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Audit Report - 1978 BO',~I' "I DIRECTORS . " "n""", "'"'H ( "" I' S.A.LIN.A. .A.IRFOR T .A. UT:H:ORJ:rr"Y SALINA MUNICIPAL AIRPORT JOliN I s( A'il.~" h"""" v", I'""d, ", IIRI1INIIBLIII>I"("'OL'( PAI'I'I..\II (,",ml """"'" ",p"" ".".~" SAII"\ K\'iSIS ò7. ()1 February 26, lQ7~ Gentlemen: The Salina Airport Authority submits an accounting of its operations for the calendar year 1978, as reported by A. 'I. Leckbarrl and Co., it s independent Certified Public Accountants. 1978 was a very good year for the Salina Municipal Airport with increased boardings by Frontier Airlines, increased construction and increased employment at the Salina Airport Industrial Center. Tn June 1978 Frontier Airlines initiated jet service to Denver, Him-stop. This has been a very popular flight. Frontier now has three jet flights and two flights with Convair 580s. Boardings have increased from 20,437 in 1977 to 23,625 in 1978, :>.nd Frontier predicts 1979 boardings to be 28,000. FAA air operations count for 1978 was 93,569, a decrease of 12% over 1977. The decrease was caused by a decrease in general aviation operations. TI1A con- tinued to utilize the airport for training operations. Due to the increase in Frontier board~ngs and in general an increase in the activity at Salina Municipal Airport, the Salina Ai,rro: t .\uthority decided to remodel and expand the Airport Terminal Building. An arc!litect-engineer contract was negotiated with Wilson and Company, Architect and Engineers, to prepare the plans. This project will be built under Airport Qpvelopment Aid Program (ADAP). FAA will help pay for 50% of construction in pubJic use areas and the rest will have to be funded from Salina Airport Authority operating funds. The design is complete and the plans and specifications have been approved by FAA Regional Office, Kansas City, Nissouri. Bids will be opened 27 March 1979. It is hoped that construction can be completed this summer. 1 f everything turns out as planned, the Terminal will be a building \.Thich will be a credit to the community and a needed asset to the Municipal Airport. Salina Airport Authority has contracted to overlay a 2000' x 300' portion of primary Runway 17-35 with asphalt concrete in about the center of the runway. Brown and Brown Inc., have the contract and the contract price was $~,99,000.00. This is an ADAP Project, and this overlay will change the profile grade of that portion of the runway and drain the water both east and west, instead of all of the water going to the east and northeast. It is believed this will put the primary runway in good shape. A new snow plow with a 30-foot blade was received for the first major snowfall the last of December and it has proven to be a real help in maintaining the runways and ramp areas. This snow plow was obtained under an ADAP grant at a cost of $68,107.00. The FAA paid 90% of the cost. Construction continues for Tony's Pizza facility. Another 10,000 sq. it. warehouse was built by the Salina Airport Authority on warehouse row. It is being used for mixing of spices and storage. Also, Tony's Pizza are building two new buildings, a compressor building and a 65-foot high holding freezer, at the main site. This will make a good addition to the plant facility. The Authority also leased Tony's Pizza Building #394 at the east entrance to the Industrial Center. They have completely renovated and rebuilt it for a laboratory. Tt is a good looking facility. The Authority leased Builidng #382 to David Nieses d/b/a Humphry Windows and Doors. They will be manufacturing metal windows and doors. i,'lory Oil Co. leased the old World War II aqua fuel system tanks, seven tanks 25,000 gallons each, and they are using them for fertilizer storage. Port-,~-Port Midwest, a steel manufacturing plant that makes portable aircraft hangars, leased the 30,000 sq. ft. warehouse-type building vacated by Custom Metals and has a good manufacturing operation, with sales six months in advance of production. . The Salina Airport Authority, airfield facilities, and buildings have been under a planned and executed maintenance program during the past year. Two Beech aircraft hangars, Hangar #509 and Hangar #606, were reroofed and Salina Airport Authority and Beech Aircraft shared the cost of rebuilding the heating plant in the big Hangar #959. The Salina Airport Authority appreciates the cooperation it has received from all segments of the Salina community during the past year, and pledges its efforts toward continued progress in its area of responsibility. Sincerely, SALINA AIRgORT AUTHORITY ," I " ",6 /':, /'. I":',,, '-""!~"f" /,'" "',/" ! ,1../> .!\..,\,Þ :;¿..::"¡'....~ ,.~~,-..,I~,"Pt,./.("' ""...t.,,~~, Dean TinKler Chairman DT:ks SALINA AIRPORT AUTHORITY Salina, Kansas AUDIT REPORT Year 1978 A. H. LECKBAND & CO. Certified Public Accountants Accounting Bldg., 719 East Crawford Salina. Kansas 67401 SALINA AIRPORT AUTHORITY TABLE OF CONTENTS Page Auditor's Opinion 1 Financial Statements Balance Sheet Statement of Changes in Fund Balance Statement of Revenues and Expenditures Statement of Changes in Financial Position 2 3 4 5 Supplemental Schedules Comments Detailed Schedules: Operating Revenues Operating Expenditures Capital Expenditures Bonds of Indebtedness (Summary) General Obligation Bonds Building Revenue Bonds-Series 1971 Building Revenue Bonds-Series 1972 Building Revenue Bonds-Series 1973 Building Revenue Bonds-Series 1973-2 Reconcilement of Fiscal Agency Account Schedule of Investments Insurance in Force 6 7 8 9 10 11 12 13 14 15 16 17 18 A. H. LECKBAND & Co. A, H LECK[]ANO, C.P,A. EUGC,"JE 0 HARRISON, C,P,A Certified P"blic Accou'1tants ACCOUNTING BUILDING 719 EAST CRAWFORD SALINA. KANSAS 67401 M"....E"5 A"""'CAN IN5TITUT" 00' CE~T'FIED rU'LIC AccOU.,TA"B AR!:A CO"E 913 ~27.72" February 5, 1979 To the Directors Salina Airport Authority Salina, Kansas 67401 Gentlemen: We have examined the financial statements listed in the table of contents of the Salina Airport Authority, Salina, Kansas, for the year ended December 31, 1978. Our examination was made in accordance with generally accepted auditing standards and the Minimum Standard Audit Program approved by the State Municipal Accounting Board, March 19, 1976, and accordingly included such tests of the accounting records and such other auditing pro- cedures as we considered necessary in the circumstances. In our opinion, the aforementioned financial statements present fairly the financial position of the General Operating Fund of the Salina Airport Authority at December 31, 1978, and the results of its operations and the changes in its financial position for the year then ended, in co~forrnity with generally accepted accounting principles a?plied on a consistent basis. The accompanying supplemental schedules and related information listed in the table of contents are not necessary for a fair present~tion of the financial statements, but are presented as additional analytical data. This information has been subjected to the tests and other auditing pro- cedures applied in the examination of the financial statements mentioned above and, in our opinion, is fairly stated in all material respects in relation to the financial statements taken as a whole. í' . J /} / / '~'J // i / /- /l, /7 /1 -~f-\)-C "¿'f.--C:"A/...., " C-<:', A. H. LECKBAND & co. (J // ¿-A o/,-¡J...Ú Q/~ A~....J Eug~ne O. Harrison, C.P.A. in charge of and actively engaged on this audit. 1 SALINA AIRPORT AUTHORITY GENERAL OPERATING FUND BALANCE SHEET ASSETS - CURRENT ASSETS Cash in Banks Certificates of Deposit (at cost) Prepaid Bond Interest ADAP Receivable on Snow Plow TOTAL CURRENT ASSETS RESTRICTED ASSETS Certificates of Deposit (at cost): Provision for Bond Reserve Provision for Replacement and Depreciation TOTAL RESTRICTED ASSETS FIXED ASSETS (at cost) Equipment Buildings Other Improvements Land TOTAL FIXED ASSETS TOTAL ASSETS LIABILITIES :\:11) FU'!') ßAL\"ICE CURREÌ'rr LIABILITIES Payroll Deductions Bonds Payable Accrued Bond Interest Balance Due on Snow Plow TOTAL CURRENT LIABILITIES LONG-TERH LIABILITIES Bonds Payable FUND BALANCE TOTAL LIABILITIES AND FUND BALANCE December 31~ Airport Building General Revolving Revenue Operating Account Account Fund $ 29,779.05 $ 4¿~,745.27 $ 74,524.32 100,000,00 300,000.00 400,000.00 - 2,226.59 2,226.59 61,296.84 - 61,296.84 ~1,075.89 $ 346,971.86 $ 538,047.75 $ $ 21,000.00 $ 21,000.00 12,000.00 12,000.00 33,000.00 $ 33,000.00 $ $ December 31, 1977 Airport Building General Revolving Revenue Operating Account Account Fund $ 24,527.25 $ 10,398.95 $ 34,926.20 250,000,00 250,000,00 500,000.00 - 1,354.73 1 ,354 . 73 - - - $ 274,527.25 $ 261,753.68 $ 536,280.93 $ $ 21,000.00 $ 21,000,00 12,000,00 12,000.00 33,000.00 $ 33,000.00 $ $ $ 247,515.61 $ - $ 247,515,61 $ 173,483.88 $ - $ 173,483.88 651,018.52 1,987,022.43 2,638,040.95 519 ,L~81 .89 1,925,142.43 2,L,44,624.32 4{~6,530.36 - {¡46,530,36 ¿~09 ,1+63.10 - 409,463.10 478,000.00 - {¡78,000 .00 ¿~78 ,000 .00 - 478,000.00 $1,823,061+J+9 ß2.~.?, 022 Jd $3,810,086.92 $1,580,t~28.87 $1,925,142.43 $3,505,571,30 )1.~014_, 140. 3_~ ~L.~6_~994.-32. ~=-,381,--13¿~.67 §,L 85_4.._~6 .12, iL]19, 896..J:..l:. ~JJ.7{+ , 852.23 $ 1',976.10 $ - $ {¡,976,lO $ 1~,645,27 $ - $ ¿~,645,27 65,000.00 65,000.00 - 90,000.00 90,000,00 1,208.33 1,208.33 - 6,802.08 6,802.08 -_J' ,3_1.Q... ~ - - . ~L§..l.Q.:l'§' - - - ------- _.. ?,..-.!J..286.iJ6 2..__6..6.L208, 13 $ 77 ,_992.,I,! $ (',6{,S,27 $ 96...fl!)2.08 $ lOl,f'{,7,35 $ - $l,llO,QOO.OO $l>.llQ,OOO,OO $ - ~L~70 L(1()O_:,OQ $1 no 000.00 --." u_-'-- $2,002,353,52 i!:..,l2Q_,785,96 $3,193,139J+8 :71o,,-QJ,!¡,~.c'.2~]Jl$ 3c>.=L62,~9')1~3.2 ~?!L ,}JJ.L.})fLß 7 2 $1~Q.,310_Ji2 }__8.'J3..1() "~I In,~),l,n)'¡(~/"R.§. ~l ,_ll!lf,,()C~6~L~ $:.>,:'> 1<), ,II. C", "I. " , ~; '),' , } \ SALINA AIRPORT AUTHORITY GENERAL OPERATING FUND STATHIENT OF CHANGES IN FUND BALANCE FUND BALANCE-January 1 ADD January 1 to December 31, Airport Building Revolving Revenue Account Account $1,850,310.85 $ 853,094.03 FUND BALANCE-December 31 Excess of Revenues over Expenditures ~z,353.52 ~30,785.96 152~042.67 337,691.93 1978 General Operating Fund $2,703,404.88 489,734.60 il,l2.3_,139.48 3 January 1 to December 31, 1977 Airport Building General Revolving Revenue Operating Account Account Fund $1,706,849.83 $ 517,921.68 $2,224,771.51 143,461.02 335,172.35 478,633.37 ~820,310 .85 ~33 ,094 .03 112Q3,404.88 SALINA AIRPORT AUTHORITY GENERAL OPERATING FUND STATEMENT OF REVENUES AND EXPENDITURES REVENUES Operating Revenues Proceeds of Airport Program Grant Property Sales Development Aid January 1 to December 31, 1978 January 1 to December 31, 1977 Airport Building General Airpor t Building General Revolving Revenue Operating Revolving Revenue Operating Account Account Fund Account Account Fund $439,092.75 $399,143.02 $838,235.77 $364,908.38 $375,492.09 $740,400.47 69,795.02 - 69,795.02 75,356.82 - 75,356.82 - 2,500.00 2,500.00 - 31,180.00 31,180.00 $508,887.77 $401,643.02 $910,530.79 $440,265.20 $406,672.09 $846,937.29 356,845.10 63,951.09 !+20,796.19 296,804.18 71,499.74 368,303.92 illL042.67 12]7,691.93 $489,734.60 il43 ,461.02 i335,l72.35 $478,633.37 TOTAL REVENUES EXPENDITURES Operating Expenditures EXCESS OF REVENUES OVER EXPENDITURES !f SALINA AIRPORT AUTHORITY GENERAL OPERATING FUND STATn!ENT OF CHANGES IN FINANCIAL POSITION January 1 to December 31, 1978 January 1 to December 31, 1977 Airport Building General Airport Building General Revolving Revenue Operating Revolving Revenue Operating Account Account Fund Account Account Fund FUNDS ¡,ERE PROVIDED BY: Excess of Revenues over Expenditures $152,042.67 $337,691.93 $489,734.60 $143,461.02 $335,172.35 $478,633.37 TOTAL FUNDS PROVIDED $152,042.67 $337,691.93 $489,734.60 $143.461.02 ~335,172.35 $478,633,37 FUNDS WERE APPLIED TO: Acquisition of Fixed Assets $242,635.62 $ 61,880.00 $304,515.62 $215,301.10 $ 41,765,00 $257,066.10 Reduction of Long-Term Liabilities - 160,000.00 160,000.00 - 160,000.00 160,000.00 Increase in Working Capital (90,592.95) 115,811.93 25,218.98J (71,840.08) 133,407.35 61,567.27 TOTAL FUNDS APPLIED iü1,042.67 i;UL,691. 93 ~489, 734.60 lliJ,461.02 ill5,172.35 ~8,633.37 CI~NGES IN WORKING CAPITAL Current Assets-Increase (Decrease) Cash in Banks $ 5,251.80 $ 34,346.32 $ 39,598.12 $ (6,064.97) $(114,198.37 $(120,263.34 Certificates of Deposit (150,000.00) 50,000.00 (100,000.00) (65,000.00) 160,000.00 95,000.00 Due from Building Revenue Account - - - (1,109.59) - (1,109.59) Prepaid Bond Interest - 871 .86 871.86 - 1,354.73 1 , 354 .73 ADAP Receivable on Snow Plow 61,296.84 - 61,296.84 Current Liabilities-Decrease (Increase) Payroll Deductions (330.83) - (330.83) 334.48 - 334.48 Due to Airport Revolving Account - - - - 1,109.59 1,109.59 Bonds Payable - 25,000.00 25,000.00 - 65,000.00 65,000.00 Accrued Bond Interest - 5,593.75 5,593.75 - 20,141.40 20,141.40 Balance Due on Snow Plow (6,810.76) - __(~10~) - - - TOTAL INCREASE (DECREASE) .$L~.cL 5 92 . 9 5 ) lli2... 8U. 93 .$ 25,218,98 ~C71 ,840.08) .$133,407.35 .$_61.567.27 5 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: Dean Tinkler, Chairman Nathan B. Butcher, Vice-Chairman-elected April 26, 1978 W. P. Horton, Vice-Chairman until April 26, 1978 Ben Vidricksen, Secretary-Treasurer-appointed April 26, 1978 John Zimmerman, Secretary-Treasurer-resigned April 7, 1978 C. J. Wertz-term expired April 26, 1978 Joe C. Cloud-appointed April 26, 1978 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 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. 6 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 Reimbursement-airport security Miscellaneous income TOTAL OPERATING REVENUES GENERAL OPERATING FUND' OPERATING REVENUES January 1 to December 31, 1978 January 1 to December 31, 1977 Airport Building General Airport Building General Revolving Revenue Operating Revolving Revenue Operating Account Account Fund Account Account Fund $250,456.37 $307,118.67 $557,575.04 $218,114.08 $297,011.94 $515,126.02 20,094.83 12,572.99 32,667.82 7,121.25 6,946.41 14;067.66 14,03/.56 1,600.00 15,637.56 13 , 220.85 1,350.00 14,570.85 - 19,244.40 19,244.40 - 15,351.75 15,351.75 150.00 38,000.04 38,150.04 100.00 38,000.04 38,100.04 34,363.51 - 3t~,363.5l 36,543.46 - 36,543.46 89,871.86 - 89,871 .86 67,526.22 - 67,526.22 1,192.99 - 1,192.99 1,024.75 - 1,024.75 13,713.63 18,795.64 32,509.27 14,403.52 14,882.28 29,285.80 174.97 174.97 - 257.50 257.50 1,636.31 1,636.31 - 1,402.84 1,402.84 - - 10.00 - 10.00 13,656.00 - 13,656.00 5,472.00 - 5,472 .00 1,556.00 - 1,556.00 1,372.25 289.33 1,661.58 .;>!>39,092.75 lli~~3. 0 2 ,$838,235.77 $364--908.38 ~L492 .09 $740,400.47 7 SALINA AIRPORT AUTHORITY GENERAL OPERATING FUND OPERATING EXPENDITURES OFFICE AND ADP!INISTRATION Office salaries Office supplies Postage Car expense Travel expense Legal and auditing Insurance Payroll taxes Employees retirement Telephone Airport security Agricultural land expense Other office and administration TOTALS HAINTENANCE Building maintenance Runways, taxiways and ramps Equipment gas, oil and repairs Utilities Grounds maintenance, Janitor supplies J Haintenance salaries Snow removal Airfield lighting equipment Other maintenance expense TOTALS BOND AND INTEREST Bond interest expense Bond commission and postage Expense relating to bond issue TOTALS TOTAL OPERATING EXPENDITURES J !< / ' ") January 1 to December 31, 1978 Airport Building General Revolving Revenue Operating Account Account Fund $ 62; RLI4 - 00 $ 1,255.53 366.05 2,324.83 992.20 6,551.15 37 ,471 . 64 8,950.93 4,785.69 1,805.59 14,118.17 1,021.37 3,212.98 1,273.48 $145,700.13 $ 1,273.48 $ 44,197.01 $ 5,227.40 6,927,78 20,964.03 785.14 1,541.50 97,561.32 1,226.54 1,324.48 31,389.77 $211 ~lJI!I_,97 i $ $62,290.6!+ 36.97 350.00 $ $62,677 ,61 _$J5()_,8!15",lQ )Jil..22L_09 $ 62,844.00 1,255.53 366.05 2,324.83 992.20 6,551.15 37 ,1+ 71 .64 8,950.93 4,78;5.69 1,805.59 14,118,17 2,294.85 3,212.98 $146,973.61 $ M,197.01 5,227.40 6,927.78 20,964,03 785.14 1,541.50 97,561.32 1,226.54 1,32!+.48 31,389,77 $211,ItI4.97 $ 62,290.64 36.97 350.00 $ 62,677 .61 ).i20 ,296.19 8 January 1 to December 31, 1977 Airport Building General Revolving Revenue Operating Account Account Fund C; <;Q ,n!, nn T ~J,~~"~~ 844.29 289.70 1 , 851.78 706.99 5,923 .26 29,342.34 7,319.71 6,538.59 1,884.47 10,527.96 4,329.78 $128,862.87 $ 37,990.75 2,389.48 5,413.25 19,639.06 1,272.14 1,032.75 84,327 .03 102.44 1,927.42 13,846.99 $167, 9Ll1 .31 <:: y <:: "O ."v, f'\f'\ y ..JJ,..JV~.vv 702.32 844.29 289.70 1,851.78 706.99 5,923.26 29,342.34 7,319.71 6,538.59 1,884.47 10,527.96 702.32 4,329.78 $ 702.32 $129,565.19 $ $ 37,990,75 2,389.48 5,413.25 19,639.06 1,272,14 1,032.75 84,327,03 102.L14 1,927.42 13,8LI6.99 $ $167~941,31 $ - $ 70,082.29 $ 70,082.29 65.13 65,13 650.00 650.00 -- --'--- L--=-- UQ., 797 .!12 !L1Q,L727 , !12 î_296 , 804 . 18 D_l~92~1~ ,?J.('.i~,. \(J ¡,9~ J January 1 to December 31, 1978 Airport Building General Revolving. Revenue Operating Account Account Fund GENERAL OPERATING FUND CAPITAL EXPENDITlffiES EQU IPt-'lE NT 72" Mower Snow plow and carrier vehicle Engineering costs of snow plow and carrier vehicle Fire and rescue truck and related equipment Security fencing $ 5 , 213 . 60 68,107.60 710.53 TOTAL EQUIPMENT $ 74~031. 73 BUILDING IMPROVEMENTS Engineering costs of terminal expansion $ 2,168.63 Ramp cafe building 3,250.00 Warehouse-Schwan's Sales Enterprises, Inc. 126,118.00 Bldg. #260-Schwan's Sales Enterprises, Inc. Steel siding-Beechcraft Employees Club Warehouse-Schwan's Sales Enterprises, Inc. T-hangars Hangar-Nelson Aviation TOTAL BUILDING U1PROVEl>-JENTS $131~536.63 OTHER IMPROVEMENTS Engineering costs of runway paving Terminal parking lot TOTAL OTHER IMPROVEMENTS TOTAL CAPITAL EXPENDITURES $ $ 5,213.60 68,107.60 710.53 $ $ 74,031.73 $ $ 2,168.63 3,250.00 126, 118 .00 55,000.00 6,880.00 55,000.00 6,880.00 $61,880.00 $193~416.63 January 1 to December 31, 1977 Airport Building General Revolving Revenue Operating Account Account Fund $ 21,534.28 $ - $ 21,534. 28 $ - $ 15,532.98 - 15,532.98 28,238.98 - $ 37,067.26 ,$--=-- $ 37,067.26 $ 28,238.98 ~ 21!iLJ?15 . 62 J61.8~.0~ $30l~.515.62 1215.301.10 ~~7§5 .00 9 $ - $ - 988 .71 33,416.07 68,143.34 - $102,5~8.l2 $ $ $ 84,514.00 30,865.00 10,900.00 $ 84,514.00 $l~l, 765 .00 $ 988.71 33,416.07 68,143.34 $102,548.12 $ 84,514.00 30,865.00 10,900.00 $126,279.00 $ 28~238,98 $ 28,238.98 ~2c:')-l,O66, 1 ~ SALINA AIRPORT AUTHORITY BONDS OF INDEBTEDNESS December 31, 1978 Original Principal Outstanding Issue Paid Balance -- General Obligation Bonds $ 790,000.00 $ 390,000.00 $ 400,000.00 Building Revenue Bonds-Series 1971 250,000.00 180,000.00 70,000.00 Building Revenue Bonds-Series 1972 500,000.00 220,000.00 280,000.00 Build ing Revenue Bonds-Series 1973 350,000.00 150,000.00 200,000.00 Building Revenue Bonds-Series 1973 -2 350,000.00 125,000.00 225,000.00 $2,240,000.00 '$1,065,000.00 $1.175.000.00 10 SALINA AIRPORT AUTHORITY GENERAL OBLIGATION BONDS December 31, 1978 Date of Issue: Amount of Issue: Interest Rate: Haturity Date: Principal Paid: Outstanding Balance: February 1, 1967 $790,000.00 4.25, 3.375, 3.4% February 1, 1988 $390,000.00 $400,000.00 Schedule of Payments Due in Bond Bond Year Principal Interest 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 $440,000.00 $ 76.022.09 of< Paid December 30, 1978 11 SALINA AIRPORT AUTHORITY BUILDING REVENUE BONDS - SERIES 1971 December 31, 1978 Date of Issue: Amount of Issue: Interest Rate: Maturity Date: Principal Paid: Outstanding Balance: January 1, 1971 $250,000.00 5% January 1, 1981 $180,000.00 $70,000.00 Schedule of Payments Due in Year 1979 1980 1981 Bond Principal $ 30,000.00>'< 35,000.00 35,000.00 Bond Interest $ 4,250.00 2,625.00 875.00 $100.000.00 $ 7.750.00 >'< Paid December 30, 1978 12 SALINA AIRPORT AUTHORITY BUILDING REVENUE BONDS - SERIES 1972 December 31, 1978 Date of Issue: Amount of Issue: Interest Rate: Maturity Date: Principal Paid: Outstanding Balance: Schedule of Payments Due in YeJr Bond Princioal $ 40,000.00 45,000.00 45,000.00 50,000.00 50,000.00 50,000.00 1979 1980 1981 1982 1983 1984 $280.000.00 July 1, 1972 $500,000.00 4.5, 5% July 1, 1984 $220,000.00 $280,000.00 Bond Interest $ 13 ,575.00 11,775.00 9,750.00 7,500.00 5,000.00 2,500.00 $ 50,100.00 13 SALINA AIRPORT AUTHORITY BUILDING REVENUE BONDS - SERIES 1973 December 31, 1978 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 $150,000.00 $200,000.00 Schedule of Payments Due in Bond Bond Year Principal Interest 1979 $ 25,000.007( $ 11,156.25 1980 25,000.00 9,843.75 1981 25,000.00 8,531.25 1982 40,000.00 6,825.00 1983 40,000.00 4,725.00 1984 35,000.00 2,756.25 1985 35,000.00 918.75 $225,000.00 $ 44,756.25 * Paid December 30, 1978 14 SALINA AIRPORT AUTHORITY BUILDING REVENUE BONDS - SERIES 1973-2 December 31, 1978 Date of Issue: Amount of Issue: Interest Rate: Maturity Date: Principal Paid: Outstanding Balance: Schedule of Payments Due in Year 1979 1980 1981 1982 1983 1984 1985 Bond Principal $ 25,000.00 25,000.00 25,000.00 40,000.00 40,000.00 35,000.00 35,000.00 $225.000.00 December 31, 1973 $350,000.00 6, 6.5% December 1, 1985 $125,000.00 $225,000.00 Bond Interest $ 14,500.00 13 ,000.00 11,375.00 9,750.00 7,150.00 4,550.00 2,275.00 $ 62.600.00 15 SALINA AIRPORT AUTHORITY RECONCILEMENT OF FISCAL AGENCY ACCOUNT December 31, 1978 BALANCE WITH FISCAL AGENCY-January 1, 1978 RENITTA:\CES Ha tured bon"ls Interest coupons Commission and postage $40,000.00 15,581.29 36.9E: TOTAL REHITTANCES A~u BEGINNING BALANCE RETURXS Cancelled bonds Interest coupons paid Commission and postage retained $40,000.00 15,581.29 36.9E: BALANCE WITH FISCAL AGENCY-December 31, 1978 ANALYSIS OF BALANCE WITH FISCAL AGENCY December 31, 1978 General Obligation Bond General Obligation Bond Bond No. 112 113 Coupon No. 19 19 Date Due 2-1-77 2-1-77 $ 168 . 76 55,618.27 $55,787.03 55,618.27 $ 168.76 Amount $ 84.38 84.38 $ 168.76 16 SALINA AIRPORT AUTHORITY SCHEDULE OF INVESTMENTS December 31, 1978 Balance Purchases Redemptions Balance 1-1-78 Year 1978 Year 1978 12-31-78 AIRPORT REVOLVING ACCOUNT Certificates of deposit $250,000.00 $ 570,000.00 $ 720,000.00 $100,000.00 BUILDING REVENUE ACCOUNT Certificates of deposit 283,000.00 1,216,000.00 1,166,000.00 333,000.00 $533,000.00 $1,786,000.00 $1,886,000.00 $433,000.00, TOTAL- GENERAL OPERATING FUND 17 SALINA AIRPORT AUTHORITY INSURANCE IN FORCE December 31, 1978 í.Jorkmen's Compensation and Employer's Liability Type of Coverage Comprehensive General Liability Owners', .Land~ords', and Tenants'Liability Bodily injury and property damage Rental Buildings- Industrial Rental Buildings- IY.ve 11 ings Airport Terminal and Rental Buildings Vehicles 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 Medical payments Uninsured motorists Amount of Coverage Co-Insurance Percentage $ 100,000.00 5,000,000.00 1,000,000.00 558,399.00 80% 62,500.00 2,207,000.00 90'í~ 100/300,000.00 50,000.00 122,200.00 2,000.00 15/30,000.00 1b