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Audit Report - 1973 SALINA AIRPORT AUTHORITY Salina, Kansas AUDIT REPORT Year 1973 A. H. LECKBAND & CO. Certified Public Accountants Accounting Bldg., 719 East Crawford Salina, Kansas 67401 EXHIBIT A Schedule A-l Schedule A-2 Schedule A-3 EXHIBIT B Schedule B-1 Schedule B-2 Schedule B-3 Schedule B-4 Schedule B-S EXHIBIT C EXHIBIT D EXHIBIT E EXHIBIT F SALINA AIRPORT AUTHORITY TABLE OF CONTENTS Page Auditor's Report 1 Comments 2 Statement of Receipts, Disbursements, and Composition of Ending Cash Balances Operating Revenues Operating Expenditures Capital Expenditures 3 4 5 6 Bonds of Indebtedness General Obligation Bonds Building Revenue Bonds - Series 1971 Building Revenue Bonds - Series 1972 Building Revenue Bonds - Series 1973 Building Revenue Bonds - Series 1973-2 7 8 9 10 11 12 Reconcilement of Fiscal Agency Account 13 Schedule of Investments 14 Insurance in Force 15 Schedule of Audit Adjustments 16 January 31, 1974 To the Directors Salina Airport Authority Salina, Kansas 67401 Gentlemen: We have examined the financial and related general records of the Salina Airport Authority for the year ended December 31, 1973. Our examination was performed in accordance with the provisions of the Minimum Standard Audit Program approved by the State Municipal Accounting Board September 28, 1963, and subsequent amendments thereto, and included such tests as we considered necessary in the circumstances. In our opinion, the accompanying exhibits and schedules reflect the cash position of the Salina Airport Authority at December 31, 1973, and the results of its cash transactions for the year then ended. /-/ ~ /ß/c./'l:~ 7'<..[ / {:,--- CERTIFIED PUBLIC ACCOUNTANTS (() ..._~/~- Ç-/<. -.'~ Lé.- -:.c' ..~ - L /:, ",-.- -. . Eugene O. Harrision, Certified Public Accountant, Certificate No. 1401, in charge of and actively engaged on this audit. 1 COMMENTS 1. The Salina Airport Authority is governed by a board of five directors appointed by the City Commission of the City of Salina, Kansas. The following directors served during the period of our examination: C.J. Wertz, Chairman - term expired William P. Horton, Chairman Ben Vidricksen, Vice-Chairman C.F. Heath, Secretary-Treasurer W.M. Usher - resigned April 15, 1973 John L. Zimmerman Dean Tinkler April 26, 1973 2. The following officials, appointed by the Salina Airport Authority Board of Directors, served during the period of our examination: John F. Scanlan, Executive Vice-President Paul Wall, General Manager and Airport Manager 3. The Salina Airport Authority believes it is exempt from the cash basis law under the provisions of K.S.A. 10-1116 as stated in the audit reports of prior years. 4. We recommend that a determination of the values of the capital assets be recorded on the books and that a realistic depreciation charge be computed and recorded annually. 5. Two series of Building Revenue Bonds were issued in 1973. Each series was for $350,000.00. Proceeds of the second s~ries (dated December 1, 1973) were not received until January 23, 1974. $183,000.00 was borrowed from Planters State Bank & Trust Co. on December 21, 1973. Loan proceeds were used to pay for construction costs on Building 266. The loan was repaid upon receipt of the proceeds of the Building Revenue Bond Series 1973-2. 6. A Bond Reserve Account and a Replacement and Depreciation Account were established during 1971 in accordance with the Building Revenue Bond issues. The requirements and balances of these accounts are as follows: Balances required as of December 31, 1973 Actual balances as of December 31, 1973 Bond Reserve Account $9,000.00 7,000.00 Replacement and Depreciation Account $6,000.00 5,000.00 2 SALINA AIRPORT AUTHORITY GENERAL OPERATING FUND EXHIBIT A STATEMENT OF RECE IPTS LQISBUßSEMENTS, AND COMPOS ITION OF ENDING CASH BALANCES January 1 to December 31, 1973 January 1 to December 31, 1972 Airport Building General Airpor t Building General Revolving Revenue Opera ring Revolving Revenue Operating Account Account Fund Totals Account Account Fund Totals CASH AND INVESTMENTS-January 1 $164,653.74 $77,517.29 $ 242,171.03 $148,166.96 $ 89,889.28 $ 238,056.24 RECEIPTS Operating revenues-Schedule A-I $254,129.25 $328,790.54 $ 582,919.79 $199,022.08 $113,719.95 $ 312,742.03 Proceeds from sale of Building Revenue Bonds - 350,000.00 350,000.00 - 500,000.00 500,000.00 Accrued interest on sale of bonds - 2,970.20 2,970.20 - 3,896.05 3,896.05 Reimbursement of expense relating to bond issue - - - - 100.00 100.00 Loan-Planters State Bank & Trust Co. - 183,000.00 183,000.00 - - - TOTAL RECEIPTS $254,129.25 $864,760.74 $1,118,889.99 $199,022.08 $617,716.00 $ 816,738.08 RECEIPTS AND BEGINNING BALANCE $418,782.99 $942,278.03 $1,361,061.02 $347,189.04 $707,605.28 $1,054,794.32 DISBURSEMENTS Operating expenditures-Schedule A-2 $207,484.08 $122,965.44 $ 330,449.52 $182,135.30 $120,592.14 $ 302,727.44 Capital expenditures-Schedule A-3 1 , 13 6 . 90 639,050.99 640,187.89 400.00 509,495.85 509,895.85 TOTAL DISBURSEMENTS $208,620.98 $762,016.43 $ 970,637.41 $182,535.30 $630,087.99 $ 812,623.29 CASH AND INVESTMENTS-December 31 .$110.162.01 .li80.261.60 $ 390~423 .61 $164,653.74 $~7,517.29 ~2...171.03 AVAILABLE CASH AND INVESTMENTS-December 31 First National Bank and Trust Co. $ Planters State Bank and Trust Co. National Bank of America U.S. Treasury Bills Certificates of Deposit Certificates of Deposit-Bond Reserve Certificates of Deposit-Replacement and Depreciation Reserve $ 80,762.36 7,908.84 145,074.00 60,000.00 72,499.24 15,000.00 7,000.00 5,000.00 TOTAL $212,982.84 $180,261.60 DEDUCT-Amounts withheld from payroll 2,820.83 TOTAL CASH AND INVESTMENTS-December 31 $210~162.0l $180,261.60 $ 80,762.36 7,908.84 72,499.24 145,074.00 75,000.00 7,000.00 5,000.00 $ 393,244.44 2.820.83 $ 390,423.61 3 $ 2,145.20 165,000.00 $167,145.20 2,491.46 ~L64,653.74 $ 4,741.76 $ 4,741.76 - 2,145.20 11 , 77 5 .53 11,775.53 - - 55,000.00 220,000.00 3,000.00 3,000.00 3,000.00 3,000.00 $ 77,517.29 $ 244,662.49 - 2,491.46 fLn_,517.29 $ 242,171.03 SALINA AIRPORT AUTHORITY GENERAL OPERATING FUND Schedule A-I OPERATING REVENUES TOTAL OPERATING REVENUES January 1 to December 31, 1973 January 1 to December 31, 1972 Airport Building General Airport Building General Revolving Revenue Operating Revolving Revenue Operating Account Account Fund Totals Account Account Fund Totals $162,309.67 $175,626.19 $337,935.86 $148,974.48 $ 83,128.50 $232,102.98 5,365.00 5,185.00 10,550.00 5,365.00 12,703.00 18,068.00 2,665.00 1,000.00 3,665.00 2,175.00 1,000.00 3,175.00 - 10,010.00 10,010.00 - 7,700.00 7,700.00 50.00 - 50.00 50.00 - 50.00 24,059.33 - 24,059.33 21,411.34 - 21,411.34 48,814.82 - 48,814.82 12,628.45 - 12,628.45 811.68 - 811.68 931.91 - 931.91 8,640.50 8 , 507 . 13 17,147.63 7,032.25 7,377.17 14,409.42 736.94 736.94 - 759.59 759.59 127,725.28 127,725.28 - 1,051.69 1,051.69 371. 00 - 371.00 173.00 - 173 .00 1,042.25 - 1,042.25 280.65 - 280.65 $254,.12.2.. 25 §]28 .]90, 54 $582,919.79 $199,022.08 $113,719.95 §312,742.03 Building rents Agricultural land rents Other land rents Hangar rents Other rents Fixed base operator Landing fees Commissions Interest on investments Interest on sale of property Sale of property Reimbursement-FAA mowing Miscellaneous income SALINA AIRPORT AUTHORITY GENERAL OPERATING FUND Schedule A-2 OPERATING EXPENDITURES January 1 to December 31, 1973 Airport Building General Revolving Revenue Operating Account Account Fund Totals OFFICE AND ADMINISTRATION Office salaries $ 40,976.00 $ Office supplies 724.84 Postage 161.00 Car expense 2,341.76 Travel expense 665.70 Legal and auditing 5,149.25 Insurance 25,387.72 Appraisal and abstract fees - Engineering 500.00 Social security tax 4,824.92 Employees retirement 3,473.97 Telephone 1,547.46 Reimbursable charges ( .14) Airport security 3,486.69 Other office and administration 1,676.06 - TOTAL $ 90,915.23 $ 527.75 $ 40,976.00 724.84 161.00 2,341.76 665.70 5,149.25 25,387.72 527.75 500.00 4,824.92 3,473.97 1,547.46 ( .14) 3,486.69 1,676.06 527.75 $ 91,442.98 MAINTENANCE Building maintenance Runways, taxiways and ramps Equipment gas, oil and repairs Utilities Grounds maintenance Janitor supplies Maintenance salaries Snow removal Airfield lighting equipment Signs Other maintenance expense $ 9,348.29 18,671.12 4,599.97 10,725.73 7,041. 27 628.50 56,649.62 82.50 $ 975.00 $ 10,323.29 18,671.12 4,599.97 10,725.73 7,041. 27 628.50 56,649.62 82.50 50.04 8,771.81 50.04 8,771.81 TOTAL $116,568.85 $ 975.00 $117,543.85 BOND AND INTEREST Bond principal redeemed Bond interest expense Bond commission and postage Expense relating to bond issues $ $ 70,000.00 $ 70,000.00 49,850.35 49,850.35 38.40 38.40 1 , 573 . 94 1 , 573 . 94 $121,462,.69 $121,462.69 $122,965.44 $330,449.52 5 TOTAL $ TOTAL OPERATING EXPENDITURES $207,484.08 January 1 to December 31, 1972 Airport Building General Revolving Revenue Operating Account Account Fund Totals $ 39,002.00 556.21 178.67 1,941.40 720.33 3,642.27 26,316.02 94.98 4,070.33 3,175.62 1,463.18 3.34 1,366.72 $ 82,531.07 $ 6,548.45 13,245.68 2,473 .02 10,154.61 6,431.18 467.46 55,410.69 53.23 89.50 101.43 4,628.98 $ 99,604.23 $ $ $1131.. 13 5.30 $ $ 39,002.00 556.21 178.67 1,941.40 720.33 3,642.27 26,316.02 308.34 94.98 4,070.33 3,175.62 1,463.18 3.34 308.34 1,366.72 $ 308.34 $ 82,839.41 $ $ 6,548.45 13,245.68 2,473 .02 10,154.61 6,431.18 467.46 55,410.69 53.23 89.50 101.43 4,628.98 $ $ 99,604.23 $ 65,000.00 $ 65,000.00 53,118.75 53,118.75 40.31 40.31 2,124.74 2,124.74 $120,283.80 $120,283.80 $120,592.14 $302,727.44 SALINA AIRPORT AUTHORITY GENERAL OPERATING FUND CAPITAL EXPENDITURES Schedule A-3 January 1 to December 31, 1973 Airport Building General Revolving Revenue Operating Account Account Fund Totals Equipment 3M copy machine Mobile radio Building improvements Building 266 - Schwan's Sales Enterprises, Inc. Building 614 - Eldorado Industries, Inc. Building 620 - Continental Aluminum Co, Inc. Building 1021 - Rickel, Inc. Compressor - Building 673 - Salina Poultry Co. $ 670.00 466.90 TOTAL CAPITAL EXPENDITURES ~ 1,136.90 $ 182,912.93 173,682.00 89,762.16 192,693.90 $639,050.99 $ 670.00 466.90 182,912.93 173,682.00 89,762.16 192,693.90 $640,187.89 January 1 to December 31, 1972 Airport Building General Revolving Revenue Operating Account Account Fund Totals $ $ $ 507,595.85 507,595.85 - - 1,900.00 1,900.00 - - - 400.00 - 400.00 $ 400.00 ~509~495,85 i5~,895.85 SALINA AIRPORT AUTHORITY BONDS OF INDEBTEDNESS December 31, 1973 EXHIBIT B Original Principal Outstanding Issue Paid Balance General Ob liga Lion Bonds Schedule B-1 $ 790,000.00 $165,000.00 $ 625,000.00 Building Revenue Bonds - Series 1971 Schedule B-2 250,000.00 30,000.00 220,000.00 Building Revenue Bonds - Series 1972 Schedule B-3 500,000.00 35,000.00 465,000.00 Building Revenue Bonds - Series 1973 Schedule B-4 350,000.00 350,000.00 *Bui1ding Revenue Bonds - Series 1973-2 Schedule B-5 350,000.00 350,000.00 $2,240,000.00 $230,000.00 $2,010,000.00 *Proceeds of this bond issue were not received until January 23, 1974. 7 SALINA AIRPORT AUTHORITY GENERAL OBLIGATION BONDS December 31, 1973 Schedule B-1 Date of Issue: Amount of Issue: Interest Rate: Maturity Date: Principal Paid: Outstanding Balance: February 1, 1967 $790,000,00 4.25,3.375, 3.4% February 1, 1988 $165,000.00 $625,000,00 Schedule of Payments Due In Bond Bond Year Principal Interest 1974 $ 35,000,00 $ 20,559,41 1975 35,000.00 19,378.16 1976 35,000,00 18,196.91 1977 40,000.00 16,931.29 1978 40,000.00 15,581.29 1979 40,000.00 14,231.29 1980 40,000,00 12,881.29 1981 45,000.00 11,446.92 1982 45,000.00 9,928.17 1983 45,000.00 8,409.42 1984 45,000.00 6,885,00 1985 45,000.00 5,355.00 1986 45,000.00 3,825.00 1987 45,000.00 2,295.00 1988 45,000.00 765.00 $625,000.00 $166.669.15 8 SALINA AIRPORT AUTHORITY BUILDING REVENUE BONDS - Series 1971 December 31, 1973 Schedule B-2 Date of Issue: Amount of Issue: Interest Rate: Maturity Date: Principal Paid: Outstanding Balance: January L, 1971 $250,000.00 5% January 1, 1981 $ 30,000.00 $220,000.00 Schedule of Payments Due In Bond Bond Year Principal Interest 1974 $ 20,000.00 $10,500.00 1975 20,000.00 9,500.00 1976 25,000.00 8,375.00 1977 25,000.00 7,125.00 1978 30,000.00 5,750.00 1979 30,000.00 4,250.00 1980 35,000.00 2,625.00 1981 35,000.00 875.00 $220,000.00 $49.000.00 9 SALINA AIRPORT AUTHORITY BUILDING REVENUE BONDS - Series 1972 December 31, 1973 Date of Issue: Amount of Issue: Interest Rate: Maturity Date: Principal Paid: Outstanding Balance: July 1, 1972 $500,000.00 4 .5, 5/0 July 1, 1984 $ 35,000.00 $465,000.00 Schedule of Payments Due In Bond Bond Year Principal Interest 1974 $ 35,000,00 $ 21,900.00 1975 35,000,00 20,325.00 1976 35,000.00 18,750.00 1977 40,000.00 17,175.00 1978 40,000.00 15,375.00 1979 40,000.00 13 ,575.00 1980 45,000.00 11,775.00 1981 45,000.00 9,750.00 1982 50,000.00 7,500.00 1983 50,000.00 5,000,00 1984 50,000.00 2,500.00 $465,000.00 $143.625.00 Schedule B-3 10 SALINA AIRPORT AUTHORITY BUILDING REVENUE BONDS - Series 1973 December 31, 1973 Schedule B-4 Date of Issue: Amount of Issue: Interest Rate: Maturity Date: Principal Paid: Outstanding Balance: January 1, 1973 $350,000.00 5.25% February 1, 1985 $350,000,00 Schedule of Payments Due In Bond Bond Year Princ ipa1 Interest 1974 $ 25,000.00 $ 18,375.00 1975 25,000,00 17,062.50 1976 25,000.00 15,750.00 1977 25,000.00 14,437.50 1978 25,000,00 13,125.00 1979 25,000.00 11,812.50 1980 25,000,00 10,500.00 1981 25,000.00 9,187.50 1982 40,000,00 7,875.00 1983 40,000.00 5,775.00 1984 35,000.00 3,675.00 1985 35,000.00 918 .75 $350,000.00 $128,493.75 11 SALINA AIRPORT AUTHORITY BUILDING REVENUE BONDS - Series 1973-2 December 31, 1973 Schedule B-5 Date of Issue: Amount of Issue: Interest Rate: Maturity Date: Principal Paid: Outstanding Balance: December 1, 1973 $350,000.00 6, 6,5% December 1, 1985 $350,000.00 Schedule of Payments Due in Bond Bond Year Principal Interest 1974 $ 25,000.00 $ 22,000,00 1975 25,000.00 20,500.00 1976 25,000.00 19,000,00 1977 25,000.00 17,500,00 1978 25,000,00 16,000.00 1979 25,000.00 14,500.00 1980 25,000.00 13 ,000,00 1981 25,000.00 11,375.00 1982 40,000.00 9,750.00 1983 40,000.00 7,150.00 1984 35,000,00 4,550,00 1985 35,000,00 2,275.00 $350,000.00 $157,600.00 NOTE: Proceeds of this bond issue were not received until January 23, 1974. 12 SALINA AIRPORT AUTHORITY RECONCILEMENT OF FISCAL AGENCY ACCOUNT December 31, 1973 BALANCE WITH FISCAL AGENCY - January 1, 1973 REMITTANCES Matured bonds Interest coupons Commission and postage TOTAL REMITTANCES AND BEGINNING BALANCE RETURNS Cancelled bonds Interest coupons paid Commission and postage retained BALANCE WITH FISCAL AGENCY - December 31, 1973 $ 35,000.00 21,893.75 38.40 $ 35,000,00 22,399.97 38.40 EXHIB IT C $ 506.22 56,932.15 $57,438.37 57,438.37 $ 13 SALINA AIRPORT AUTHORITY SCHEDULE OF INVESTMENTS December 31, 1973 EXHIBIT D Balance 1-1-73 Purchases Year 1973 Redemptions Year 1973 Balance 12-31-73 AIRPORT REVOLVING ACCOUNT Certificates of deposit $165,000.00 $ 60,000.00 $ 165,000.00 $ 60,000.00 U.S. Treasury Bills 145,074.00 145,074.00 BUILDING REVENUE ACCOUNT Certificates of deposit 61,000.00 622,000.00 656,000.00 27,000.00 U.S. Treasury Bills 206,714.93 206, 71¿f , 93 TOTAL - GENERAL OPERATING FUND $226,000.00 $1.033,788,93 $1.027. 71¿f.93 $232,074.00 14 Workmen's Compensation and Employer's Liability Comprehensive General Liability Manufacturers' and Contractors'Liability Rental Building 266 Rental Buildings - Industrial Rental Buildings - Dwellings Airport Terminal and Rental Buildings Vehicles SALINA AIRPORT AUTHORITY INSURANCE IN FORCE December 31, 1973 Type of Coverage Fire and lightning, extended coverage, vandalism and mali- cious mischief Fire and lightning, extended coverage, vandalism and mali- cious mischief-rental value insurance Fire and lightning, extended coverage Fire and lightning, extended coverage, vandalism and mali- cious mischief Bodily injury Property damage Fire, lightning or transportation, theft, combined additional coverage EXHIBIT E Amount of Co-Insurance Coverage Percentage $ 100,000.00 5,000,000.00 1,000,000.00 1,821,500.00 301,930.00 37,000.00 1,989,000.00 90 100/300,000.00 50,000.00 15 SALINA AIRPORT AUTHORITY AIRPORT REVOLVING ACCOUNT SCHEDULE OF AUDIT ADJUSTMENTS December 31, 1973 Miscellaneous Income Building Rents To reverse correcting entry on sale of two 1959 Ford pickups. Sales proceeds were originally credited to Building Rents and the correcting entry was recorded twice. Fixed Base Operator Landing Fees To reclassify September 28, 1973, receipt from TWA which was credited to the Fixed Base Operator account in error. Debit $300.00 $872.50 EXHIB IT F Credit $300.00 $872,50 16