54 Schedule "1-0" cttTY OF SAT:r_., KANS~ aENElW, OPERATING EUND lJi:TlTI. O~ ~I'1'UBES - GlBBAGE lEPAR1JIENT 'Janusry 1. 1954 to ~oeJBber 31. 1954, Inclusin 55 Sohech1J.e 'l-p" CITY OF SAT.TN". KANSAS ~ OPERATDfG :mND ~ mT~;rr. "O~ ,EXPEIDITlJRF.CJ - ,,~moor.TE~1;ON JiDDISPOSlL " " " " ' JlIIl'l1....y 1. 195.4 to DeoeJllber 31, 195.4. Inclusive J.ctual ~uckce1; OYer U~ , BUcUz81; Buc12e1; Fersftfta] Sem.oes Wan. "8Jlcl Salaries JlLi1:nrs aUd Laborers Ldor from other Departments Total PersODal Sem.oe. Gentractaral Sem.. ..chine1'1 a)ld"Bquipnent R8pairs Socd.alsecmrity Inear&1lce $ 7,780.50 $ 7,800.00 * 1,000.00 $ 19.50 1,000.00 ~,919.50 t 7.780.~ t8,~.OQ l ToW Oonvactwal Sen'ioes . 250-.,2. 100.00 $lSO.32 . 144.71 lSO.oo 5.29 50.00 50.00 , 395t9~ ~ 300.00 j 95.03 ~ Mawrals and St11)1)118s Jl&M'h.\A:r7 'and "li:qa;1];11D.ent Parts SaIld., Book,Gran1 aDd" '(hat Motor Vehicle Fuel, Iatbricants, etc. Total Materials and Supplies . 1.,804.72 . 1,000.eo $804.72 . 200.00 200.00 .302.7.3 500.00 197 .n Totals t~,2,1~07a4; ~ ~,700.00 ~..45 t jlO.282.98 ~O,SOO.oO j t 517.02 CITY OF Bu.-nT!. UNSAS GENEBAL OP.pATIIG J'UND 1B~~TT.c OF ,EXPENDITURES - SEII&l'~ DTSRlSlL JaJW.a1"Y ~ 1954 to Deeeaber 31. 1954. Inolusive 56 Sched11le lIJ.,.ql OVer Under Actual Buchzet. Buc1Pt Bl1.d2et. $ 3;840~OO $ 3,840.00 $ $ 15,922.73 15,800.00 122.73 -. ~.~~ ~ J}..9,762.73 i $ 600.00 . 300.00 . .300 .00 . 294.50 Z75.00 19.50 16.00 25.00 9.00 390.25 250.00 l4O.25 100.00 100 .00 273.36 300.00 26.64 3O.11 60.00 29.89 29.21 . 15.00 45.79 12,037.59 10,000.00 2,037.59 859.75 350.00 509.75 635.'9 1,500.00 864.61 19.48 75~ 55.52 7.2Jl SO.oo 42.80 580.00 500.00 80 .00 ~5. 'n2.S,* ~.9;;:: }:L1'837 .s~ 75.00 J Persftn.l Service. Sal-ri es ~d l'l!iUles Saperintendent Other \Yaces Froteasiensl Total Peraoaal Bemoea Coatractul'al' Sani..s Auto use allowanoe ' Teleiborie aDd Telegraib Printing, Binding and Da.plioat.iDg SoOUJ.Securi t1 Equipaent IbsVaDOlI Bu1ldi11g InSurance MotorVehicl.e Insurance GasSerrioe Light '8J1d Power Service Repairs - Bu1ldiDgs Repairs - llacidner1 and Equi}a8J1t Repairs - MotOr Vehicles ,. . . Repairs - lIotGrVehic1.es fires and Tubes waSte Gol1ecticm and Di.sposal Water".. Total Contractural Services Material.' and SulJ"Pl1es ExpAnClaPle Tools . Chemicals, Dnlgs" La))Or'a1ier1 SU,pplies JaJdtorand ToUet Sapplies ." - Motor Vehicles .. !\leI, Lubrioants, etc. Motor Vehicle - Teas Motor Vehicle - Parte llo'torVeUole - fire. and Tube. Electrical and Lighting Parts Jlach1nery and Equi};aent Parts Paint and PaintiDlSl1pplie& Boob and Periodicals Total Material. and Supplies $ 55~90 * .3~99 34.53 459.20 7.50 15.71 2.50 88~Ol 793.50 7ff1.(17 ~ 2. 2'n {J7 75.00 $ 50.00 25.00 45O~OO 15.00 15.00 100.00 100.00 700.00 100.00 ~ 1~7~~: J $ 19.10 46.01 9.53 9.20 7.50 59.23 9'1.50 1l.99 93.50 667 .07 522.97 15.00 J ~drY orgaJdsation Dnes I 17.17 J 25.00 . I 7.83 !otals 137,780.71 ~35.805.00 il.975.71 J CITY OF SlT.TIlA.. KANSAS GENERAL OPERlTIIfG FUND 57 SchednJ.. Itl-rlt ~lTT. OF JS1PESDITITRES - STREET LIGBTlm January 1. 195.4 to December 31. 1954. Inalad:n Conwactural Seriioee Power and Light Service ACtual '29.823.74 Sml~J' CIlarge8 to Accounts Receivable . 792.93 Totals ~. 6l6~67 OVer Under Bu.d2et Budpt Bucket .28.2>0.00 fl..623.74 j $ 97 5.00 J Jl82.07 J29.17 5~00 Jl. Ll. 1 .67 J ~ t ',':'-,,' 58 Schedule "1-al 9J:TY OF SIT.TIll. KANSAS GENE1W, OPERATING FUND lETJILOF~TURES - TRAFFIC ~D ~.lRKING (J)NfBOL JanuarY 1. 1954 to DeC8llber 31.. 195.4. Inc1.llsiye Pera&:m,U 88m.. , .aps and Salaries .ages and Salaries - Other Depts. WaPs and Salaries - Part fiae Protessional Total Personal Serri.oes Ocmii1actural Semoell PriDting, Bud1Bg and J)1p1icating Repairs - MacbiDer)" and Equi}B8nt Rep81rs - Radio EqaitMnt Repairs - Motor Vehiole Lights and Power Serrlae So4d.al SeCA1r1 t7 Repairs - .0" Vehicle Tires .Au.to use al101JBJl.. tranI . .- R8pairs-TrattioLighta Total Oontractural Services ltate~..l. aDd SuPPlies Expenc1ableToola .... JUel' - and Lubricants Signs Paint and Pain1iing Snpplies TrattiaControl Parts & Materials Radio PeJ:'ts Parking lIeter Parts Other Repairs Total. Materials and SUpplies Ca'Di tal. OUt.1.aY Motoro7cles Autoaobiles Land, Buildings and Fixed EquipDent SigliS . . '.. . !raffia Oontro1. Equi];aent TotalCap1 tal. outlaY Totals Over Under Actual Bud9:et Bucket Bu._et . . . . . . . . $24; 54l.08 $20,300.00 $4,24J,..08 . 1,41IJ.00 . 850.00 590.00 2,700.00 2,700.00 1,794.00 1, :;00 ~OO 594,,00 . . ~,775.08 )25.050 .00 )2.725.08 J $ 58.SO . 114.64 700.00 2.()() 300.00 . 21.00 1,932.20 1,250.00 163.22 100.00 3.50 120.00 ll6.83 414.57 l 2.91,,6..6 $ 39.l4 . 5~.YJ 1,1.12.0'7 1,324.94 . 487.9'1 1,233~72 .93.85 J 4.821..08 $ . 134.57 2,l02.60 ~ 2.350.00 . SO.oo '25~ 900.00 '500~ 1,250.00 . 300.00 1, SOO.oo ~ 1".525.00 . 900.00 l~ 500.00 20,000.00 . 600.00 2,500.00 $ $ 900.00 1,500.00 20,000.00 465.43 397 .J,O 123,262.83 $1.9.6J,,5.a ... .' -, " J2.237.l7 ~25.500.06 t 137.779.79 _57..&25.00 ~ - ...,-,' .. . <.:, 59 Schednle "l-t" CITY OF sn:rn.L KANSAS ~F.J.J'reRn. OPERATING FOND . .~T.J;rL ?F ~EN~ITtJRES - AIRPORT lEPARTMEN! < . .JanuarY 1. 1-954 to DeOilJlber 31. 1954. IacJ.nnY8 Over Under Aotual Bucket Buds[et Bl1.<htej; . Personal Ser'ri.CIEI8 Salaries and Wages j 180 .40 I 100.00 J80.40 ~ Con'traetural Serv1..~ Bulldiiig IJisuranoe t 169~6S $ 450.00 $ $280.35 Gas Servioe 35.29 1.00.00 64.71. Light and Power BerTioe 906~80 850.00 56.80 Repairs - Buildings S59.58 650.00 90.42 Repairs - 'Jlachil18r)" and Equi}aent 760.24- 650.00 liO .24- Soo:1al Security 3.6l 3.6l . < Total Contractural Services ~,,~5~7 ~700.00 i J264.8j Ilateria1s and Su'P'D11es $ $608.65 Electrical'and L1gh'tiDg Parts $ 141.35 750.00 . Machiner,. and EquilJl8Dt parts 6.34 100;00 93.66 Paint and Painting Sappl1es 6.3.86 J.OO.oo 36.14 Total Materials and Supplies ~ 211..55 j 950.00 - J'738.45 Ca'Dital 0ut1.~ . $ :l9dpaent 300 .00 $ $300.00 Landscape Improvement 246.50 246.50 Total CaP! tal. O11tl&1 ~ 246.50 ~ 300.09 ~ $ 53.50 Totals 13,0'73.62 J4.050.00 I $976.38 60 Saheanle 1IJ.,.u. CITY OF SIT.TIlL KlNSAS GENERAL OPERATING NND tpAIL OF EXPENDITURES - SWIDlING FOOIS ianuarY 1. 1954 to Deonber 31. 1954, Inclusive "' O.,.r ~tual Bu~et Bud2et Pe~sonaJ. Samoa. .!l. 1 .?ies and Walles s&larie. . - - -. -- - Wages frOll other Department .5,838.01 $6,000.00 $ 150.00 ~5~838.o1 ~6.15Q.OO ~ Total Personal Serrloas 9Onv..etaraJ.Seni... !elephone and Telegrafi!.- . Pr:iJ:ltiIlg, -BiDding and ])lplicating GasServiae - -. L:1.ght and - Power Servioe WawrSeniee Repairs - BUilding and Other StrUctures ~pa1rs -Machinery 8J1d EqaiJB81lt Social-Seourity Laundry and Towel Servi08 Total Contractural Services . . 25.00 75.00 50.00 100 .00 350.00 700.00 lOO~O 100.00 100.00 4~9 80.28 25.96 96~ 166.io 125.27 44.75 1.16.76 36.76 5.28 16.76 tJ..600.00 J ~ fl:J6.'rI Material. aDd SuD'Dlies 01811i0al8, J)n:lg & Laboratery Supplies J8n1tor and Toilit Supplies lIaoh1Jlery and Ec:prl.~llt Parts Paia1i and Painting Suppl.1es ExpeiidabJ.e Too1.s ElectriOal and LightiDg Parts Total Materials and Supplies . 47.35 $ 547.35 . 500.00 12.00 50.00 SO.oo 503.57 275.00 18.4l 50.00 jn.081.~3 ~ 925.00 228.57 18.4l ~56~" CaPital OutlaY Kqai~nt SundrY Sales and Admission. Taxes Remitted $J.,066.73 J 200.00 $866.73 . 194.28 J 200 .00 $ . ~,S76.62 $9.075.00 . Totals Under Bwlnt $161.99 150.00 J~3l.1.99 $ 20.61 24.04 4.00 183.90 574.73 55.25 63.24 jBe3.73 . 38.00 50 .00 50.00 t t t 5.72 iJ.98.38 CITY OF SIT.TN 4_ KDlSA.q 6.1 Sahedule "2" IIpllrI4I. HaT.T. JUND STlft'.MRll'l" OF llEonPfS. mSBUR~S. T.T lRILIlIJITR..<t JND BALANCES ~ mMP1RTS)1( WIn! 1954 BUDlE! .laJm.a.rY 1. 1954 to Daceaber 31. 1.954. Inclus1" .. Balan.. Janl1a17 1., 1954 :aeae1:otll . . Ad YaJ.erea Tax :Beatala - Of':t:t.oa Reatala - .&udi toria Salea Tax P. A. S,s.. SU-s CcmoessioD.S TOtal Reoeipta Tote1 J.cOOlUltabUi't7 ExPeDdi tUl'8s PersDa! Sel'Tioea Wages. . PrOlessional Serrl088 Totals ' ' GontracturaJ. Sel'Tioes TeJ.ePione and Telegraph GasSerrloa ' . Light and Power senioe l'aterSeni08 ., RePairs - BuUdiDg , Repairs - J'arniture and FiXture. Social SecmritJ ' Total Qontractural Serrioes Ita_rid. and SuPPl1e. EXpeDQI1ble .Toola ' Jan1 tor aJld ToUet Snpplie. Seeds, Plants, etc. neotrioal aIld LigbtingParts Paint and PaintiDg llaterials Total Materials and Su,ppU.es Ge.m. tal OUtlaY hrni tare SundrY P. A. Sfstea To'tal Expendi tuNs UnencabeNd Cash 12-31-54 Liab1l:ltie. 1.-1-54 Paid Liab1liU.. added 12.-.31-54 Cash Balanae DeOhlber 31, 1954 It~59 . 5,21.2.04 500 .00 4,0~O.OO 439.00 584.00 131.50 m . 5,214.00 . 236.50 _ 5.450.50 $ 144.00 793.93 309 .1:5 'i!J!tl .60 6lO.u 86.45 '.102 ~ , 2.33J..:11 . Z7.19 l43.04 20.00 19.1.3 ~ ~:~ J 2..975.50 j 326.00 ff~4 ~ 1; o:~ , 559..&1. t 1$121.22 ~ ~:~:~ Budget ~ 351.73 JItoUnt of .lotual OYer ~~~T1 $ . 5,2~.?:l 450.00 4,000 .00 439.00 600 .00 50.00 81.SO . 400.00 . tii:~:~ L~~~ $ 6,500.00 , 6.. 500 .00 $ '200.00 1,300.00 400.00 , 1SO.00 1,200.00 400 .00 , 100.00 J ~~75O.00 $ so.oo 200.00 100.00 lSO.00 t~~ I J ~ 600 .00 111.500.00 2.7'7 50.00 20.00 $ j 2.36.50 . 137.60 j 2.84 . J ~.975.50 $ t.~680.63 Jaount of Aotual Uncle:r B\1d2et - . 16.00 J 77 _l.J. $1,286.00 $1.049.50 $ 56.00 506.0'1 90.85 589 .86 313.55 Jl.J.l5.89 $ 22.8l 56.96 SO.oo 130~ 40.50 . 33J._11. t f 274.00 J 95.03 ,.. ,,'" - ' " -, .. .,' 62 Schedule ".3" .GITI OF sn.n., KANSAS QDii'.R1L AND SPECIT ALII81'OOVii:UF.N'l' J.iUN]) St&'l'IW2MT OF RE<EIPfS. DISBURSI!:MENTS AND BALANCES OF G.L~ ~ OOMP~SON nTH 1954 BUOOET , ' ' .JanuarY 1. 1.954 to Deeember 31. 195.4, Inclusive jaOlUlt of Aaount of Ao'tual OYer .Aotual Under .lctaaJ. B11dIr.~ Bucbzet -~~=~8 Balance JauU8.17 1, 1954 . 937..7 f 2.~11.65 i :a.oej.llW $25,522.34 $25,162.35 .Ad Valorem Tax $359.99 , Total Receipts j25,5~.3~ 125.162.35 ~.359.99 j - , Total AOCOUJ1tabili t:y J26..459 a8l S27 .500.00 , ~.04Q~~ Dlll1n1rseJll8Jlts GalXltal out,...,. $27 , ;00.00 i street Su.rtaciDg $27,500.00 $ . . Total Diaim.rseaentB j27 . 5OO~OO ~27 .500.00 ~ J . ' Bal.8Jl08 Deoellber 31, 1954 j(1.0AO.J.9) j j $1.040.19 ",....,.,,'~. CIfi OF sn.nu. K.4N~A..ct GRV.RAL TVPROVEMENT FOND STATEMENT OF RECEIPTS, DI$URSEMENTS AND BALANCES - - - -. .. - " JatlU8.rY 1. 1954 to December 31. 1954" lDcl.usive I I ~ Balance January 1, 1954- :a.ce1nt~ ' Ad Valorem Tax (Ezh. G) Sales TaX Weed Chtting Total Receipts Total AcCOlmtabili ty Expell4ii1 tares Person.1Serv1ces Wage. and Salaries OoatracturaJ. Service, Bepai1"s - Maeh1nery ani Equipl8nt Repairs - Motor Vehicles iepairs - Buildings Bepa1rs - Motor Vehiale Tires & Tubes Socd.&l Security RePairs .. Sewers Repairs .. streets, Sidewalks &: Bridges Total Contrae'tUral Senioes Materia.ls ~d Saplilies ExPendable Tools ' Motor Vehiale -Fuel, lAlb., etc. Other Repair Parts . Motor Vehicle - Tires & Tubes .lsphal taD.d Road Oil BriCks and Masonry ClelleJiC;and Clement Products Hard.l&e .' - Lumber and.Allied Products Mac::h1ner7 and EquiJ:D8nt Parts Metal and Metal Prodllcta Paint and' Paintirlg Supplies Sand, Gravel, Rock and (hat SeWer :Pipeandf:Ue TotaJ. IlateriaJ.. and Supplies SundrY ~.f\mda Total Expenditures I I . Liabilities 1..1-54 Paid 1954 Liabilities added 12-31-54 rash Balance DeOlblber .3l, 1954 ActuaJ. j ~,1.2'3.38 $37,844.29 ~~~ J3;3.029.10 i 2a>.o6 . 245.02 4,403..30 660 .61 , 135.5'7 1..107.88 $ 6. 772.JJ.. $ 302.00 58.15 'i!l.(Jy 601.31 517.00 134.37 20.44 22.3 .62 L1,884.5~ . .' 3)9.00 ~;~l:;t 2,862.91 $ 1.$342.05 . i:~~:~ Budget J 752.50 137,7.4J, .ll 3,472~39 ~"200 6 f42.2J. .00 $26.000~CCj . , 1,000.00 . - SOo.oo 5,000.00 200 .00 100.00 -300.00 2.000.00 $ 9.100.00 , 100.00 500 .00 .~ 200 .00 1,000.00 200 .00 500.00 200 .00 800.00 800.00 . 150.00 1,000~ 1, 200 ~OO ) 7..t.~~ $ ~.216.oo .. ,-< -..~ 63 Schedule 114" Jjmmt of Jaount of Actual Over Actual UnQlr B~et Buaet. . '3 0.88 , $ 1.03.18 . 24.0 .00 j" 3~ .18 $4.014.06 "'.029.10 . 560.61 J $ .302.00 ~ J 3.39.00 L.204.~6 j ~ j i 779.94 254.98 596.70 200.00 164.43 12.~:U . 100.00 500 .00 ~.oo 1,000.00 200 .00 441.85 172.33 198.69 283.00 '15.63 979.56 976.38 ~66 00 ~S.231~ i . 190.90 $ CITY OF SlT.nT~ IWISAS ~TERY lUJfD STA~ OF ~a&:rFTS"DISBUR.~N:TS AND BAI,AN~.s January 1. 1954 to De_libel' 31. 1954. IncJ.usiTe jjOunt of .lc'tual Over J BUr:::72 ~~~~04 BalsJla8 JaJm.8ry1, 1954 boei1)t. .Ad. V8lore. Tax Sales fax Burial pd Be.oval Permits :iarkerPe:ra1ts Lot !raBSters Lots Sold IBterest Received Grave Spa_Sold Care of Lets II1lioellaueou fote.l Receipts Total .leCOUDtabili t,. ErPendi tares PeraDDa1 Services sexsOn Other Salaries Total PersGD&l Sen:lces Convacj;ursl. Serrloea feleI*one and Teleara}il Printing, Bind112c and t>>p].1eating Sod.al Seeur1 t7 LegallTinting Insurdoe IDsursJlce - Moter Vehicles WaterSerrlce i8pwa - Building. Repairs - lIacb1nery audEquiJ88nt :Repairs - Motor Vehi.c&s Repairs -Motor Veldcl.es Tires &: Tubes Total Contraetural Bern.. J JlateriEbLaad SUp1Uiea Expend8))le.. fools. - . Ful and Lubri08J1:ta Paint and Pa1ntiDg llaierials Motor Vehicle - hel, IA1b., etc. Motor Vehicle - Tags Motor Vehicle - Part. JlotOrVehiele - Tires and Tubes Cement and. OIment Produ.ota Sand, Gravel, Rock &: Chat Total Jlaterial and Supplies GalxLtal OutlaY Equi}:8ellt Landscape Improvements Total Capital Ou'tl~ J.o1;u~ J 4.783.76 $ 7,J.04.74 fJ77 .sO 3,493.00 101.00 5~OO 590.00 1.40 .00 430.00 201ttOO ~ t 2,940.0<> j :~~~:: $ 142.75 ~ $ 179.99 26..40 48.5J. 23.36 92~ J..4O .49 7.00 46.00 2.16 7r:FJ.06 'n .01 62.28 40.31 146.39 15.00 14.94 3.38 309 .~ t ~i:gt $ 7,022.48 . 677.80 2,500.00 50.00 20.00 6;0.00 150.00 250.00 200 .00 In.5~.28 $12.1 .00 $ 2; 91.0.00 ',910.00 $ 9,850.00 $ 150.00 25.00 l40 .00 10.00 40.00 25.00 60.00 100 .00 lSO.00 50.00 . 25.00 775.00 IS.00 25.00 50.00 l;o~ 15.00 75.00 75.00 40.00 '9.00 495.00 f . $ $ 500.00 . 50000 t 1.000:00 $ 82.26 993.00 51.00 180.00 l~OO ~ $ j $ 39.99 16.40 8.51 32J.O 40.49 - . 12.01 3'1.28 ~ . ) 64 Schedule 15' AJlOlUlt of Actual Under BuStet J . 15.00 60.00 10.00 I $ 801.20 $ 801.20 $ 7.25 25.00 1.64 . . 1.43.00 4.00 22.8.4 65.9.4 9.69 3.61 60 .06 75.00 36.62 $ ~:: .$ 500.00 t =:;~ (ContiDued next page) Sundry Orge.Dizational IMes Total D1sburllhenta Actual Balance De_BIber .31, 1954 EBeabraueea 12-31-53 Paid 1954 j jJ.O,098~21 . 7,4.31.84 54.78 . 7,377.06 > t:R~95 a 7."7.01 EnCWDbrauoes added December 31, 1954 Oaah Bal8J108 12-31-54 Bu~et j .40 .00 ~.169 .00 65 Schedale If 5" ( Contim1ed) A1Ilo\tJlt or Aat;ual Over Bude:et _ouat ot Actual Under Bucket J J j 49.00 j2,061..79 66 Schedule "6" GITI OF S.T,nTA. KANSAS PUBLIC HEAT.TH NURSIBG NND S~AIJ'EWW'l1 OF BCBIPTS. DI~~S AND BALANCES ~ ~ARISJJl WITH 1~54 BUmEI JaDu.py 1.. 1954 'tie Deoember 31.. 195.4.. Inclusive Balance January 1, 1954 J1eceit)t~ Ad Valorem Tax Sales Tax Actual J .&1 $4,829.15 416.75 ~5.245.90 Total Receipts Total AOCOWl'tabili ty _5.246-11 mshurseaents . .. To Ptlblic Health lfursing Association J5~ ~J.J. .O? Total Budget (harges Balance Deaemer 31, 1954 '5,244.00 $ 2.u AaiAmt ot JJRo\mt of Actual Over Aotual Uneler Bllde:et -t.:i1t ~t t $4,833.25 $ $4.10 416.75 .5.250 .00 c:: y j5,250.00 L- lld2 - j5..25O.00 L- ~ . . 15.250.00 L- .6.00 J ~ L- - In Schedule "7" GITY OF SALINA. KANSAS BAND :roND STA~T OF RECEIPTS. DT~URSF.NENTS AND BALANCES AND OOJa'l11T~N WITH 1954 BUST JaD.UarY 1, 195. to December 31. 1954, Inclus1Te Jaount of Jaount of Actual Over Actual Under Actual Bu~et -i~::S -Juuet Balance January 1, 1954 f 93,08 I Be cei T.>ts . Ad Valorem Tax $6,168.91 $6,13.3 .;5 $ 3;..36 $ Salesfa:z: . 482.45 "482.45 Claflin Hall 1,200.00 1,200.00 Total Beceipts ~.851.36 kl,816.00 ~ .35.36 . Total ACC01mtabUi t1 ,., . 9J.4.4JJ. - ~28 .4J" $ Tot.A.l mabwsements Salillla i_d. Board ~ ,816.00 f7 ,816.00 $ $ Balance De cember 31, 1954 ~ 128~4i. ~ t;L28.l.4 J 68 Schedule "'" 'Q;ITY OF SAT.INA. IANSAS LJRRARY FUND .ST1'l'li:TtIlF.llTT O~ R&GEIPT~. mmUR.~NTS ~ BALANCES .J,n)18.l"Y 1~ 1954 to Deoamber 31.. 1954. Inclusive _001; ot AJIlount ot Actual OYer Actual Under ~ct~.. Bud2et -t~~~ Bu~et B dance Ja,11l18.1"1 1., 1954 $ 170.00 ~ J Recei OPts . $41,500.79 $178.91 $ Ad V &LoreJl 'fax $4l,321..88 Sales 'fax 3,287 .12 3,287~12 Il1soellaneOlls 800.00 800.00 'fo'tal Receipts ~~ 787 .91 ~5.A.09.00 ~ r J621.09 -.,,,. .. Total Accountability ~957 .91 J45.409.oo ii tt451.0~ Disburse1l8nts APpropriation to Librar,. $1.4, 609.00 $44,609.00 $ $ Miscellaneous 800.00 800.00 Total Disbursements ~609.00 ~5.409.00 ~ jaoo.OO . . . Balanoe December 31, 1954 , 348.91 J J348.91 J Jraount or _aunt of Actual Over Actual Under B~~.~ . Bud9:et --Jtu~J9 J _4126, W- __ 6ITY OF SALINA. KANSAS NOnOUS WEED OONTBOL F\1NI) STA~ OF RECEIPTS. msauRSEMENTSANDBIT.ANCES . . - .' ,. JanuarY 1.. 1954 1;0 December 31. 1954. IDclusiw Balance Jexmsry 1, 1954 ~ctuaJ. ~ 190.87 Beoei pts Ad Valorem Tax Sales Tax -- ExpeDse BliiDlbursements $1,11'1.07 $1,115.22 $ 69~52 69.52 250.00 250.00 ~..426.~9 ~..184.7J.. J241..85 ;'tJ.1'617.iJ.6 $;Ll' 810 .00 J Total Receipts Total Accountability Disbursements tersonal Serviees S&laries and Wages . . .. - J 975.70 $ 600.00 $375.70 " Oontractl1ral . Senioes Rent - Motor Vehicles Bent - Machinery Social Seaarity RePairs - Machinery Erad:1eatisn Service $ $ $ 100~OO 200~ 19.51 10.00 2l~29 200 .00 15.65 1.00.00 56-4' ~ 61.0.00 9.51 J Total Gontraetural Bard- ~ Jaterials and SuPDliea O1e1l1cals, Drugs and Supplies Motor Vehic1.e Fael,Il'lb.,etc. 1laab.iDe17 and Equipaent Parts Total llaterial and Supplies CaPital OutlaY Jlaeb.inery $ 34.00 $ 500.00 . 135.9'7 135.97 88.17 100.00 t 258.11 J 600.00 ~ j 220.00 $ .220.00 _1.510.29 &1.811.00 J ~ 107 .17 $ 1107.1.7 Total Disbursementa Balance Deoember 31, 1954 ~ Schedule "9" $ 8.15 J $192.54 ~ $100.00 200 .00 178.71 84.35 ~~53.55 $466.00 11..8.3 , j3,U.s6 $ $299.71 J J 70 Sehedule "lOW HUlereat Ji-.orial T:ruat ~~~ t 5,310.00 .5.JJQ.oQ " .J.05.OQ t 1,S(f1.SO 5,652.;0 f1,2al~~ J7 .. 220,.00 . 185.00 j 185.oQ B1llareat Jieaorla1 "_.ent 17:;:;.~ . 6,500.00 522.50 I 7.022~~ ~ 96S.rr( . i J l14. 965.'1'1 j.u.. 965.'1'( o.-ter7 ~ En40-nt r:~2~ . Poll.... 's B.liet &lid Di 7,SOO~OO 400.00 - ,~.. .. j '1.908.00 tl4.. 692084 $ t J i14, 69208"- ju... 692~4 .' '" t 5,540048 3,187041 716.51 i 9.S04.&O .. . j~.208.6Q $ 9, SSSoOO 333.98 '., -. J 9,921.9$ '. -.. . J9~921.98 $ll,286.62 ~~606~ 1ireMnts IWUer . liVnct '20. 7.40.~ $ 381 o~ ff19 fI SO 12,700.00 , . 16.07 6,5"'.6.3 ~20.340.70 c ~ . ' jU.08O.9'l I '777.93 2,085t.l2 720.00 . 3,583005 j 3.=:~ ,., -, $37,982.19 .. .. .. 'Zl ,100000 . . . . 2 ftr..nt'. Pena1.on j lJI'~Jq $ 8,402.95 3,186.:w 420093 iu.OO9096 Total All llO,020.DO 542073 . .' . iiO,S62.73 jJ.~~ ~2,73 . 9,92505; j 9.925a~~ t 13,943e43 6,761.001 . 679050 1,197~ 26,700000 "400~ 5,832050 . ' 16oO'l 6,sn.63 g " . t 119,608.00 876~71 . Tn .9'J 2, 085~2 . 720.00 1, '5e1 ~50 ;,'52.SO 31, "li '. . . 89,071.97 . ., .. 'Zl,100~ 7 9!: m ~ ~ Balan.s January 1, 1.954 Re.1pt" AdYal....TaX JieJlberahip :tees and !be. Int&N.t Sale. 'fax hYe.__t. lIaiured Sale. or Perpetual Gar. Sales ot..oleua SPa_ Refunds and ReCoVer1e. Gift., Grant. and J.pportiODllenta Total Reeeipts Tetal J.ooountab1li ty lll..lmp__n~ ~8i01l. Paid ~tun.. lledioal Sel"Vioes LU. Iasurau.. lWli.r .P81Mnta ao.1881088 'Pa1d Clerk or Dl.tr1ot Court Total. Dlabur_.nt. EDClUllbraa.. atied De.-ber 1954 Balan... el Cash Da"mber 31, 1954 Balau.. or IDv.._n't8 De."r 31., 1954 Total FuIld Balan... De_Jaber 31, 1954 I I I I I I , ~ CITY OJ' SAT.T~.. KANSAS FrRTi!Uii!\T'S PENSION FUND STJ.TEMENT Ol!'RECBIPfS. DIEUBSEMElfTS AND B IT.ANrK.ct MiD OOMP.lRISOlinm 1954 BumEf w - .. , JaD\1.a%'Y 1. 1954 to De_libel' 31. 1954. Inclusive Bs.J.a.uoe Je.DJ18ryl, 1954 ~ctu.l . . 8..78 .30 Beeeilrlis .Ad Valorem. Tax Sales Tax Employees Ccmtcibutions Total R8ceipu Total AOOOlJDtahUi t1 $ 8,402.95 .420.93 3, 186.1Q t:u.009.98 '20.~.28 mlbwseaenta Pensions Paid Betmlcis $10,020.00 542.73 );1.0.562.73 Total DLSDurseaenta Balance De_mber 31, 1954 t <1.925.5~ AJao\Ult o~ Aotual Oyer Bauet h~ef $ 8,1:11.J.8 -_3 . , . 8,385.89 .420.93 3,1OO.oQ ~.90o.82 jt20.020.00 $10,020.00 jLO.020.00 ~O,OOO.OO . 17.06 86.1.0 ~03.J.6 J461.2S $ 542.73 ~542.73 J n Schedule 8J.e.A" Jmount ot J.otual. Under Bucket . $ & ~ . $ rll. ~J. 5 72 Sch.dul. DIo-B If CITY OF SlT.nT~. lWlS~~ POLICE PDSION lUD STA.'rDOOlT OF RE<BIP.rS. DISBlJF.~S AND BjJ.AN~ JND OOMP.ARIOON WITH 1954 BUrnET Jiount of aouat of J.e1iual OYer J.ctual Under J.ctual . BllIAket" BU:t Buttilet Ba1aDce Januaryl., 1954 JU.704.20 jll. 111 .93 "'} .'n , ~ 0811)t. J.d Val.... Tax . 5,540.48 . 5,499.56 . 40.92 $ Sales Tax 776.51 . 776.5J. EIIlployees Contributions 3,1.87.41 2,500.00 687 a4l " Total Bltoeipts i 9.504.~ l S~776.C11 j 728.33 $ -. Total J.cCOW1tabUi ty j2l.208.~ l\9.S88.oo J1.320.6Q $ I Disbursements ~ Pensions Paid $ 9,58S.oo . 9,588.00 $ $ Bltflmds 333.9* 300 .00 33.9$ Total Disbursement. ~ 9.921.98 j 9.saS.OO ~ 33.~ ; .. . .. Balanae De...t>er 31, 1.954 W,.286.62 Jl.O.ooO.OO 11.286.62 $ . ,',':' 73 Schedule au" GIn OF SAT.n ~n KANSAS :QllIJSTRI4L ~VEIDPJ4ENT FUND g"~~Jn ?F REOUPlS. . DISATm~~. AND BALANCES Ja:aua.ry 1. 1954 to Deoember 31. 1954.. IncJ.wdve i.dan.. Ja;nuary 1, 1954 ~%;:01 :a..~1)ts None fotal Accountabilit1 jJ.2.~9~~ J .;3QleOO $J.z,344.01 D1sburse_llts _ Bal__ Deonber 31, 1954 .~,.." ....'. 74 Schedule "12" CITY OF SALINA. KANSAS BOND AND INTEREST WND STATEMENT OF RECEIPTS. DumUR~.NTSAND BAI.AN(ES AND OOI4PJRISON WITH 1.954 BUmET Balance January 1., 1954 .AJ1O'Wlt of Amount of Actual Over Actual Under Actual BU&!:t -1ugget. Bu.cl2et J 35.842.96 t 14.1 .44 J21..6%_52 j :Be cei 'Pts M:l Valorem T8X General Bonds Special TaDS Interest and PremitlllS SpeGial ....sessments Total Reoeipts Total Acccnmtabilit)" $204,275.65 $202,945.71 $ 1,329.94 $ 208,188.78 177,629.10 30,;59.68 2,577 .78 420.90 2,156~88 1,894.44- 1,814.44- f416.936.65 )380.995.71 V5~9~.91;. j t452.779.61 j395.182.15 157.m.46 e Disbursements Boni Fr1D.ci'Pal General Curb, Gutter & PaYing - Cit,. Gurb, Gutter & Paving - Property Ocers Sewer - Cit,. - . Sewer - Propert,. Oeer Total PriBcipal Paid $ 86,000.00 $ $ 54,050.42 92,361..54 48,196..31 60,004.45 j}40.612.72 f~78.23..37 ; . t3'1.62J..6; ;-"BOnd Int.erest General Curb, Gutter & Paving .: Cit,. O1rh, Gutter & PaYing - Propert,. 01ll1ers Sewer - Cit,. Sewer - Propert,. OWDer $ 5,&13.75 $ .3,737.32 9,152.18 12,800.72 9,497.03 . $ Total. Interest t 40.881.00 ~ 16.51.7.78 $~.333.22 J Total DiSbursements ~ .49f.l1 ~ .400.00 . 92.11. $ $ 63.30 $ $ 6.3.30 e $382.049.13 ~395.182.15 $ $13.133.02 $ 70.730.48 ~ $70.730--'8 $ OoDn1ssion and Postage JI1scellaneous Balance Deoember 31, 1954 75 Sob. dale 113 It CITY OF SALINA, KANSAS lU.TERWORKS IEP ARTMENT FUND STI'l'i7iEN'I' OF RECEIPTS. DISBU'RSEMF~~SAND BlTSWCES AND OOIPARISON WITH 1.954 BumET JanuarY 1. 1954 to December 31, 1954, Inclusive B4lauea January 1, 1954 AaCllDt Qt JaOllDt ot ,..tual OYer Actual Under .ctual Budlzet.. ~B3u.-t l~ I B\UUl.et J 153..375.81 Jl20.195..39 :II: ~__l8O~ _ Beoeil>t8 Water Sa].es $ 473,322.91 :InTestaents 670,OOO~ Jlis.lla.ueoua 16,~ Accou.uts :a.eeiTable .. Water Services 1,436.6'7 Total :ReOllipts tl.161.'165.24 " ' . . . Total Aceountability J1..31.4.5IJ..o5 ~sburS8Dlents Schedule 1, Waterworks Other .. Capital, etc. J377 . 300.00 . 96,322.01 670,000.00 16,1.06.56 1,436.1i7 1z83.865.24 $ $377,000.00 300.00 ~9'1.495.39 J8l7,045.66 ~ i Total Disbursements , . . . $ 19~355..39 $235,050.00 $ 143,694.61 858,268.48 $58,268.48 " j]., 049.623 .eii 1235.050.00 18l4. '!173 $1 j " $ 264,917.IS J262..445.39 J J 2.471.79 Balance Deoamber 31, 1954 Enauabrances December 31, 195.3 Paid 1954 EnGUltbranoes Deoember .31, 1954 Gash Balance December 31, 1.954 7..966.61 $ 256,930.57 8,16.3.66 ~ 265.094.23 . 'IIi- 76 SGhednle 1114" Balanoe8 ~n-5.\ . 798.21 1,986.60 22; 665.46 29_378.65 ... - ... ... - ... - ... .. 259_044050 2,063029 1,871.92 361.fJS 23,718099 .. .. 25,000.00) 286.;.3) ( ( S8,7QJo3S Sl.4S . 943008 66;836069 4J.SOO~ 2,114035 1,9Ol.90 4,939.'1 45,3'17020 52,491032 15,955.50 73,852.59 18,719.29 3,61.'.53 258,m.74 ',7€n09l 1,100.00 25,000000 286.43 1,53502'1 .'1.ranarer. Total :a...i,tlt. . 300000 Sales Ie Pari:l.Dc Meters $ 5,591.45 15,553.2'1 6,903.42 .' . 34,091060 ( 1,632.027) ( 4, S20 .36) 9",6el7 (50,325042) 110, 415.95l 3,701.91 1,100.00 - - ... 58,748.35 . Sl04S . 943.- 66,836069 45; 500.40 2,l.l4.3 5 1,901.90 4, 939.Sl 45,39'1 ~20 52,491.32 15,955.50 73,852.1) 18,719029 . 3; 61'.53 2'J8,:rl9.74 3,701.91 1,1004.00 2511000.00 286.43 !5~So2'1 6S,325~ , , 9l4038 9,638.71 73,J+J.J...76 36,205.95 269.63 . 4190lS 54, 953.3'1 2;1650.90 275~OOO~ 75;91508$ 20; SCJlo21 3,m .os 271,582078 914.J8 9,638.71 73,4J.4.76 36,205.95 269.63 419015 54,95303'/ 2,165.90 75;915088 20,591.21 3, Cf'n JJ8 65,325.000 'l!1 5, 000.00 271,582078 Ba1&Il9lts J.-~5-' . 1,398.21 3,186.60 22,665046 22,$02000 41728055 6,8S?~64 , '325.J5 45,500 .ItO AeJilal't PaviDg Clat11n Hall Se1f8l8 Parldng Lot &: Meters Job30S Job 310 Jeb 315 BDDda Issued 159-60-61. (I>>....s. ieaurfac1Dg streets Job 309 Job 313 Jell 320 Job 316' Park Iilpronmen'ts Job 325 Job .ns Job 319 Bonds Issued 162-3 Clcmd and Ohio CondeDation m.eaaiJag &t1l8rs ParJdDg J.ot Bona. Gf-:l'> t6S,325.oo t65~325000 Totals Ea__ran... 12-31-54 CITY OF RAT.nlA. KAN~ MA'I'ERT AI. STORES FUND BTJ.TEIAENT ?F RECEIPfS, DI~UR-~1l'l'~ AND BALANCES JamtarY 1. 1.954 to DeceJllber 31., 195;.. IJ1clus1ve Balance January 1, 1954 Be ceipts F.r:oa Se.les Total J.oCO\U1tabUi ty Disbursements Motor Vehicle JUel, IiUrioa.nts and Antifreeze Motor Vehicle Parts SIlppJ.ies Office l4echaD1eal Equ1~Dt $10,508 .12 9'70.08 174.l3 998.84 Total Disbursements Balance De_mer 3.1, 1954 EnCl1llbranoes December 31, 195.3 EnOUlbrances December .31, 1954 Gash Balance December 31, 1954 77 Sahedul.e "15' . 2,499.74 13,ffn.12 $J.6,176.86 $l2,651..17 i 3,525~69 .~.92 i 2, ~77 1.3~.66 $ 3.9 ~ GITY OF SAT.nrl, KANSAS VETElWiS HOUSING lUND .STATEMENT OF llECBIPTS. numUR~MF.NTS .&Np B IT.&l\TCRq Ja,m1al"Y 1. 1954 1;0 De....r 31. 1954. Inclusd:,.. Balanoe January 1, 1954 ~ceitlts Rents Total Accountabil.i V- Dislnu"seaents PersOnal s,rdoes Salaries &Del Wages Professional Total Personal Services CoDtra.ctural Samoas Bon" . ---. BUllding Insuraace Soe1a1Security Gas Service Light aad Power Service WaterSerrloa R8pairs - Building L&Dd IWnt R8t&1ncbJ Tetal Contractural SerTices t . 900.<>0 1.500.00 $ 20.00 230.18 18.00 2;273.04 2,696.89 -734.85 2,773.11 600.00 283.20 Total Disbursements Balanee December 31, 1954 Eneo.mbrances Deoember 31, 1953 Encumbrances Decemer 31, 1.954 Cash Balance December 31, 1954 . $2,400.00 ~ .629 .2:1 78 ScheduJ.e "16" $15,284.1.9 25,6.30.36 ~,914.55 tl2,029.2:1 ~28,885.28 1;_30 $28, .98 . . 9U.tn f~,OO5.65 CITY OF S4T,UiA. KANS)S CIVIL llE!'ENSE J.iYND ST&TF.MF.WI' OF RECEIP'fS. DImURSEMENTS. AND BALAN~q January 1. 1954 U DeoeJDber 31. 195~ Inclusiye :Balance J8J'luar11, 1954 Re08i'Dta Aceoutabi1.i ty Disbursements Balance December 31, 1954 " $2,095.24- o $2,095.24 o j2.09S.24 .'.!.'........ 79 Schedule 117" ',.i CITY OF S~INA, KANSAS STREE! nQiTNERY FUND ST4~ OF RECEIPTS. DIS3YR~N'I"S AND BALINCES . , . . J8DU8l"Y 1.. 1954 to December .31. 1954. Inolusive Bal.anee Janusry1, 1954 Re oei'Pts Tran8fers None $10,000.00 ~O,OOO.OO ms'bur8emen't8 Trucks fractors and Heavy Equipment Total. Disbursements $.3;818~84 4. 59~.oo $ 8,41.3.84 ~ 1.586.16 Balanoe December 31, 1.954 ..; 80 Schedule "18' --- ~1 if .1 ,..., i.iti.'li!N\t1o$ Ii' 5ti~liOlf. ,j~Jrl 1,1'''' ~'t$fltj .. U..... ~ 1*0.$. Ie _.~4)'H t_ {<1~41114 ~l~I'A 5~~d$l,l&,~_~ ~,~ loW '_~*'. r.W~,~~i.U.t, ~~.." ,u....... ~.f'va1u ~a1t.... ._~ ~..dd. JI........ i_Ita' kleClti. It__ .1..... ~......... g.. 1,1... n...S4 t~ .~"~~ta f*.1__ ~~nt 1'" :t11lAf ijLiDdi >.m.50 i1.;i.., '~~..~4 1S ~OO 1.l2S<t{;Q ~~"l'I,..W;.lIl.~ ",""'" ",~C' - _.~I>;- .. i.,.'...... ~~_JlI I..~ ~' 7J.~ 1. .:u,.uc J'.~i .iil.ij.'_.li~ '.1~.f:>'_... 1" . . ..... '. ~!jit~ ~ ~ WI L..-J.. "., .~ .....""1'\.... ~. ,~~.^' ._ It i~tft1,. ~~. It' 1U4 ~"'1.1l. " ~ _..tittl".J~4'" i .n'A ~ _L_.... ~ ~"hO ... tltlc" ~;lJj 4~n, ..14 ,t.l~l..i~ ~_..4!t.' t '1,lS',,5J9} :i;ij..9~iI;'Ii Miwtidl ";..14 1,1'1"'&' l6l4..44 ~2.~~J ~'j j 1z.~~'M . .-1 I r.......... 'ipm,a fn.l #'l.ttM .it ~ CITY OF SAT.IN., IWfSJi SUWARY OF B~ REOON01J,1lIllRNTS December 31. 1954 Cartif1ed Outst~i~g Balances CJ1eoka $ 291,597.94$ None 41.13 41.13 780,254.27 471.,413.13 292,746.91 lone !rational BeJ1k ot _rica .. General. National BaJ1k ot America - Water IUttund Planters state Bank 78%"J1lers National Bank Totals . ~.36.4,,640.25 $471..454~26 17.496..5 $900.682.+4 82 Schedule 1120" 'Added B-ank nepos! t. Balanoe. . None $291,597.94 o 7,496.45 316,337.59 Non. 292,746.91 GITY OF SAT.11(A.,. KANSAS B.1NK REQ)Nrrrt.T l'l'IOIS f)eceaber 31. 1954 Na'tional Bank of.eri_ - General Certified Balance 12-31-54 Outst8DdinD' Checks . lf1UIbeJ; ....l- Book Ba.1.an09 12-31-54 lation.' Baak of JJraerioa. - Water :a.f\md Certified BaJ.a13.oe12-31-54 O\1tl~.nili!up Qleeks . Book Balanoe 12-31-54 larmersHational BSDk Certified BaJ.aI1oe1.2- 31-54 OutsteJt<<t._g <I1s. Book Balance 12-31-54 $291,597 .94 . Bone 1291.597 .94 . t 41.J3 4l.J3 o $292,746.91 Bons . f292.746.91 83 SaheduJ.e 120..!" 'f~ Na1;iO".' Bank of aer10a Water ])eP8l"taent Retnnds Warrant . . .... No. 9433 62 73 83 94 9505 35 .~ 9545 49 74 85 9590 94 96 9000 12 14 18 9620 31 71 J8 39 42 43 45 46 9647 ~ 49 9650 51 52 53 54 Total Bank Balan_ . Mi .21 .42 .57 .15 1.23 .37 .21 .62 .ll .78 .93 .37 .32 .ll .21 .so 2.14 2.15 3.n 3~6 .ll 1..44 . .77 .62 1~3 1~6 1.39 1.49 2.60 .17 3.fJ'l 1.49 1.64 2f,OO 3.36 $41.13 ~.1.3 PlAntars state Bank Certified Balance 12-31-54 Deposits in TraJ1S1t OuHotst~~. Che~~ . ~ 793 . 11.5.81 859-1008 . less PB.1d 27,8:30.02 - 2.456.24 25,373.48 Transfer Check in Transit 100,000.00 3029 .64- 3566 456.50 .97 10.00 3602 25.00 3S04 6.75 34 10.00 41 251.50 51 1,071.84 2 2,000.00 :3 20,000.00 4 61,502.04 , 166.12 6 325.96 7 46.00 8 28.00 '} 258,108.11 61 83.25 2 20.50 :3 1,780.68 4 30.95 J34)ok Balan_ 12-31-54 84 Schedule 1120_An Continued $780,254.%7 7,496.45 "'87,750.72 J:tf~~ ,CLCJ.J IN THE OOS'l'ODY OF CLERK OF CITY OO~ 0Ifi' OJ' !UT.TllA. KANSAS ,CJertitied Balance 12-31-54 Deposi ~ 1-5-54 9Jl~.t..ndi na Q:1eoks lfum'bel" , 4581 1429 7530 7514 7791 7917 8034 80fIT 8168 8452 8453 8459 846') 8474 8478 8479 8481 8.482 8~ 8.485 8486 SJJf7 80488 8.489 Book Balance 12-31-54 ,w .J . BlIXlI( ,Deoellber 31. 1954 .3,772.43 .. 454.s~ k, 2'Z1.28 ......L.... $ 10.00 .75 .75 ~75 1.90 ~75 15.00 2~O 1.55 1~50 2.50 4.00 344QO 10 ~OO 5.00 2O~OO 5~OO leoO 10.00 10.00 15.00 263..34 .6.90 190.15 13.~:;: 8; Schedule '21" CITY OF SIT.TWA. KANS~ REOONCIT.TATION OF FISCAL AGENCY AGOOU'B'l naeember 31, 1954 · Ou:tstand1:wz BoDds and Interest Qou~ Date of I,sue Type of Issue Waterworks 10-J..25 1-1-38 JudgJaen't R8t1mdi~1 J..1-38 CUrb and Gutter lo-~ Bond COupon Da1ie Dle Nwlber ~1-.r 10..1.-36 579 22 1. 7-1.-45 16 15 1 1-1.-46 16 16 1 7-1.-46 16 17 1 1-1.-47 16 18 1 7-1.-47 16 19 1 7-1-45 57-6JJ 15 4 1-1-46 51-fA) J.6 4 7-1-46 51-fAJ 17 4 1-1.-47 51-60 18 4 7-1-47 'Yl-W 19 4 . , 4-1-49 99-110 1 12 10-1-49 99-l1O 2 12 4-1-50 99-J.lO . 3 12 10-1-50 99-1lO 4 12 4-1-51 <J9wl.lO 5 12 10-1-51 99-11.0 6 12 4-1-;2 99-110 7 12 10..1-52 99-ll.O 8 12 4-1-53 99-110 9 12 10-1.-53 99--110, 10 12 4-1-54- ~110 11 12 10..1-54 88-99-110 12 12 l'aterwrka lIB" 8-1-53 2-1-54 1 (1;.3 I 6-10 8 . (560-4157 4-S 10 @ Waterwrks lIB" 8-1.;3 8-1-54 2 (1-3 I 6-10 (101-J.05 13 . (;~7 1574--8 (659-63 I 768-72 26.. (830-34 OffStNet P8l'king 2-1-53 2-1-55 4-21-30 10 .. Total Bonds and I:nterest Coupoas Olltstand:i.1lg 12-31-54 Fiscal ..no,. State_nt Balan.. 12-31...54 D8tld1 86 SchedW.& "22" . 22.50 . 22.50 iaount 10.00 10.00 10.00 10~OO J.,01O .00 10.00 10.00 . 10.00 1,010.00 10.00 8.7; 8~75 8.75 $.75 8.75 8.7; 8.75 8.75 8.75 8.75 8.75 8.75 17.50 18.l2 17.50 18..:13 10.00 10.00 10.00 10.00 10.00 1,010 .00 MJPJ J.D~ J.D.OO 4,040.00 40.00 105.00 105.00 J.OS.oo J.05.oo 10S~0 105.00 105.00 105.00 10S.oo 105.00 105.00 W.75 l4O.oo 181..20 w.so 471.38 ~;:m:~ jl7.661.33 . WATERWORKS DEPARTMENT SALINA. KANSAS FINANCIAL REPORT Coveri1ut the period from January 1. 1954 to December 31. 1954 . I . I i i ! D. N. TURNER CERTIFIED PUBLIC ACOOUNTANT SALINA. KANSAS '/ <0),' . ,.." ,. '" rt ,nTERIORKS JEPAR~N'I' WND In aocordaD_ with instruotions received the books and records ot the Waterworks Department Fimd ~ty of Salina, Kansas haft beeD audited tor the year ended December 31, 1954 aad _ now suhllit the . following report 'based on that erpination. SCDPE OF JUDIt TBe audit 1I8.S performed in aocordance with the general and specinc required provisio~ of 'the J(1raima Standard Audit Program, approved b1 the state Municipal AcoountiDg Beard applicable to web tonds. The audit includltd a .,.er1fioatioD ot the Assets aad Liabilities of this tlmd at Deoeliber 31, 1954, ill 'the ll8DIler and to the extent hereinafter indicated and a general renew ot all revenue 8Jld expenses for the ,..a:r 1954. HISTORY fhe Wate1'1lO3:'ks s1stea, suppJ.1ing the water needs of the resideats ot the City of Salina, Kansas, as purchased trom pri'f'a...... interests in OotoDer, 1925, by the Cit1 and sin. Jauuar,1, 1926, has been operated as a municipal activity. . . . The Waterworks Department is geverned by the City Gomissioners. . BALAlIOE SHEEt The balance sheet of the Waterworks Department as at December 31, 1954 is pl"esented in Exhibit II All and is brietly snmaariBed be10Wl Assets Liab:lJ.iUes. Resenes and Sw.:Plus P.l.ant and Propert,. CDrrent Msets $2,764, 778.64 1,595,363.43 SurplUs Resern for Depreciation Oarrent Liabilities and Beserns Bonded Inde'btedness rI.,872,2.36.9S 22S,UJ..55 S3.3(q,lA2.<V 59,763.54 1,200,000.00 ;3,360~ 1J.?HI .. ; ",<', '''!..o;'-:' 88 AI'PLlCATION 01' FU1fJ8 The . Source and application of f\mds realized during the period under review is sh01lll1 by the following statements. Fun~ Pr~dedl I . !'rOIl net inCOJll8 for the reer ended Dieember31, 1954 Add Back Depreciation taken for the 1954 tor which nooash was required Decrease in working Capital Total Flmda Prori_d . Funds J.pplied. To parohaae of Plant and Equ.1praent.. U1arges to Depreciation Reserve Bond PB3JIl8nts Total Funds J-pplied $2JtfJ,7'Yl .73 . . 20,904.00 592,840.66 jJ!5L. 502&3' $flfJ/7 ,269.39 1,233~ 66,000.00 ~~ 502..39 " current Assets ever current Liabil1 ties as follows. The Increase in working capital represents the net increase ot $ 9,371.61 . 7, 816..u t( 1,555.20) 12,057 .00 15,82'7.00 3,770.00 16,685.62 36,120.13 19,434.51 . . j 38.11l.2j J59~763.5.4 j 2:I.,6J..9.31 1,1.1-28, u.o". 55 f~5,599.82 i 592,8AO.6~ CUrrent. Assets ;LW. $ 155,081.,25 950,057 .00 16, 61.2.49 44,185.91 1.W.72 ~ .J+J. ~1l166,554.7S ~ O&&h U.s. Bonds :~~~:r.ar)' lIow. Jlawrials, SUpplies Water:Refund Cash Deferred Qlarge& Total. Qlrrent Assets Q1rrent Liabilities J.COouuts Payable Meter DlPOli ta Expense Reserve Total CW:rent Liabilities Net Working Cap! tal. .. ~ $260;S72.99 280,05'7.00 ( 5, '7l5.88) 54,340.53 ( 191.21) ~595,363.43 Increa.se (Deereaai) . 111,791.74 (670,000.00) ( 22,.35831) 10,154.62 ( 160.72) ( 6J.8.62) .' 5'71~J.91.35) c. ..... .. .,., " ~"1 89 PLANT AND 1'BO:PERTI The net increase in PJ.pt and Property Accounts 1s shoc in Schednle "2". QJRRENT ~TS . Cash in Office and City Treasurer: Cash on hand in the office was counted on JaDu.ary 4, 1.955 and 'traced at that time into the days bank deposits. Cash Dlsbursements tor Meter :I:)8posits Refunds, )(iscelle,n8ous Pa)'1"olls, Freight, Express and Petty Claims are made f'roa GUrrent cash on hand. ~iabursement for these iteJ1s are later received f'rom the City Treasurer through appropriations 1l8.d8 by the Board of Ql. ty Comissioners. Cash in the hands of the City Treasurer was verified and compared 1d th the reoords of the O:1.ty Clerk. The ~nt8 of Touchers tor the Waterworks Department are now being handled in the same BI8Jm8~ as ail other tund P81ll8nta are under the S8Il8 type of authorisation, and the warrant-woks eJ"e issued by the Oity Clerk and entered on his records, the 88J118 as those for other f'unds and departaents. 1670,000.00 of the U. S. Bonc.is he~ci were sold during 1954. Total bUliDgs tor the 1'ear plu.s outetanding accounts at the beii.nniDi . of the yeeJ" were accounted for either in the torm of cash recei.,.d duriDi the year, discounts and rebates ailo1l8d, bad debts charged on, or outstann1nc accounts dne at the clo.. of the 1'ear. Inventory of Il&.terials and SI1ppl.1es represents the value of these 1 tema on hand December 31., 1954, as inventoried under the supervision of the superintendent, who stated that the quantities were cerrect and the items were priced at the lower of C08t or market. The extensions and footiDgs were "riAed. . 00RRIiaiT I.J ARILITIES .Accounts pa7able rApresent aJlOW1t due. on open account a8 at DeceJiber 31, 1.954 as shos by the Ci. t1' Clerk's Purchase Order Record. The totaloutate.ndiDg deposits at 1ih. audit date, 8S shoe by the ~. "-'~ ., ',' ".. ~~,' .A'." .. ~".. ,,', 'I 90 General Ledger, was reconciled to the de'i!dl of indivi<h1al deposits. Your attention is directed to the fact the interest on Meter Deposits is not paid by the Waterworks Department in accordance with the requirements of Section 12-822 G. S. 1935. SURPLUS The only eb.anges in the Surplus Acoount was the addition Gf 1954 Gain. . RESERVE AND DEPRECIATION.. The following tabulation summarizes the changes in the Reserve for Depreoiation during the year. Less charges to ReserY8 Bepl.aoements Balanoe Decamber 31, 1954 .208,470~55 20.904.00 ~229,374.55 j2~:ill~ Balanca - January 1, 1954 1954 Provision for Depreciation !he aaount added to the Reserve Aooount in 1954 re};r8senting 'the depreoiation expense for the year was oOJapated in the Clty Clerks offioe and fcnmd to be satisfactory. The ReserYe Aocount re};resents bAolt reserve only as no funds are aotually set asi~ or segregated. INSURANCE . All. Insurance purchased. during the year was charged to expense. A statement of the insurance coverage in forae at December 31, 19;4 is presented in Exhibit "11" under the City Audit. FIIBLITI BONIB Fidelity Bonds are in forae in the amount of $5,000.00 each on the Superintendent and Cashier of the Waterworks Department as sho_ in Emibit "L" in the general report. O~~'J'ION A detailed statement of' };rofit and loss f'or the '18ar 1954 i/l presented in Emibit lIB" and its supporting Schedule "In. """'>'''''''" ,< '.:"r-' 'i....~. 'I 91 I ~ I · The Water Department paid 110,000.00 to the City during 1954. This is considered a payment in lieu or Franchise, similiar 1;0 that paid by other utilities. The legality of this transaction is subject to question. A chaJlge in the method of recording the J.nm181 J?rep~ents was made this yeer, the entire paYJllent being credited to accounts receivable, resulting in an Accounts Receivable control Credit Balance. Monthly one-twelfth of tbe PDfpt.peRt i. dlarged to the account and credited to Sales. Forlilerly the eatire 8IlOunt as erecllted direct to Sales and did l1Dt eater into the Accounts Receivable. DisGUSsioa of a preferable method of h8lldling this was condlited with the City Olerk aJld the Water Department Bookbeper. 10 adjut1ng entries _re necessary to adjust the books to conform with the audited lDalance sheet and profit and loss statement since all neoessary entries had already been made. We wish to express our appreciation for the co-oJl8ration of the Superintendent, Cashier and other City Off'ic:i.als and EIlpJ.oyees during the course of the e7~ination. .. I l I' f · " ' " WIT! OF SAT.r,., KANSAS WAfERWORKS r:IW.AiTUii:ft '" pecember 31. 1954 B~T.&Nac SBEEf . li1ed ~8ets Flant and Property (Sehech1le 2) O1rrent Meet. ee;sh in ott1oe Cub. - City Treasurer - General Investlllents U. S. Bonds Mooon.t. BeceiTabl.e Water Sales . Service Lines . ID:nntories JleterParts Operating stores Deterred Charges Total Assets .. Surplus' January 1, 1954 .ldda 1.954 Prof'1t Reserves 8.Ild Deterred Qlar~e, Depree.iat1Oa ., Si.Plrj.g l'tmd - Interest L1sbilities Aconnts P87able Meter Deposits Bond Indebteclness Refund ])eposl t8 Total LiaD1lit1ea, Reserves 8Jld Surplus . Jaeeu $l8,287.38 36.05~ .15 ~abU1 tie. .\ j i;.~' 92 Emiblt I I." $2,764, 778.64 . 1,778.76 265.094.23 $ 266,872.99 $ 280,057.00 $< S,753.99) 3.038.11 $< 5,715.88) $ 54,3i.D.53 $( 191.21) b, 300,ill.o'1 $1,631,4",.25 UG.7'Y1.73 $1,872,236.98 . 228,14l.55 3.4.735..13 $ 262,876.68 $ 7;816.41 15,St7..oo 1,200,000.00 1.385.00 $l,225,028..u ;3. .360. , J.?..en .. OITY OF SIT.TNi.. KANS.A8 'IATERIJORXS DEPJR'I'URN'I' PROFIT AND IDSS STA'PTOm1f.r Year eaded December 31. 1954 . Total Water Sales Add TappiDg Serrlaes Gross IWceipts L!u . Operating Costs (Schedul.. 1) Depreciation tJ.70t451..39 20.904.00 ML Interest Raceiyed and Miscellaneous y Net InCOll8 .. " ,. $J.24,092~ 6,923.70 ~31,016.57 ~91'm.39 2J9, .18 $ 1,096.55 $~.757.73 93 Exhibit "B" " '," ':. ,,:- ~\ " . :;, : '<I,<,t'.,' '~. , ' 94 CITY OF sn.TN!., KANSAS Scheclnle 'I" lW'ERWORKS DEPARTIiENT OPERP.ING OOSfS Year 1954 eo.pared with year 1953 . Water Su:pPlY ExPense WeUand PDpRepairs El.ectrie Power Electrical Equipll8n1i Repairs Total Water SaPPl1 Expense Produ.ctioa EXPense Power PumpiDg station Labor Fuel' )I18C. SUpplies aDd ExPenses Repairs - FuapiDg Stations, Lines & Equipll8Dt ~~~8' ' Repairs - Electrical Power WbriC8Jlw Total Pro4a.ction Expense DI..triblltiaExPenses Labor MoT.I.rig Meters w Labor Meter ])tpar......nt :B8pa1rs to Meters and Equipment Main ltlep&irs ~ D1svibutioJi Tracks IleterServiee and Bepe.i.rs Repair s.m.oes Total DJ.stribution Expense " Cauaercial and General ExPense SaJ.&ries - Aceoutiiig aild CollectiOJl Salaries -Meter 1lead1Dg and DeJiT8ry Of'tio. Supplies and Expense Pr1.D.tiDg Insl11"anoe Sales fax Travel Social Seeuri ty supt. and EJagineer Salaries Interest PaJ!1.n\~i t~,{Gi. ty Total eo.merc:ial and General Expense Depreciation ,. Total Expenses In~.ase l22lt WI (De....~a..) $ 47 4.2~ $ 468.75 t 5.47 6,918 .8'1 6,iAJ5.70 313~7 915.58 290.33 625.25 . 8.308.67 . 7,,~ ~ 9~.S9 . 13,847 el5 $ 13,204.28 $ 642.et1 1l,513.75 11,505.00 S.75 134.21 108.48 25.73 74.~ . 72fJH! ~ 654.46) .400.26 1,691.75 1,291.49) 2,9024.00 2,282.54 619.46 156.79 384.64- ( 2itl.85) .. 345.00 ( 345.(0) ~ 29.028.77 ~ 30.250.76 ~( 1.221.99) . 3,504.30 $ 5,015.00 $( 1,510.70) 4;m~0 3, 491.l2 798.88 3,600.00 15,069.os (1l,469.08) 1.,200~ - 1,200.00 2,046.6fl 1,771.39 ' 275.28 , 473J39 2,705.38 ( 2,231.49) 15,869.80 15,869 .so , . . 30.984.66 t 28.05187 ~ 2.932.~ $ 17,480.95 $ 15,519.00 $ 1,961.95 11,505.0<> 8,872.50 2,632.50 4,1$7 .00 3,738.42 448.58 3,600.00 3, ~.oo - 2,'25~ 490~3 2,434.17 . 644.55 232.04 412.51 1,39'1.7' . 959.W 438.15 1.,519.04 1,079.90 439 .l4 5,fflO.OO 5,670.00 .. 43; 200.00 19,189.60 24,O~O.40 10,000.00 10,000.00 r~:~~~ I i::~~:: $ 42..771J.O i 2.13 .00 Jl91.355.39 W3.7tt1.40 4& 47.5fJ7.99 95 Sohedu1e "2' CITY OF $~T.T~A, KANSAS WATERWORKS lEPARTUENT PLANTS AND FBOPERTY ACCOUNTS eo.Pared JaJ1\1arY 1. and Deoember 31. 1954 " m,stribution 12-31-54 1.-1..- 54 Inc.rease ,., Structures and M8J1holes $ . 30,777~28 t 3O,'Z17.28 $ .500.00 Cast Iron Mains 1,139,184.56 1,1l4, 696.53 24,.488.0.3 Hydrauts 63,3.38.17 62,8.38.1.7 500.00 Valves and Valve Bo.. 139,317~ 124;184.28 1.5.1.32.80 Stand Pipe Real Estate 60,9~36 55,569 .84 5,344~52 Meter BODS 8l1dAcc::essories 154,022.12 146,246.50 7,775.62- Sunset St8Jldpipe 94, 508..3:J. 55,705.08 38,803.23 Total Distribution iJ..682.061.8S jJ.. 589.517.68 $ 92.. 544.20 WawrSu:pp1Y Real Estate $ 6,097.50 $ 5,297.50 $ (.800.00 Pump Houses and Darriaka 24,.397.56 24,154.56 243.00 Wells 1.03,lll.7.3 8.3,262.34 19,849.39 WellGPuaps and Meters 35,163.27 35,163.27 .. Flow Lines 47,824.04 47,824.04 Total. Water StlPPl1 J 216.594.10 ~ 195~ 701.71 $ 20.892.39 II Puapil'lJr Stations Real Esta.te $ 16,532.86 $ 14,982.86 $ 1,550.00 4 Real Estate Iiaproveaenu 3;580~ 3,580.40 Pwnp..Houses and Stock 18,7SO~84 1$,750.84 - Cottage 3,069.:11 3,069.17 - ReSerToir 28,545.49 28,545.49 .. Ele otrical Meters, :Pu.mps , eto. 30,257 .28 JO, 257 .28 .. Venture Meters 6,185.44 6,185.44 Pipes and Piping 15,186.88 15,186.88 .. Water So:t1iener Plant 099,078.50 28,337.77 670,740.73 Total Pwaping Stations t 82+,187.0b t u.s. 896.33 ~672.290.7j Qener81 EcmiPll18n\ Garage and store Buildings $ 3,072.04 $ 2,282..04 t 790.00 Trucks . aiLd Gompressors 13,49:l~5' 13,491.56 .. QUoriBator 6,6S6t40 6,686~ - Laborawry Equipment 1,562.48 1,26<}.02 293.46 Furn1 ture 20,123.12 19,664.51 458.61. I- Total General. Eqc.ipment ~ j 43.393.53 $ 1..542.07 i Total All. Plants and EquiIJUnt 2' 778 _ _1..977.509.25 rt87 , 2(;f) ..39 't'