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Audit - 1951 CITY OF S'-L1:tf.\. KlNSAS .. , FINUnT&T. ~Rt COYeriu: the Fen". hall JanuarY 1.. 1951 to Deceaber 31.. 1251 Do.. Turner CERTIFIED pu~T.T C ACOCXJNTAN! tUT.TD. 1l:..~q Exhibit IIAII Exhibit IIBII Exhibit lie- Exhibit 11])11 Exhibit IIEII Exhibit lip Exhibit IIG. Exhibit nHIl Exhibit ItIII Exhibi t It JII Exhibit lip Exhibi t ItVt Exhibit liMO Exhibi t "NIt Exhibit "Oft Exhi.bi t Itpt Schedule II 1 It CITY OF SALINA. KANS~ !I~~! Page Numbers Comments 1..18 Summary Statement or Receipts, Disbursements, Lia~blliti&s and Balances or Cash and Investments 19 ComParison of Actual Receipts with Budget 20 ,- - - .. _. >. Statement of Expenditures ComPared with .lPPl'opriationa 21 Cash in Custody of C1 ty Treasurer 22 Investments in Custody of City Treasurer 23-24 ." - - Slmm1ary arid RecOnciliation of TaX Roll for 1950 ' sno'fiiDgTa.:tes Assessed and Oollected by the Oou.uty Treasurer and Uncollected Balances 2' Statement of Taxes Received from Oou11ty Trea.surer ShowiDg Years or Assessment and Distribution to Funds on Basis or Assessment 26 Clerk of the City Court - Statement of Receipts, Disbursements and Balances of Cash 27 Summ.ary of Police Court Records 28 Summary or Re cords of City Building Inspe ctor 29 Comparisons of Depository Bonds and Balances of Deposits 30 Fidelity Bonds in Force 31 Insurance in Force 32 Accounts Receivable 33 Statement of Bonded Indebtedness 34 Statement Showing Balances and Changes in Temporar;y Note Indebtedness During 1951 35-36 General Operating Fund, statement of Receipts, Exp=mditures, Liabili ties and Balances Yl Schedule ltl_pB General Operating Fund - Detail of Expenditures _ Waste Colleotion and Disposal Sohedule Itl_q" General Operating Fund - Detail of Expenditures _ Sewage Disposal Schedule Itl-r" General Operating Fund - Detail of Expenditures _ Street Lighting CITY OF S'ALINA, KANSAS I ! ~ ~! (Contfdo) Page NwIlber~ 55 56 57 Sehedul.e .'I-slt General Operating Fund .. Detail of Expenditures .. Traffic and Parking Control 58 Sehedule III-tit General Operating Fund .. Detail of Expenditures .. .Airport Department 59 Schedule Itl_ult General Operating Fund .. Detail of Expenditures .. S1ri mlll~ ~g Pools Schedule 1t21t Schedule 1l31t Sohedul.e It 4ft Schedule II 51t Schedule It&t Schedule -71t Schedule DSII Schedule -9ft Schedule -loa 60 Memorial Hall Fund - Receipts, Disbursements, Liabilities, and Balances 61 General and Special Improvement Fund .. Receipts, Disbursements and Balances 62 General Improvement Fund .. Receipts, Disbursements, Liabilities and Balances 6.3 Cemetery-Fund .. Receipts, Disbursements, Liabilities, and Balances 64 Public Health Nursing Fund .. Receipts, Disbursemgnts, and Ba1a.nCQs 65 66 67 Band Fund .. Receipt~l_ Disbursements ~ :Balances -~ - . Library Fund .. Receipts, Disbursements and Balances --._~_.-..--~._._..- -~~,"'~~'-'_.. - ..- --- - ----' . -'~---_.._~"- ..... - - . BindweedColl'troJ. Fund -Receipts, Disbursements, Liablli'ti6s, and Balances Trust and Agency Funds .. Receipts, Disbursements and Balances of Cash 68 69 Schedule -IOwA- Firemen's Pension Fund .. Receipts, Disbursements and Balances 70 Schedule II1O-B1t Police Relief and Pension Fund. .. Receipts, Disbursements, and Balances 71 _.. OITYOFSALINA.KANS4S 1 ! ~ ~ ! (Conttd.) Schedule Illill Industrial Deve10pnent Fund - Receipts, Disbursements, and Balances 72 Fage Numbers Schedule 111211 Bond and Interest Fund - Receipts, Disbursements and Ba.ls.nces 73 Schedule .138; Waterworks Department Fund ... Receipts, Disbursements and Balances 74-75 Schedule .14" Construction Fund - Receipts, Disbursements ami Balances 76 Schedule "'15" Material Stores ... Receipts, Disbursements and Balances 77 Schedule 1116- Veterans Housing ... Receipts, Disbursements and Balances 78 . , Schedule 1117- Cirll Def'ense Fund - Receipts~ Disbursements and Balances 79 Schedule "lSlt Street Machinery Fund ... Receipts, Disbursements: and Balances 80 Schedule .1911 Clearing Acoounts ... Receipts, Disbursements and. Balances 81 Schedule 1t2ott Cash in CuStody of' Oi. ty Treasurer and Summary Reconciliation of Bank Balances '" December 31, 1951 82 Schedule 1t2Q..Alt Outstanding Checks - December 31, 1951 83-84 Schedule 1t2111 Cash in the Custody of the Clerk of the City Cot1rt ... W. J. Broom '" De~mber 31,1951 85 Schedule 1t22- Reeoncillation or Fiscal Agency Accounts _ Outstanding Bonds and Interest Coupons 86 WATERWORKS DEFARTMENT Comments 87-91 Exhibl t · AIt Waterworks Department Fund - Balance Sheet ... December 31, 1951 Profit and Loss Statement... Year Ended December 31, 1951 -<0 ._ ... 92 93 Exhibit ItB- Schedule "III Opere:t1ngCOsts ","Year Ended December 31, 1951 with Comparison 1d th 1950 94 Schedule 1121t Plant ahd. Property Acoounts - Jazm.ary 1, 1951 and December 31, 1951 95 $e)i"8, Kansas ~ 24, 1952 -To The Jlqor and The Board of City Comd.ssloners Salina, Kansas. GentleaeJu Pursuant to year instructions we haft _de an audit of the books aDd recorda of the C1 ty ot Sel i l'Ia, lanaas COV'ering the year ended December 31, 1951. and now subld. t our report thereon. A separate section at the back ot this report presents comments, exhibits and schedules cO'leriDg the operatiDg results of the Waterworks Department during the year UDder reviewo BcmE OF fHE .ltJDIi The aud1 t was perfo1'll8d b accordanoe with the general and specit:lc requirements of the 18"t.. Standard Audit Program approved by the State lIuD1c1pal ACCCRtDting Board, November 31, 1935, and a8 revised 1949, and included aD. eT8l11i~at1on of the 1'8arods of all City Otfioeo aDd Officers exeept the JIun1c11*l Band Board, the JUblic Libl"a1'7 Board and the JUbU.c lfurs1rJg Association, which Boards receive moDeY appropriated by the Citr bo.t have exclusive control over the disbarsements of both the amounts appropriated to them by the City and other monel wl11ch thel ~ 1'8oe1ve. lre were not authorized to audit their activities and DO report 1s beiDg rendered on them. ~ CDfBIQ:li The following COIIIlents are presented for ,~ intonation; SUL4MARY STATEMENT OF RECEIPl'S. DI~.MENTS. IJ~RIL11'IES ~ R.& TllITOES OF CASH AND INVES'1'MENrS - EIHIIg:1' "A" Tbia eXh1b1 t shows fUnd ce.ah and UDenC\1llbered balances at the beg1rmjng and end of the )"ear together with receipts and Budget Charges, dur1Dg the year. The OOIIlposi tion .t the total 1\mds in . the hands of .l;be Ci t1 Treasurer are presented at the foot of the exhibit. The cash receipts and disbursements together 1I1th the Decellber 3~, ~9'~ bank balances are shown in Exhibit _])II. The detai.l of iDcreaMa and decreases in the Fund Inftstment Accounts are gi"f'8D in Exhibit ilEa. ~MPABISON OF AClUAL BECEIPlS nTH BUOOEi' - EXHIlQ:1~ liB" This exhibit presents a cOIlpar!son of actual receipta with the anticipated receipts for each fund together with 8JIl0Wlts ot exceas or deticienq in receipts as collpe,red with the budget. Actual re,ceipta ..re Ilore than anUc1pated receipts by $44.382.67. STI3EMENT OF EXPENDITURES OOIIPARED lQJ'H jJ'IlR()pFJ aTIORS _ J:YH]'Blf'.. (J' Th1a statement aeta' forth the diabursell8llta oharge4 against each fund and cGIlpar1son 1I1th the ~9Sl Budget figures. ~BIT aDIt . > Exhibit -Da shows a Reoonc1lement of the l.eoeipl;a, Disbursements, aDd Ralanoea ot the Git)" Treasurer. SCEElXJlU. ~ !O19 nGUJ~Y.E The" schedules .ettorth the detailed re,ceipt8, ~t Obarges aDd begillw>>g and ending balances b7 fUnds tor the)"earWlder audit. .& coapar1son ot actual receipts aDd Budget charges with BuGge'tar7 8JIOW1t8 is shown tor all tands included in the Budget. .'3 Salaries paid to officers and regular ..ployees dur1ng the year 1951 were tound to be in accordance 1d.th the rates specified by ordinances and the lbd. tations prescribed by the Statutes. GEHER&L OPERATING FUND . SCIjEOOIE -1- and ~.. to -l-u. Disbursements or the General Operating Fund iDcreased by 14J.,252.22. The 1951 Consolidated Fund receipts were not classified under the various departments used in 1951. The tollowing ~ compares the variou.s General O)lerat1ng FuDd departmental Disbursements tor the 19511d.th those ~or the preceec1.iDg ,..ar 8S nearly' as possible allowing for changes II&de in aD8.lJ'siso 1m 99D8~dated Funds General Flm.d8 '......,..,strative and Finance $ 35,939.59 Qity Court, Department 8,2(11.88 Polio. Depe.rtillent 92,409.00 BniJdiJ1g Department 8,855.71 EDgineering Depe.rtaent 17,6l2.59 IWJt Inspection Health Dept. 6,923.24 Legal Department 5,558.18 ParkiDg lleter DePartment 15,325023 Gerbe.ge and Rubbish Be.oval Depto 8?,802.64 SelflP Disposal Fund ,26, 6J.a 008 , Fire DePJ,1"teent 106,290.6.4- Park DeJV1;ment 43, 365.'rl Water, Light, Beat & Power Fund 22,8.37.10 tirpert Fund, 3,516.68 ~et, Alley aDd Sewer i\md 78,636.34 Puh110 H~alth m:6f11 ;60"".,' , Total. . J ==_ 50~ ~ .' 1950 Bud8et GhllNeI t 43,699.43 6,915.89 84,034.68 4,99'l.lO 1'1,564.52 10,741025 5,666072 26,898 .:zl 82,678020 17,249.33 91, SS'l.s2 36,965.ll 28,86.108'1 3,2'78.38 72,114098 - tS33.253.55 Increase (Decre,S6 ) $(7,759.84) 1,291.99 8,374.32 3,858.61 48.(f1 (3,818 e01l ( 108.54 (11,5'73.04 5,124.44- 9,368.75 14,702.82 6,400.16 (6,024.77) 238.30 6,521036 ~:~:~ 4 During the ,-ear the Gity collected $29,.305.15 f'rom lioenses, tees and permits, an ct.cresse ot $4,070.84 under the, amount colleoted in 19500 Schedule .]....A., pres.nts the classification ot the Yarious tees, licenses aDd permits aDd COJllpares t.h8. to the badgetary es1;1maws. ' Franchise Ordinances in .tlect during the 19&r _re e:q.i ~d. In .ach case receipts were tound to be in accordance with 'the.ord1manoes aDd franchise agree.nu. The aIlO1lD.t due trom the laDsas Power and Light Coml'alO' for the last nine IlOntha ot 1951 amounting to $9,382.27 tor Gas aDd $26,454.26 tor Electric hanohis. were :N09i...ed b)r the tit,- in Apr1l1952. This reoel.....n. is shown in Exhibit lIE... Pollee Court lines aDd J'orteitures in, the aIlOWlt ot 125,531.00 weN iaposed dur1Dg the 78U. Thia represents a d.erease or tlt908e28. under 1;be PJ;-.oe9dlllg ;year. j, statemnt prepared from 1;he Police Coart reoords 18 submitted in Exhibit ~IR, all btlt 12,132.25 of'195.1, t:l.Des weN settled dur1Dg the ;yearo Distribution of tbeC1garette Tax was ohe0k8d in the Clount;r !re&8U1'er'8 reoorda. Reee1pt;a ot City Court 008. aDd tees UIOWl'Md to $3,'148004 aDd were traoed W the reoords ot the City CoGn aa shown in Exbib1t "P. GENERAL 0fUA.fDlG FmfD lBPARDEIl!V. DT~~MElllS !he d.w.ued ctePartMnial expenses are cOapS,nd with the budget estillates in Sehe4ul. al_BR and turther a.na.lTa1a 1s shown ill Sohedulea -1-& to 14-., Jll pqIl8n'ts were WaGed to the related warraats aDd aU TOOcherfl ..ere e:r.m11Qcl aDd over 10% in ..bar aDd over JO% 111 UlOWlt, ot 1ihe d1abu.n.II8IlU were eompe.red with the Touchers. "-0 1rreplarit.1.. were tound. 5 JIEMOBIAL H'IT.T. FUND ... samOOIE .28 A oaparison or the 1951 Rental and Concession receipts with those ot 1950 is shown below. 1950 Rental and Concession 1951 Ren~ aDd Concession 51 Decrease trom 1950 $5,)35.5S 4.436.3, j 899020 mr.t~T. FUND IN LDiZ OF BOHDS - SCHEOOIE 8). This f'tmd as oreated in 1946 with the purpose ot levying ourrentl7 for the C1 t,.. s Share of Improvements made instead ot issueing boDds there~or. Io Isv,- was _de tor 1951. All receipts were trom deliaquent Ad Valorem Taxes and no disburs..ents were 11&<18 in 19510 Orad! ts are BOW made to DThe General and Spec1al Iaprovement Fund". GENERAL IMPROVEJ4ENTS FUND - s~m 84ft The income boom this Fund consists of taxes. All tax Receipts were coJ.1tiri1ed by inspection ot a.:..Hl'tA Oountyts records. GEl4E':TERY FOND - SOHEDUIE 85" Verification of Lot and Spaee Sales was _de f'rOll1 the Deed Stubs aDd checked to the receipts record. 'fhe Burial Record was exaained. .All Transactions appeared to be in order 0 PUBLIC RRAT11'H NURSIOO ijJND - SOBEOOIE 86- All noslpta' in this 1\md are trOll Taxes ~ all disbursements , , were _de to the Salima P\1.blie Health Hursiag Assoo1atiouo BAND FUND .. SaIEDtJIE 87. Taxes are the oDl1' receipts reoorded in this f'uncl and all disbursements are aade to the Sa')"" JIIm1cipalBand Board. TtTARARY FOND .. SCHEOO!EDS. Taxes C01Ilpr1se~ ,the' oDly receipts to ~. f'uncl and all d1sbnrsements were _de to the !'ree Publ1c L1~~ BGard ot SaliDa, Kansas. ,BI~~OONrROL :mm - ~OHEOOIE ,.9. ... J-.,,>' ~,'_e..:..~,. _._,""':-#'L.~. :'.' -+.. _,:'....;:.~_..~: " ~,.:-.:.~... ,-"l .w. fransactions' in this tand apPeared to.bitj.n order. 6 ~IWST AND AGENCY FUNDS _ SGHF;OOLE -l()lf stateIMuta ot receipts, disbursements aDd balances of cash for all Trust and Agenoy Fuuds are included seParate17 under the above l:lchedul$e SupportiDg Schedules "10-.\" and -1Q...B1t set forth OOl1lParison of Cash Receipts and Disbursements with Budget Estimates for the Firements Pensiou Fund and the PolieelllEln~s Relief and Pension Flmd respeotive1:r. During ~951 the F11"UleUfs Relief Fund received ~nts to Insurance Retunds in the amount of $S~642059 tor the year ~9Sl, an deONase over 1950 of $344035. The classit1eation of the Tarious receipts and disbursements of the Trust and Agency Funds is set forth in a selt..e%planatory manner and it 1s tel t no turther OOII8ants thereon aft Deeded. p.._?Ottoul!:.r G.ttent1on is called to the f'aot that the balance ot the , . , Polloe Relief' and Pension Fund as shown on Schedule "10....\" 1M UDder $10,000.00 by $2,620.4.30 IHOOSTRT &L DEVElOPMENT FUND .. SCHF.OOIE -11- There 1I9N no receipts dUring 1951 and author1z.a di8bw~sements in the amount at $4,260.00 were made duriDg 1951. BOND AND INTEREST ]UlfD - ScmmrrR "12- Receipts of' this Fund include Ad Valorem faxes levied f'or the Pa1Jient and pr1nci~ and interest as generaJ. bolld issues aDd for the Pa1JBent of prinCipal aDd iDterest on the O1tyts share of' Speoial Ia~aent Bond Issues. fhe prooeeds of' special assessment taxes assessed against propert;y owners tor the owner's share of the cost of' special 1lIlproveaents are also include<i in the receipts of' this taDd. w.&r.E1MOmcs DEPARTMENT ..srnmmLE -+3- !his schedule shows a 8wnmar.r ot the reCeipts aDd, disbursements of the Waterworks DePartJDeDt, which cleared through the City Treasurer during the year. The balanoe shown at the eDd' of the 78ar consists of cash 01117 and '1 does not Inolude investments owned by the Waterworks Department.. Thes. investments are listed in detail. on Exhibit iii.. Additional COIDDlellts, exhibits aDd schedules pertaining ent1rel1' to the Waterworks Department are subdtted in a separate seotion at the back or this report. It should be noted that collections by the Waterworks Departaent 011 December 31, 19'1 aIlountiDg t. $247.2118 not refiected in this tunc1 or on &D1' ot the other :Fund records at the cloee ot the year. The Cash Fund ot $700.00 Minta1r1ed i.s shown in the City Clerkl8 Records 0 J. 8UIIlIIa1"Y ot the Waterworks Department's cash and innstments a1; Deeeabel' J1, 1951la uown be10wa Cash in Water Retund Acooun\ Cash in the custody ot the City TN4surer - Q~nl. Investments in the custody' ot the City Treasurer Cash fund aaiJatained in the Waterworks Department OftiOl ~~ 172076 126,040.17 US,714.55 Total Cash and Investments' mNSTRUC'l'ION FUND - SCSJEmTR .1.4- The Various Construotion :Projeots accounts are grouped UDder this 700000 1245,627 ... schedule and the reoelpts, disbursements and be.lanoas ot each construction projeot account as well as the total rece1pts, disbursements and balances ot all construotion proJeot aocounts are shown therein. BRIDGE OR STREET BUImI~ nCHTNERY AND EQUIPMEItT FOND. sGliEOOIE IIW TraDaters ot 116, OOO~OO were Ilade to this fond during 1951 and 19,905.00 was spent tor lIaohine1"7e GJJi:AlWlJ ACOOUNTS. SGBEOOIE al9W A Grou.pi:ag Fund tor ail. ooJieotion 'accounts, labeled .Clearing'l was established. Inoome tax, Social Security TaX, aDd Sales Tax Collections, BoDd Depos1ts, and Receipts reoe1Yed in &dYaDoe, are all iDoludeel under this oategol'Yt See Scheduleal<Jl'. 8 ~~ IN THE OOsroDY OF THE CITY TREASuRER .. EXHTBIl' -J)W Under this Exhibit is shown a S'WIIIIIar7 statell8nt of the Treasurerts Cash .1 a"oe at the beg1l'ln:1Qg of the year, the receipts and d1sbtirsements clearing the treasurer1s BaDk A.ccounts during the J'8ar, aDd the, freaaurerts Cash Balanoe at the close or the Tear. Schedua -2Q1t shows the reoono1l1at1on or the BaDk Balan.. 00Dtiraed to us by the depositories with the Dece.ber 31. 1951 'hAlauC88 on the Tr.&8lJNrc. books. A. 11st ot the OutataJ"d:tog Gheus at 'that date, 1a ..t torth in Scb.aclule -2O..l-. In accordance with the GUatOJla17 PE'ooedure, tho C11;J'l.J Beob aDd Records were DOt closed untU a tell' dqs after the close or the )War in ord8Z' that all receipts and disbursements applicable to 'the year 1951ld.ght be enwred. The 1952 deposits shewn on 1ih1.s reconc1l1ation (Schedule -2(11) oonsuted of oollections applioabJ.e to the year 19SJ.. I!IVE.<f'I'ImN'.l'S IN aJS'l'ODY OF THE CITY rRE~~ .. ,mlIBIr ,lip !his Exhibit sets torth ade.or1pt1on ot the inwstmanta 1a tho Oaa~ or the O1V Treasurer as at the b$gi""ing aDd closing dates ot the audi t pariod together with details of the ahaDge in itma.tmsnta ch1r1Dg tho periedo Izmtstments in the oustodT ot the Treasurer Oil, Mq 11, .1952 "Z'8 YerUiN b7 1nspect!OIl and ehanps therein duriDg the period from Deoe.bar 31, 19'1 to IIa7 ~'1, 1952 WN Ter1t:led by 118. Interest o.pou on Bona were P1'oper17 a~ted tor aDd the hcoae tr_ 1nve8tmente eOUeoW<< duriDg th&' period ft8 boaoed into the l'eaor4a ot cuh received. %AX. fhe01~.share ot the 195Q taX.. coUeotecl b7 the Ooanv Treasurer _s Waoed into the Tanou Oit,y of ~H~a' J.953. had Tax I.coouau -.11l1ia1oed em the Neords ot the Sa.11aaCoant,yTre~r. 9 Frca the recorda Ilaintaiaed b7 the Count,. Treasurer and without a detaUed .Y9-.:Jft8.'tiOn, it appeared that the Ooanty had distributed to the City it. share ot ~950 Tax La.,.,. Collections together with Collections duriDg the year on Taxes ....sessed in prior periods, aDd that the.e d1atr1bu.t1oaa weN _de to the Ci V on the basis ot the tax 1nies for the ,years 1a which the oollected fpes wer. levied. It ft. datel"llliMd tJaat the City credited reoeipg boom the County Treasurer to the City I'm1ds OD the ... bas1s. The COQJ1ty Tnaau.r.rts allocati0D8 OD. Sal.es Tax 1"8s:1&1. to the OiV appeared to be in aooordaDoe with the statutes. SUIIMARY J.ND REOONOII.TI'l'TOIl OF 1950 rAl R9LL ~~!D ",~., T.mS ~cNren ANDCOWC'l'ED BY THE "OOmm'TllE"~D OJ) UXOOT.TRG'lEl)B&t.lNl1i'.$ .. EXHIBIT -,. fh18 .Dib1t sets forth the. origiD&l. \ax roll appl1oab1. to the City ~ &.11_, as oertit1ecl by the Gowlty Clerk to the State Tax oo-.1ssiOll, is adjusted tor add1t.1ons to the tax roll, taxes rettmded b7 the County, aDd taxes remitted to the City, tor the purpose of cieve1op1ng the UlOWlta of 1950 tex.. a.....ed but aot colle.ted b1 the City. S'l'&'I'IlIiF.N'.r OF 'I'A~ RECEIVED FBOI4 '!'HE ooqTY T~ IHCMDIG WRREft AND DEIJ:tqiElT TlnR AND DmrR:r~IQIf ,,1'0' JUrm'I ON 'A1~g"OF'~~'" ""ExRYRn- -ate This stateJ;Wua\ show. the total aiaoat.tt~.' reoe1nd b.Y the Gi:tJ dur1Dg the 7ear 1951 and the ,.ars ill which auchtaxes were 1eYied b1 the G:1 V 0 The allocat1ou to the Ci t,. Fwads is be.ed on the tax ln7 tor tM 78&rS 1a wbioh. 'the ool1e~d tax.. _~ 1e'r1ect. IncJ.u4ed 111 this eXhibit 18 aD aDalysis ot del1aqueat, aarr8nt, taDgih1e andiDtaDc1ble .taxea reoe1w4. The iDdiri.dualf'amd .ta__uu or reoe~pU, disOuraell8nts aDd balanoea of oash ror, tax le"t'J1Dg twada, Sohech11ea -1- to ,-12-, iDclua1ve, shows the total Ad Valorea Taxes reoeiwd b7 eaoh tax 1.e'97iDg ,t'wado 10 SOIIU&>>V OF A.OOOtJ.NTltG PROg4l~R ~ VERU'IQfTIOJf OF RECEIPTs DD' DygJmlSF,WNm QFCITI ~RK AKQ ,,*fi tREASURER ReoeiJJta I The Direotor ot Finance aDd Clerk are the principal collecting and acoount1Dg ottioerso Allite.. of cash received, exoept taxes aDd ~queJ1t eolleot.1.cms re08ived d1rect:!.y b7 the C1~ Treasurer, are ~8ndled first b7 the Director of FiDance. The C1V Clerk aDd Q1t,y Treasurer are prot"ided with atendard tr.lp11oate reGe1pt tOl"lBS J1UIlbered by the priDter and a reoeipi; is issued tor each iJJ41y1dl,..l ooJ.lect1on _de by these ottioers. Dur1Dg DeOhlber chpce waa IIaCle troll the oJ.d bauD! book to the 1008e aach1M Receipts. The Director ot FiDuoe deposita collectiODS made 'through his ottice OD the average of eft17 two or three da1"s, aDd a te.t check of b1s recorda 1Dd1cate that his colleotioDS were made intact. and pr_~. The City Treasurer reports each of his eol1eot1ou s.parato17 .... the Clerk &Del such coJ.lectioDS are recorded on the Clerkts cash receipts re.-rd. The City Clerkts records, indicated that the CiV Treasurer had Pl"OJDP'Ii11 deposited all 8UIIS ot 1lO11e7 CCIIIbg into his banda. Duplicate of re081pta issued dur1Dg the audit period b7 the CiV Clerk aDd O:I.t,. Treasurer were traeed into the Clerkfs reoerd ot cash reelina &Dd the -.theaat1oa1 acCUl'&C)"' ot that reoorcl waa ....r1t1ecl. The auditor aonUll1Hd'the raDd ~a1t1cat1oa of the receipts .. allown OD the Olerkte caah reoOrd, tor Ter1t1cat1on ot tuDd d18tr1but1OD aud the c1aaa1t1oat1oJ1 of reoeipts within the ttm48wu .....st...cb.eobd. IOlltblJ totala ot tUDd reoa1pta weN traced :rrom the reeeipts record into the fund ledgero The entries in 'the oash reoe1ptareoord were aleo teat-ehec:ked iBto the receipts ans.l7sis record, and that reoord was tested as to acoaraq of totals. Records of J.1oeDM8:l.aSUed aDd other tQIlabl.e ev1~nce of caah reee1wd were also traoed iDto theC1.eJ'kCa eaah book. The co1lect:1eD8 ot the Dire.tor ofn... were tracecl btO the Tre~. BaDk .lCoouDta; II Collections of the Treasurer were also traced into his various bank accounts. The three 10081 banks were approved as depositories by the Goverlling body on June 19th, 1933. No cash was on hand in the office ,!f the City Clerk ~t .r~ry 1, 1952 since all cash received was deposited intacto All 1952 deposits upplicab1e to the year 1951 were entered on the books as at December 31., 1951. Certain COllections, made in 1951 were applicable to the year 1952 and arEI shown in a seParate fund called 1952 receipts Paid in advance, and are includ.ed in .C1earing Accounts"o Disbursements: All claim vouchers Paid during the year were examined and test checks of postings and extensione were madeo Claim Vouchers were test traced into the C1erkfs ordinance registers, and the fund distributions were all checked to the Ledger Sheets. The mathematical accuracy or the City Clerkts warrant registers wre proven and the fund totals of each appropriation ordinance were traced into the fund ledger. Fostings were test-checked from the Clerkt s warrant register to the disbursements analysis record eL.nd that record was test...cheeked to" accuracy or totals. The City used a warrant form tor making disbursements, which becomes a check on being aigned by the City Treasurer. The Treasurer uses a rubber stamp taosimile ot his signature for this purpose. All checks cancelled during the. year were exami1ledand traced to t~e ap~epr1ation ordinance record. Fund Led.zer: The C1 ty maintains separate fund accounts :for the lC8.sh and investments of each City Fund. Postings to the Fund Ledger were tr~lced from their source into the Fund Ledger, and the Mathelllatical_ accuracy or the Ledger was proven. Fund Ledger Balances were computed and a total balance was abstracted :trom that record. Treasurer's Records: The Treasurer's reoord of checks issued, and deposits made, and bank balances is maintained by a bo~eeper in the ortice ot the City Clerk, as a duplicate of the City C1erkts reoordo 12 nT1!':p1 OF fl!E CITJ ~ ~A~NT OJ: REQUftS. DISBUB;mJllE~ DD B~T.&N(ES 0" CASH .. F.XH1Rr~ ... , . fh18 exh1b1 t seta torth. the cash balanoes 1n the CllStody of the Clerk of the City Court, at the beginn1ng and end of the audit perl.od together with receipts and disbursements during the rear 1951. These figures were taken 11'OIIl the records ot the O.lerk of the O1t7 Court. .&. OClIl~lSon of tees on hand and cash balances as elf December 31, 1951, ia shown at the toot of the statement. .ll1st of the indiv1dua1 case balances ,.t....,;/ are not set forth :lD this report, sinoe it is a part of the CJ.erkts pe1'llaDent neordB, and 1I8.S Teritied to the Case Ledgera. RecOI1eiliation of the Cl.erk of the City Goart Gash balanoes at the FaI'Ilert. National Bank, Salina, laDsas, 1s shown on Sched.u.H -23-. Cancelled checks were U'e"i fWd tor signature and endorsement. The Clerk of the C1 t7 Coar1; maintains a record of caah received aDd disbursed, a ledger of cases and monthJ.y reconc1l1at1on of case balances with the CCUlh balanoe80 Ver1tication was IDade by coapar:Lson of cancelled ebecks 111 th disbursements as recorded, by proof or aonthl3' Peatings by addition, by' OOIIlpe.r1son of dupl1cate reoeipta to the receipt record, and CIlOlBpar1son ot such total. with daunts recorded and br test-check of indiv1dualiteDlS to the 8I10\111t recorded, by Ter1t1cation trell the records or reporta of City and County Off'1cd.als as t. amounts &hen Paid to theIlt by te8~eeking of itell8 of reoeipts aDd 41sbarsell.ent& to the Dockets aDd to the Case lAtdgers. !he l)etaU of Gase Balanoes shows 110.62 le.. total. than the amount of cash on haDd~ ~(E . 00UR1' ,J'DES AID FO~ A Police Set.ant acta as colle ctions otf'1oer tor the Judge of the Pollee Coai-t'. Entries on'the Pollee 'bl.otter show 'the 8Iltnmt of 'the .lppearanoe Bend deposited; fiDe taposed or other depoaition of the case, fiDe ~ collected or I*1db7 work, aDd other lDf01'l1a.t1on ,r.gard1Dg the....o :Beceipt8 for fiMs 13 paid are lssud from a duplieate receipt book, the duplicate being rete.i.Md tor all except still tratf'1e violations, which are entered in total each da70 These totals were test-checked by addition ot tickets. Cash, a8 received., in fiRes and Bond Forteitures, :i.8 placed in mmbered ... envelopes which are aOCWll\1lated until the end of each Blotter Page, when these eDftlopes together with other "JI'I"'I"17 DUIlbered case envelope. cont-in",,! tiue, workout, parole, dismissal endence, are 't1u'Ded oyer te the Police Judge who reconoUes the cash and other items with b1.s docket recorda aDd preparea an aDal7sie thereot which he .w.its to the G1ty Clerk together with the caah receivecl. SUll fratt10 F1M. are turDed oyer dail7. the anal.7e1a of fines 1apoeed tor the ,-ear 195~ &ail prepared and nJaitted b7 the Police Department to the City llenager, was verified aM found corr.ot. Quarterly reports tiled were correct. The cash aDal7s1s of cash received by the Pollee Department wast likewise, fQ\1Dd correct as su1altted. StJMII&lQ: OF POLICE oow.t RE~~. EDITRI! -.c Th1e exhibit now the J8.D\1al7 1, ad December 31, 1951 balances of UDOOllected ftBes b7 the tollowing 18&rs - 1946, 1947, 1948, 1949, and 1950" together with the 1ts1 _11eot10DS, paroles, workoa.ts aDd cliSlll1esals for each )'ear and gronp or ,-ears. Ver1t1eat1on was _de b7 test additions ot the duplicate reoeiptf for sneral _the and cePari80D with oash reported &I1d pd4ejlo the ct"" Clerk, tor all months. Tests were llade f'rclIl duplicate receipts to the ellftlepes aDd trca ellft10pes 'to the Pollee Blotter. Pap.~oot1Dgs of tbeJwigea Blotter . . was prcwen aod ooapared with the page ~ tor each month. fests ot aonthl,y tiDes aDd oellect1ons was Il8.de fer the 78&r 1951 trom the Blotter aDd ocapared with those reported to the City Glerk aDd CI:t;y 1I8~eger. ..my OF 'THE RE~@SOFTHECfP: BUILDD<<a DlSPEyi'OR.. lmn'RIT~t1. ~ .Th18exhibit .ho. aciasa1t1cati~ or'the,cell.cti....~' by 1;be 14 gn11dil\g Inspector together with the reJD1ttances _de to the m.t7 Clerk d\lriDg the period !rea J&m1&1"7 1, to DeCSllber 31, 1951. Cash re oeiTed trClll the oollection of fees and issuance of pe1"Si 1;& &8 shown b7 the duplicate receipts, were traced into the Register of Colleotions -.inte'~ in the Bulld1ng Inapectorts orn.ee, and trC8 that Register to the JIlOl'1th.17 reports aDd reJd.ttances to the O1t7 Glerk. Fees oharges appear to be in accordanoe with the rates se~ b7 ordiDaJloes. 09'erPf11JlfJnt was _de in the amount of $ .13. ptPARlMU OF DEfOSITORY BONW AND BIT.l!iCES OF ~T .. F.'IlfTBrl' -)tit Th18 .tate_nt OOI1pareS the balances on deposit as at ])eonaber 31, 1951 with the amounts of depos1to1"1 bonds pledged b7 the baDks as collateral to assure the paym8Dt of 'these depositso The local banks have pledged United S1iate8 Goveruaent or Kansas llun1c1pal Bonds as collateral tor deposit ot plblic JIlone78 . the Governing Body does not appro.e deposito17 bondi, a8 required under sect.ion 13-2107 of 1943 Suppl8llent. It was ascertained that depos1to17 bonds pledged by baDk8 tiel adequate17 secure the deposits as at December 31, 1951, and it appeared that deposits were adeqaate~ secured at all 1;iMs dur1Dg the ,.ar 0 '.nl'd~Poaito1"7 bonds were conf'1raeel by correspondence with baDb holdi"€ .... for sateke.p1Dg. [Dlj:LI!I BONDS IN FORCE · l!fHTBI!c.~" flMliV Bonds in Force a8 of December 31, 1951 &8 detailed UDder the ezidb1t _N 1Dape~d aDd checked to the ,status aDd 1948 reneed ~8 ,,:-' - - te dete1'l\iDe that nch bonds meet atatuto17 requirements a8 to tJP8, aIlOU' and apprOYal. .Ill Fidelity Bonds except those of the Olerk or the City Coart and the Jlarshali of the City Court are in oastocl7 of the Gi V GJ.erk aDd Direct.. of nD8"<l8o !"11e bonds of the Olerk Df'the C1t7 Goart and the Marshall of the Ci t7 Oourt are in custody of the'Co\mt7 Olerka.ls~OY1dedtor' UDder 20..1420 15 a.tId 2Cw204 and 205 c. E. 1935. The bODda ot the Clerk of the QltJ' Court and the 1la.r8hall of the Ci 1;7 Court are drawn in taYor or the State of Xanaaa rather than in fanr of the Ci t1 of Sa] i fta. All other. fidelity bondll were drawn in tavor of the City of ~ 11"e. The liability ot SUrety OoIlpaD1e. on all fidel! ty bonds was CODt1ztaed b7 oorrespoDdenoe 111 th the Home Oftiee of the Surety QoapaDies, and it was a.certa.1.Md that each of t:Hse GOIIlpamee was authorized to do business in the state of tc81'S8S. IliStJRlNCE IN FORCE .. EXHIBIT "lP Thi8 exhibit presents a 8UIIII8.r1 statement of the IDSUraDoe coverage on the var10u properties owud by the 01 ty together with the type of IDsuranOl thereon. Policies are issued, in IlOst instances, to cover . period of either three or tift years. The properties listed 1U1der the headiDg of Ci 1;y Bu11diDgs and Properties with a total COYerage of $195~140.00 are 1.JlBund by a group of 21 CQIlpaDies with each poliO)' badDg a ninety percent co-insuranoe clause. The Memorial Hall Building and contents are insured by a group of 2~ coapan!es tor $231.000.00. Each of the polloies in this group contains a niDety percent oo-illS\1.r&l108 clauaeo J.irport and Sewage B\1' J d1l'\g Policies carry 80% Oo.dnsuranoe. Insurance COY8rage on other properties not inaluded, in the above grou.pe aDd other VJles ot protection are listed UDd.er separa'te17. IDsVUOl conrage perta:f fti "€ to the waterworka depar1;llent is shown ..parate~ on a sohedu1e 1a the latter })ar1; of this report also. It _s ~tend.Ded that all iDsuranee ,COIlpaDie. writing 1nsuranoe on the O1.tyt. property were authorized 1;0 do busiDess ill the State of lansas. ~!l1'SRECEIVABIE- lffiITRIT ".~ Jaoa.nts due to the ~_. f'Unds of the City as at Deoellber 31, 1951 as d.tel'ldied b7 cur Up11".-tiOll are shOD on this exb1bito )10 iDdepeDdel1t Y8rit1catioa was II&de, with debtors. this .exh1bit does not incJ.ude updd taxes. 16 .1000llllTS P~WE Ho separate sohedule has been presented of accounte payable as ther ~ classified by tund8 under Exhibit -J.- 0 The amounts included ISS liabilities wre deterwd.ned from inapeetion ot the recerds u.1nta1ned b7 'the G1t1 Clerkla Oftice . STATEMEN.r OF BONDED ~NESS. ~iT,,"~ This 8tatement presents, in detaU, the bonded bdebtec1Dess ot the O1tJ ot &.HBA, at December 31, 1950 and December 31, 1951 topther with beD4a lssued aDd reUnd during 19510 The tollowiDg ls a 8UBa!7 of Bonded IndebtedDes8 classified 8S to t1P8 .t Bonds _tst8ndiDg, with yearly Maturi t7 totalaa l~o.ooo.gq , Outstanding 19'1 Outstanding :Deoember 31. 1950 Issued Ret1re.,j .:De08l1ber 31, .19~1 $ 697,000.00 $ eo $ 87,000.00 $ 610.000.00 897,752.29 142,770.1..7 112,422.80 928,099096 t1,594,752.29 tl42,770047tl99,422.80 ~1,538,099096 Spe~ l(2rand I~:.~' '24,'~1~~9 ,158, cn0.47 244,Cf10.47 152,200.00 2)8,:!OO.oo 109,700.00 195,700.00 84,'100000 170,'100000 '12,'100JYJ 158,700.00 71,()OO.oo 1SO,OOOoOO 53,000.00 68,000.00 29,000.00 29,000000 29,000.00 29,000..00 ~~:==~ J1,5i:==~ General BODds Spee1al Improvements Bonds Total8 Year ..J5! 1952 1953 1954 1955 1956 1957 1958 1959 1960 1961 l~ 8eneral loDds $ 16.000.00 86,000.00 86,000.00 86,000000 8~OOOoOO 8~OOO.OO '19,000000 15,000.00 a.neral Bonds amounti1!g to $610,000.00 aDd tileSpeo1al . Iaproveaent BODds&1lWDtiDg ~ $~,099.C>>'~~'~1;sta.ndJ.a~ December 31, 1951. There were no Water Department Bonds O\1tstandiDg at December 31, 1951. !he f'ollew.iDg schedule shows 'the Bonded IIldebtAdness outstanding, at the &lose ot each of' \he last ten years. 17 , December 31, 1942 1943 1944 1945 1946 1947 1948 1949 1950 1951 Bonded Indebtedness $' S64,990009 429,7S0000 309,892035 233,933.28 220,6'3086 70S, 939.1S 1,027,014.09 1,474,094086 1,398,901.43 1,538,099096 POQNOIT.TITION OF THE CITY OF S!T:rn !l&C'.&T. ~HCY .1000UNT'.. SamooIB -2211l The balanCe showS as unpaid De oember 31, 1951 has been continaed by the State Aceountanto Can_lled bonds and coupons paid by' the Fiscal Agency during the year 1951 were caretully eys'Iil'\8d and checked against tu bond record aDd round to be propar charges. TEMPORARY lI>n. ,INDEBTEDNESS .. ~~T -pa This .ta:teDl8nt shows the eaaunt ot Temporary !lCtt;$ Indebtedness owned b1 the O1t7 at DeoeJllber 3l, 1951. These DOtes will be repaid out ot the proceeds ot bOlld saleao IIT~~~ AND ORDINANCES The' a1m1ws ot the meetings 8ttha governing body dur1Dg the audit per1~ or<Ufta~". ~ dur1Dg ~ per104 aDd b 1948 nrlaed o1."d1Da11ces were reviewed tor lIi8.tters pert.,wt"(l to the aud1to ~ Jlimtte. appeared to be COIIlp1ete aDd in good order. (jENElW. ,DUr1Dg the course ot the -811d1t,explanatioDSot yar10us ..tters ....re obtained from ott1oers and employees ot the OI.t1. lie wish 1;0 express oar appreciation tor the co.eperat1on and assistance or all those with whoa we oc.e in contact. ~IFI('.A~ .. oerl1.t1 that, 1D ~'epj ~~ o~subJeot 1;0 the toregoiDg ~nts, 18 the aoOOJll~ exhibits and related schedules properly refieot the tinano1al conditiGll ot the City or Sal.1Ba, Kansas, as at December :n., 1951 and the reS1llta ot its operations tor the paned from January 1, 1951 to December 31, 1951, inclusift 0 .0 fUrther cerUty that, subJeot to the comments pe:rtaiJl1oqg to the Waterworks Department Fund, as shown on the pages bmaediately tollowing Schedule -2)11 of this repert, the e:xh1blts and schedules pertaiJdDg to the Waterworks Department Fund correctl1' refiect the financ1a1 conditiOl18 of that Fund as at December 31, 1951 and the results of the oparatiouls of that Department tor the period from January 1, 1951 to December 31:, 1951, inclusive. Respeottull7 Sublaitted Dewe,. N. Turner 1l7.~/!~l~ De...,. If. 1 er, Licensed MUnicipal Public Aooountant, 1B eharge l)t aDd ~ot1"'.lT eagaged on this audit. .:.:]': \' 19 Exhibit -j,- ~ q&sh' 12-31-51 LiabUitles 12-31-51' Unac3tilibered . Gash + $ 14;378.20 3,993~S2 74~67 276.35 779 ~S9 2l.;.J..7 '66~92 . 649~~ 3,2Cfl ~3 9~743~8 12,773.92 59,280;14 126i040~'11 7,7!l.57 $ ',919~5~ 2, 657e28 o . ,.o' 84033 o o o o 2,015.52 o ,0. , 0 ,', 4, 828J04 o ~17, 5alu~ 6;458;69 1,336.54 '74;97 192.02 779~ 2l.~'1 --66 '0') , .7'"' " 649~6 i,192.>> -9'743~ , . 12;713.92 59,280;U 121; 212 .67 7~!l1!'1' t BUagit &"11." :au.dge.t '_Qhilrg~a - " 11~~, I 574, S05;71 9,931002 -"0"" .' 41;199~36 10' 034~O 'L.L> 4,7VQoOO 5,810qOO 34,Q'l2 ~3 '~?8S ~3 ,.7.82? ;~ -'4~,*~ Lt 2l,..,911.oOZ Y(3~ 365 ~92 ,9~5~?88 . cs.sa AooOWltabUit . . '" ,...,.. ..'. .. . , .' or: _Unencmabered , ~ ,,' .......... .,.... $ Revenue .~951 Unencumbered . Cash _1~1..~1 t L1a.bU1t1es l~l;;S~ ,-~~ , . cash ~-l-5;L 580;964.46 1l,267~S6 0," 74"L'7 -. ~"" 0 , . U.391~38 10, 8J4 !19 4; 7e7 ;.t.. '1 . 5,936~92 34; 721~9 -'1' noO '7.1 ,7Q . oM- 17,570~98 1'1i033~92 276,191;16 494;S78~59 1~~ 9'10 ~5 ~ -..--. 571; 766019 10,U9~26 " 74.67 40,413;37 90701090 4,767;74 5,934;00 34;381~79 1;235~92 7,273!~7 ",'0. . 242,400;n 418,636.50 ~,llO .62 I 9,198.2'1 1,14$.30 '0 ..... '9'/8;01 1,W.29 19~73 o"2~92 339;70 , , . 7J+4J!Z 10,297031 17i033~92 33, 791~~ 75,942~ 14~859!~.3 $ 47,192029 15,252073 8,393~5 5,555.05 2,315;56 '172~76 7t~.99 41;879.71 6,042~84 8,337~0 .~~~~!s.o o o o o o o o o o $ $ 47,192~9 lS,252~73 8i393~5 5,555 ;05 2,315.56 . '172~76 7,344;99 41,tf19.71 6; 042;84 8,337 .sO _ ~.f14~.50 OJ.'.' ~ .." -'N ~ 651,145059 45,579 090 9,905~OO 1l,f;r11;74 12,909;57 43,836~09 1,041~ 3,631+078 o "0" '" 1,805.00 . ",,_4 , III ~ 00 . 69$;3'51;$8 60,832~63 18,298.25 17,J.2(,.79 15,~5~13 44,0{)8;S5 4~t~tt; 6;C42084 8,337080 'o'9!~~1!,~ $ 6U,850.82 53,582~30 16;000;00 , 3,247.75 14;~3.17 22,700~OO 8;386~ 7,9:1l~96 776~SO 833000 5,510!OO ...., "., " ~ $ . 56,4$7 006 7,250.33 2,298 ~5 14,179~04 1,101.96 21,308~8~ '0 ". Yl,5"l6453 5;2664:34- 7,504080 !t,44:!!50 ~,.. -. .. --- $36,090.04 6,253.73 , , .0-." ,.. 17,069;03 143.42 o o '0"" , 2,000.00 o o ,.. 0" " . 6,961.67 o l~. 517 .89 . 0 o o o o o o o o o t68~~~7~~ '. , t 45;288.31 ,7,402!03 0' ,.. 18,047.04 1,255071 19;73 "2~92 , 339070 , 2' 'lJl '82 , "+40" lO,297~31 17,033~92 33i791~05 82,903~76 14,~59~83 Gene, ",..ril, ,.. Ora+...... ,.... , .' pe ~ II8Enil1la11-' - .. , Genei'8l' a:DdSpec1e.l ImpreveJilerit General and Special Improvement CeiIlete17 ' Public Health BursiDg Band . Librarr lfoX1oU Weed.' - 'F1r8menf li Pension' Industrial J)eVeloplent BOlid 'ana Interest I'aterworb Police Fension $ 56,J$l ~06 7;2;o~33 2i29S~25 14,179~04 1;101~96 21,308!S5 '0 H . 3'1;576~53 5;266.:34 7; 504080 _,~~~o~~ Totals HOD-Bt!! OOristri.1ction OleariDgAeoounts StrHt'lachiiie17 veterans HwslDg Material' Stores Water R8talicr- Oid1lletence ' li1'eaeiis Relier GeMteri . End01Imerit H1llcrest .~rial Endo-.ent Hillcrest _..rial Trust ..... ......-........~..~ . 10,200.00 7;500.00 6,500.00 I 11,900;00 '1;SOO~OO 6;500.00 222;.2 , TotalS Totals.. All Funds IDDiJ'tmeri~ l:l.reI1eDS Reliel oemetery'Endowaenf; Hillcrest'lIemorial End01lll18nt Waterworks Totals r:ITY OF SATJ"N-'. KA~4S OOMP~~ OF~CTUAL BEOE~S.~~ B~._, . J~1'7 1. 1951 to December 31. 1951. Inclusive Tp: LavrlJu! Funds General Operating Fund Memorial Hall Fund General Improvement Fund OeI1eter)'" had Public Health lIurs1ng FuDd Band FUnd Library Fu1'Jd HexiouWeed Fund Firemens Pension FuDd pol1ceRelief & Penslon Fund Bond and Interest FuJld ' General & S~cial Imprayement Total Tax :r.vying Funds Non~ax 'LeniJut Funds CleariDgAocountS, Fund Construction F\m.d Hillcrest Memorial Trust FuDd Stores AccoUnt FuDd Veterans Housing 'Fund OImeter,y . End01il1ent .'FuDd Hillcrest llem. Endo1llll6nt Fund F1reJliens Rellef Fund WateriorksDepartment Fund Street MliCh1nery Yater i8fUDd. Civil Defense Tetal lion-Tax Levying Funds Total Alllunds TotalR8ceipts . (Exhibit A) .:AI 19~ - -. . $ 571;766019 10,1l9026 40,413oYl 9,701090 4,767.74 5,934000 34,381.79 1,235.92 7 i 'Z'/3.ff! 2~llO.62 242,400.11 74.67 t 930.179.24 $ '-53,582.30 6U,850~82 5,510.00 14,123.17 3,?47~75 716.50 '.833.00 '7,9Y1~96 4lS,636~SO 16,000.00 22,700~00 , " ,8~~~~? .1,19~~~~~~ '2.123l!763~64 AnticiPated Receipts 1951 . .--,-' , . 0-" $565,926a4 11,315055 41,764035 8,309.30 4,762~79 5, $'l0 000 '34,710000 1,220.63 2,300.92 '2,200.00 200 ,356.89 - j88S.796.57 , - .. Jaaunt ot Budge' --,,~plU8 $ 5,840005 1,392060 , 4.95 64.00 . '15.29 4,cn2.7S 3:5,043.22 74067 , EL.382.67 , jGU Exhibi t IIBIt Amount of .lfudget Det:f.Q~enOY $" " 1,196029 1,350.98 388.21 89.38 9ITI OF SAJ.INA. KA~ ~ATEJ4ENT OF EXPENDITURES OOMPAijED ~TH AWROFRI"'TIO~ .. . ., - . - -. . "" -. . . '" ..' '- . - . - . . - . ." ~, .' ~ - -..- - ... !Am1ArY' 1", 1951 to ~~,ber 3~", ~~~t. In~ive A~ 1~nD' ~ . General 'panting Fund Meimrial Hill FuDd O8IIetery !'Wad General IJri.pravemen't Fund Public Health NUrsing Fund Band Fund Noxious Weed Furid F1remens Pension FuRd Police' Relief'&:' pension Fund Industrial Developnent l!'urld Bond aDd Interest Fund Librar7 FuDd Total Tax Levying Funds NOIl-.Tax Is.v:vin2~s Waterworks Department Fund CleariDg Acoci\lntsFuad OonstrUction "FUnd VeterinsHo1is1ng' Fund SWres '.lccoiiD.tu Fw1d . FiremeDB'Relief' :Fund . Hillcrest Jleaorl.al Trust Fund Street Jl8.Cb1nery FuDd Water btubd Civil Defense 'fetal Hon-T8X Levying Fonds ,,' _ we. _ _. . r ~ Tota1 All FWlds Oharg_able to 1951 Bu&ze~ $ 574,505.77 . 9,931002 10;0.34.30 41,199036 4,766~00 5,870.00 , 78$.43 7,827.50 9,598088 4,260000 216, 9ll 002 34,(172023 J 919",764.51', $ 373,365.92 --45,579090 651,145059 1l,871~74 12,909~57 3,634.78 1,805000 u9,m.OO 43,836.09 1,,941.41 -"'., ....;~, .'.. # .J. '.\ i,"' .. ~'. _ h.~5~,09':'00 .-./ "".- '. .... -, ." ~!2-.r:n4",859~51 1951 B\:ld2et" $577,418048 13,120.00 10,046600 42.,900.00 4,766000 5,870.00 1,650.00 16,870.00 16,007.36 17,033.92 232,186.00 34, (172 023 -- -.' \. .~ '. " t97)..939.99 Over ,~~J:7et . 21- Exhibit .0' JJnder Budlle~ $ 2~912.71 3,188098 . ' ll.'1O 1,700.64 - .. .. 861.5"/ 9j,042.50 6;408.48 12,773.92- 15,274.98 .. '~2.175.48 22 Exhib1 t -])II CITY OF ~AT.TNA. KANSAS .QI~ RECEIptS. DISBURSEMEN.t'f3 AN{> BAlANCES OF CITY T~ !UTJ:! ~OONC~LIATIO.N OF D~~RSEMENT~ l.Q.nua.ry 1. 1951 to December 31. 1951. Inclusive Total Accountability $ 391,400.79 2'12;1, 7~~.64 'Il t2,515,164043 Balance January ~, 1951 Receipts (Exhibit A and B) Disbursement~ Fund Cash Disbursements $2,125i,872.72 . 389.291~71 Balance December 31, 1951 . .. . , " ~shDecember 31. 1951 Bank Balaricea The Farmers 'National Bank The Planters State Bank The National Balik of aeries. The National Bank of America $ 106,403~30 146;634_52 13~i, 381013 172.76 J 38S.591.71 700.00 J m.291071 .- ~ .. r . .- Total Bank Balances Water Department Cash Total Cash Available (Exhibit A) 195~ ~~:t ~ges (~?it~) 1950 L1abill ties Paid (Exhibit A) Liab1l1 ties December 31, 1951 (Exhib1 t A) $2,0'l~.,859051 r_._ .' -- - -, 68,S17 ~9 . -'.. '" '2,143,371 04:0 17,504.68 Cash Disbursed 1951# .'2.125.872.72 .....-..... 23 Exhibit ItEtt Balance December 31. ~951 200 .00 500 .00 500.00 $ 650.00 0 o o o o o o o o o o o o o o o o o o o o 2,890.92 782.70 o 1,848.79 4,822.05 o 1,633.66 o o 4,062.95 e Reductions 1951 ~ 1.700.0 j. . $ 925.00 25,000000 5,022035 1,421.25 1,630.25 1,339.17 4,991.95 2,9'71.83 14,362.17 7,429.13 1,884.54 595.80 2,522.94 8,580.45 ll,561.83 4,855.62 12,599.79 14,996.14 8,8.34.75 1,540.00 19,471.73 24,988.21 .3,910.35 7,904.88 17,(//6.78 .3,208 .4l .~.'t3-- Add! tions 1951 ~ ~ "- J $ 4,062.95 8,250.73- $ !!d! 1t 2 2 ~ 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 G. 1 Q 1 n:E! Faving lIE Notee Cemeter; u. s. End01lll1ent Treasury Bonds { ~ ~ ~ ~ :} .~~ 24 Exhibit 1rE-.Oonttd. ~al8noe D80smber ~~. 1951 I RedY.etioDS 1951 . , 639.75 3.,530.20 " 0- 12,500..00 9,785.59 o o "0 . 3,058.04 1,932.75 4;860.04 7,471.51 '. 981..30 1,118;75 2,179~S5 56,000000 5,410010 20;632.23 16; <112;39 10,6cf1.73 "u 1.d4i " .ODS 1~J1~ ' __:'~'~ I ~ ,-J I -; 639~75 l' j)O~20 , .'.. ", , '" 410010 , '" 12,'500000 9,'185.S9 20,6'2.2j 16,97~639 10;Qg ;:[3 'j;*J14 ,. 11,932.75 4,86,0';04 7,4'Y1~51 ", '981~30 ~1l8075 , 2;179;55 ~,OOO.~ i . 8aJ.an~ Januar, 1..; 1951 Bond or Oe tltieate r ,,' " ~1" .3 4 , (> 7 8 9 10 11 12 13 14 15 1(> 17 1.8 ~te I 1 1 1 1 I 1 1 1 1 1 1 1 1 1 1 bate ..Ie :be. 'tie of 18~. 1m b!i 1.22-51 ~19-51 2-1.9-51 30-19-51 3-19-51 4-19-51 5-23-51 6-26-51 ~6-51 6-26-51 lo..s-51' . 12-17-51 12-17-51 1.2-17-51 12-17-51 12-17-51 Of IN Bl, ;t, Exhibit a,. Long . ana. !Shor~~ · ~:~,-l .56 .16 .12 (.23) ( .04) ( .06) .17 1J1.2l1 - . $ 43092 (35069) (13.50) 13050 ,Tax Sales, ~ . ; .. . 7,298.78 '141.05 3,520.80 ., - '79073 4,960.55 828~78 133.88 112096 109 .18 33043 dn' ,,- ~'.219.14 r ," \ . $ 6,279~58 1,680.09 522090 Balan~~, '7,299..u ,. -l41a'1 3,521~36 .' - '79.89 4,960.43 829.01 1330$8 113.00 109 024 33.26 . -.- ". ~- $ 6,235066 1,715.78 536.40 $ 77,652085 28,793~76 3,151.60 721050 $ 83,888.51 30,509.54 3,688.00 852000 . 8.23 . . J 7.02 144000 ~,~~6~6.57 .25.&.5.71 130.50 } 8.618.~ . . ." '25.838.69 2.00 t 2.00 .582 .27 Original TaX 'Added 'R911 'Tax . -.., '.. ., '287,150.57 $1,11402.4- 5,253.69 18069 131,136056 466.57 2,969063 10.57 35,776.33 127029 30;869.03 109.83 4,986068 17.74 4,2(11.28 14.cn 4,066.56 14047 1,244.86 4.43 J507,661.19 .1.89S.~9 $ 83,888051 $ 30,509.54 3,688.00 . , 854.00 J '1.898040 . . TY THE Tetal Tei Reid tted - to Lt1"!. .280,605~62 5;125.96 127,950083 2,897.34 30,9r11 047 30,U9.03 4,86'056 4' 105.^J ,. ""'+ 3,967.73 1,2~o79 FaV1Dg Tax seWer Tax water TaX Sidewalks Weeds Total Taxes BDJlEJaTTED TO 'Adjusted . fax Roll $287,904073 , 5;267013 131,472.19 2, m 023 35,867.90 30,948.04 4., 999.44 4.,218.04 4,OO6.cn 1,2.48.05 ii2 ~. leE. & .bated Tax $360.08 5.25 130.94 2.91 35.72 30.82 4~98 4.21 4006 1.24 t580.27 - $ ~ Consolidated F\mds BaDd lUDd BODd- aDd Interest Fund. CeIlete17 Fund Geaer&l Improvement Fund L1brBri FuDd Memer1al Hall Fund PublioHea! th Nursing Fund Firemen t s Pension Fund BiDdwed Total Ad Valorem and Intang1ble Tax ~ .. ~6 Exhibit -G- , ,9ITY OF SALINA. KANSAS ST~MENT OF TAXES RECEIVED FROM OOUNTY TREASURER SHOWING CURRENT AND BACK TAX RECEIVED AND DISTRIBUTION TO FUNDS ON BASIS OF ~SSMENT 1949 & , Prior Jears ~ Valorem Tax jionso11dated Funds Tangible $ 3,891071 Intangible ' . 60.~6 Total Oonsolidated Funds ~ 3,952. rt Memorial Hall Fund 49091 General Improvement Fund 537.73 Cemetery Fund 78073 Public Health Nursing Fund 65.69 Band Fund 81.14 Library Fund 423061 Bindweed Oontro1 Ft1D.d 15.69 F1remens Fension Fund 63063 Folice Benefit and Pension Fund .26 Spee1a.1 Fund in L8iu of Bonds .74067 Bond and Interest Fund 2,084.90 Total Ad Valorem & Intangible Tax j 7.428063 Special Assessmenj;s Ourb Gutter and Paving Sewer Weeds Water Service $ 3,196.17 1,052~ 30.00 525082 t_ ~.80iu43 " .'" ToW Special Assessments Total All Taxes J12.233,06 1950 ....- $261,296.23 20' 01 80 281,798.03 4,887.30 35,063043 2,910.28 4,123.38 5,148087 30,253059 1,220023 3,985045 128,522.51 .497.91'007 * 77,652.85 28,830.12 '721050 3,151.60 '" -. }1l0.'j56.07 . - I _ . ~ ~608,269.l4 Total $265,187094 20.562076 ~285, 750070 4,937021 35;601.16 2,989001 4, 189.cn 5,230.01 30,677.20 1,235.92 4,049~08 .26 , '74.67 130,6ff1 ..u . .' " ~~05,.341.70 $ 80,849002 29,882~56 '751~50 3,677 .42- . .,_ .--. ..- .r .1l50160o~O i.' J - ~620. 502 ,20 27 Exhibi t -HII .CITY OF SALINA.. ~AS ClERK OF THE CITY OOURT STATEMENT OF REC1U~S, DISBURSEMENTS AND BALlN~ OF GA&i .January 1. 1951 to December 31. 1951. Inc~usive .Balance January 1, 1951 $ 2,05'7088 Receipts City's Fees Sheriffs lees Judioial Fees Fines Checks Colleoted J4i.soellaneous $3,972079 1,255.05 , 114045 4,124~20 4,796~80 4,269.70 18,532099 $20,590.87 Total Receipts Total Accountability Disbursements Court Fees to City Clerk Sherifre Fees Judicial Fees to Oounty Trea.surer Fines to county Treasurer Checks Collected 1418 cella.neous $3,748.04 2,091.73 '114010 3,911.60 4,493049 4,595.52 1~!95~~ . 1,636.39 Ig625.71 Total Disbursements .+- .. Ba1s.nce December 31, 1951 Balance per Detail of Case Balance Difference I 10.62 28 Exhibit -1- InQlusive Totals . $3,889.00 25~ 531.00 t29..~O.OO ill.! . ~5,531.00 125..531.00 1.'50 $1.,851.00 ~1,851.00 $23,030~75 '456.50 3,093000 ~26,5S0.2~ j 2..8')9.75 $22,797.25 401~50 200.00 ~23~~~8t7~ f 2,1.32~5 233.50 55000 855000 .1..14?~50 I 7\11.50 1&2 $25.00 ~5.00 $ $ 25000 t25000 o $ 990.00 199P .00 o # $ 403.00 .403.09 o $ ~OoOO I~o.oo o Deceaber ~l18s m~ed B~oes J8nus.17 1, 1951 Fines Imposed 1951 Total Accountab1l1 ty Accounted.. for.bY Cash 'Collected Fines Worked Out Paroled and/or Dismissed Balances December 31, 1951 i. -;..' ~ '~ a r J ~ !2M! $990 .00 ~990.00 .~ :1 'J11!t1 $403000 U03.OQ 1946 $620.00 ~~o.oo .. 29 Exhibit -J1I .CI1'Y OF ~, KANSAS ~ OF THE RE<<;X)RDS OF THE CITY BUILDING INSPE9J:gn Collections tor the '1!e:r 1951 B"nd;11gFermits and Inspections Gas InSpec\ions - Pl.1mbing Inspeotions Electric lnapectiona Sign Pendt.' - faxi...Cab Ins~ctions .' $3,611.75 494.50 , 964.85 1.,lSO.50 9~00 42.00 16;~ '5l2 .60 Total Oollectioll8 1951 Balance Du.e Insptetor January 1, 1951 Total AeoOUlltab1l1 ty Remitted to City Clerk C)yer~nt ' EJ.eetrice.l Receipt 113430 Gas ReC4lipt 1JS2:1l .50 ~'R2.l0 ~,172 .23 .13 .03 .alQ, .k-.A - ,).3 30 Exhibit HK- gnoF~.KANSAS OOMPARISON OF DEPOSITORY BONW ~,B,J.ANGES OF DEPOSITS l)ecember ~l. 1951 The FarmerS fhe Planters The National Name or Jccoun1i National Bank ~tate BA~ Bank ot JJnerica , .. d H. H. Eberhardt, "01ty Trea.surer' $106,40'1~77 $171,3C1l .64 $136,060018 W. J 0 Broca, Clerk or City Court 2,e53044 , - Totals .109,261021 t171,307~64 i136i060018 !ess F .D.I.Co 10,000.00 10,000.00 ].0,000.00 , , Balance to be secured by Collateral $ 99.261.21 il6i..307.fYJ .126.060.18 Required 70% f 69.482.85 t1l2.91S.35 ~ 88,U2.J:3 Bonds Deposited by Banks as Collateral tor Deposits t136.000.00 '30'1.516.00 J2;5,000.00 31. Exhibi t -LR CITY OF SALINA. KANSAS FIDELITY: BONOO IN, FORCE December 31. 19~1 na'te Date o:f !!1m! Title Etfective ExPiratioa ' Amount , , ' Oarl Ramsey City CaIim1ssioner 4-'>-49 4-11-53 $5,000.00 IJ.o1d Wo Price City Commissioner 4-9-51 4-11-53 5,OOO~ Ruth Co Cobb' City COmmissioner 4-9-51 4-9-55 5,OOO~0 Ward E. Bare.ter City Co1IIId.ss1oner 4-9-51' 4-9-55 5,000.00 Richard King City Gommias1oner 4...:11-49 4..uJ.-;3 59000000 Ellis J. Allison City Manager and 8-26-43 Continuaaa 5g 000 000 Supto of Waterworks Charles Fo Banker City Clerk 7-16.;1 Indetini te 5,000.00 Harold S. Feterson DeP1ty C1 ty Clerk 12-6-46 Indefinite 5,000.00 H. H. Eberhardt City Treasurer 7...3-33 Indefinite 50, 000000 Lois Todd Cashier Waterworks 12-28...25 Gont1nu,O\18 5~OOO.00 B. H. Eller Fol1ce' Ju.dge' 1,OOO~OO ThOJllas Lo Bayne' Buildirig'InSpector 1,000..00 Harold If. Harper City Engineer 1-3.5-46 Conti.m1.otls 5,000;00 W. J o BroOll Clerkot City Court 2,000000 Lauren LeIlOD Marshall .r Oi t1 Court 2,000000 City H-.ll Group BnJln1~ and Content. ;nre De~tment Gr~p International Squad Wagon Seagrove Ladder Trtic1c Ahrens Fox Fire Truck Building 4 Trucks JirPert Gr9t\p Hanger No. 3 Hanger No.4 Oafe Liabi11 ty Waterworks 'Group Water Teel" Ge.rs.ge &: Warehouse DWelling l'umPing Stations Eqtdpnent Ford tTon Pickup W..lonellS CoIlpensation Se;f'j .. Ma.nu.faoture and Contractors Park Gro\1p ~1i J ni ~ and Contents Dwel.l1ng .. ., ..... . -- Se~Disliosal GrOup ~iJ Iii "gs and Contents Me_rial H-.ll GroUp BOiJ ding arid COntents Owners, Landlords &: Tenants lliaoilll8J1eotls " ~, a.1J.1Dg Stock (42) Messenger' Dump 'Grounds Dwelling Recreation'Center BniJn,ng oe_tery-DW1J.ing &: Garage Steam'BoUer V~aternBousiDg Cameras .~~~ .-/ ./ CITY OF S4T.TJiA, KA~~ INSURANc.g IN FORCE December 31, 1951 fypt 'of Cove~ Fire &: Extended Fire, LighteniDg, &: Trans. Fire, LighteniDg, &: Trans. Fire, Lightehirig, &: Trans. FiN,Lighteriing Fire, Lightening, &: Trans. Fire &: Extended Fire &: Exts:wied Fire &: Extended Each aecident Windstorm Fire &: Extended FiN &: Extended Fire &: En. Bldg. &: Cont. Fire & Ext. JUdg. &: Cont. canpreheriaive Liability Burg1ei7 Accidents Fire &: Extellded Fire &: Extended Fire &: Extended Fire &: Extended P. and P. Damage Fire &: Extellded Fire &: Extended Fire' '&" Extendei ExPlosion Liability Amount of Covenllze 1195,140.00 2,000.00 1,500.00 4,500.00 150,OOO.CO 24,384.010 .32 Exhibit .)(It % Co-Insuranoe 90 .. ... - .. .. 5,OOO~00 80 5,000.00 80 '500.00 _ 15,000.00/30,000.00 - 57,500.00 1,500.00 3,000.00 19,200~OO 17,500.00 ~450~OO 24,OOO~O l;OOO~O 15-30,000.00 5,OOO~O() 2,000000 228,300000 . - ... ..' ,. . 221,000000 25/3,000.00 < ~"". .,....'.....' ., ~ . 5/15/30;OOO~OO ~,OOO.OO , 8S0~O() 18, OOO~() . 3,OOO~O() 1O,OOO~) 10-20,000.00 205.00 90 90 .. 90 - - - - 90 80-90 90 .. .. ..' 90 - .. .. - CITY OF SAT.IllA, KA~ ACCOUNTS RECEIVABIE December 31. 1951 General Fund Pol1oe Fines Gas and Electric Franchises CemeterY Fund Burial Fees and Lot Sales $ 2iS39.?5 .35,836o~)3 258000 .3.3 Exhibit 1tN" .2__': ,._ _ 34- Exh1bi t .0. - Maunt - QUtstarni1T\g 12-31-51 . , t 0 o . '650.00 4,000.00 14;000.00 , 6,500.00 10,200.00 331,000000 ---- 140,000000--' g,OOOOOO 49,000000 8,000.00 71, ooo~oo ]J9,ooo~ 60; 000.00 66,000.00 192,000.00 49,922.43 44,206020 195,850086 .38,093.'19 104,676.68 ~ 2 - - ~ 0 Interne.l IIlpr.vement Internal Imprmment IDter'D&l. ImprOVement Ii1'terlVil ImPrGveJllerit InterDal ImprOVement Int.rnal ImtrjyeJlieiit Interi1&l IIlprOvement InterDal Improvement Airport curb, Gutter and PaviDg curb. Gutter a1'ld Paving CUrb, Gutter and Paving curb, Gutter and Paving Fire' Station' lAL teraJ..Sewer ' curb arid Gutter CUrb and Gutter MaiD' Sam tarySe1l9rs curb' Gutter arid Pa~ 90ft. ',"~ Garb, Gutter arid PS:v!Dg Curb, Gutter ana PaV1Dg ~b~.,Gutter and Paving totals SOnQ8 IWt1red ~ $ 2,000.00 275.00 -, 650;.00 1,000.00 3,000000 1,500000 1; '1004.00 48;OOO~oO 21,000000 8,000.00 7;000.00 8,OOO~ 11,000.00 18,000.00 21,1'14032 23;123048 24,000.00 J,f,,1i .. I*.ues , 1951 . , ' , 38;<m~'19 104,676.68 - o I ,._~"- 9utStana1DB _ 1-1-51 $ 2,000.00 " 275.00 1,300~00 -5,000.00 17,OOO~OO --8- 000 'nI'\ , , ~ , 11,900.00 379,000;00 161,000 ~OO 16,000.00 56,000000 16;000;00 88' 000 000 , . 157; 000..00 81;174032 89,123.48 216, ()OO 000 49,922043 44;206~20 195,850086 ~ Jm9Unt of Or-(gi ria J ~~~., I 10,045052 2,720074 , ~; 315.09 10,010001 28,934~'10 14,220023 "1'1,046~61 475,OOO~OO 203,250.00 '20'661 36 ;,J ", . 68;912.23 32;244.93 110;020057 1'15,000000 81,1'14032 89,123048 242,69'1.06 49,922043 44,206.20 195,850086 ~te ~ 11/~ 1 1/2 1 1 "." 11/4 1 i/4 1 1/2 11/4 1 3/4 1 i/2 1 1/2 1 1/2 , 1 3/4 1 1/4-1 1/2 1 1/8 ' 1 1/8.ol 1/4 1 1/8 1 1/4 11/4 1 lI4 2 1/2 2 1/2 final' " Maturity Olte " 1951 1951 1952 1955 1956 195(> 1957 1958 1958 19~ 1958 1952 1958 1959 1954- 1954- 1959 1955 1955 1961 1956 1962 Bate' of Issue 1-1-41 8-1ero41 2-1-42 4-1-4' 9-1-46 9-1-46 U-1-47 12-1-47 2-1~ 7-1-48 7-1-48 10-1-48 10-1-.48 6-1-49 12-1-49 12-1-49 12-1-49 12-1-50 12.-1-50 12-1-50 12..1-51 12-1-51 !r! OF BS~~ Dt r Serie. Number 126 J2'1 128 133 136 13'7 l39 140 lU W 143 1M. 14' 146 14'1 148 149 150 151 152 153 154 3S Exh1bi t -p Bai.ahoe 12-3l-5l $ 0 o o o o o o o o o o o o o o o o o o o o o o o o '0.... -. 2,890~92 782.70 " O,~ ". 1,S48~79 4,822.05 -'0 ,- 1,633066 o o ~~ 1951, " $ 5;022035 1,421.25 1,630025 "1,339017 32,652.'3 1l;8tr1;62 l1'095~O , , 62' 680 'ne , _ fN7 25,180.56 34;~220$4 4,991.95 2,971~83 14;362017 7 ;429.13 1,864.54 . 595 ;80 2;522~94 8; 580045 U,561.83 . 4;855062 12,599.79 14, 996 ~14 8;S34~7S . l <<J . ", ; ;1,.0000 19;47"";73 24,98802J. 3,910035 904.88 . ...---- ' cn6.7S 208 oU 7, 17, 3, Is~~d 1951 $ B8.l.ance 1;..1...51 $ 5,022.35 1,421.25 1,630025 1;339.17 32,652.'3 U,80'7.62 1l;095~O 62, 680o'Y1 25;180.56 34;522.84 4;991.95 2;971.83 14;362017 7,429.3.3 1,884.54 , 595.80 2,522.94 8,580045 1l;561~83 4,855062 12,599~79 14; 996014 S,834~75 i'c/oOO ,P+ . 19,471.73 24,900;21 2,890.92 , '782.70 3,910.35 1;S4S~79 4,822.05 7'01'\1 88 ,7UO+O , 1,633.66 17,076.78 3,20004l payable to Wawr DePartment Water Department Water Department Water Department Bearer Bearer Besrer Bearer Bearer Bearer Water Department Water Department Water Department Water DePartment Water DePartment Water Department Water IlePartineht Water Department Water Department Water Department water Department water Department Water DePartment Water Department Water Department Water DePartment Water DePartmeiit Wa:ter Depa.rti:a8iit Water DePartmeilt Water Department Wa.ter Department Water Department Water Department water Departmeilt Water DePBrtment Inclusive lnterest B.8. te ~ 1 1 1 1 1 1/4 1 1/4 1 1/4 1 1/4 1 1/4 1 1/4 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 te 'of Issue '-9-2~9 1()..J$~9 10-18-49 lQ0.J.8-49 11-11-49 12-12-49 10-17-49 11-14-49 12...12-49 7-10..50 1-17...;0 1-17-50 1-17-50 1...17-50 1-:1.7-50 1-17-50 2-28-50 3-J4-50 3-14-50 4-18..50 5-16-50 5-16-50 5-16-50 6- 5-50 6-J..9-5O &'19..50 6-26-50 , 6-26-50 9-19-50 9';'19-50 11..14-50 U-14-50 U-14-50 12-12-50 12-12...50 Somber 10 11 12 13 . 1..P.r..' 2..P.r-' 1~w4 2-P.r-4 ~-4 1-l'r-6 1 2 3 4 5 6 7 8 9 10 11 12 ]J 14 1., 1~ 17 18 19 ?O 21 22 ~3 24 25 .~ ~ .. - .. c, -36 - ,_. - ... .-. -"... Exhib1 t -pet Conttd. )3alaIl()lt . 12-'1-51 .- $' 4,062095 0" , - , 639~75 1, 530.20 ,. '0:' " 12,500000 9,785059 o o '0 3,058.04 Ig932~75 4,860~04 7,4'Yl~S1 , 981030 1,118.75 . 2,179~55 56;OOO~OO 13;328;00 10;7rn~96 3,586039 24,279.63 41,235;11 2~!~~.2~ 2. raid 1!5~ 8,250.73 - r .. -<< .-.. 5,410010 - 20;632~23 16, ",2..39 10,6rJ7.73 t Issued ~- t ~.95 8,250~73 . . 639;75 1; 530.20 5,UO~lG 12; soo~oo 9; 7850~ 20,632.23 16;<f12~39 10-,6f11 073 3;058~04 1,932~75 4;860~04 7,4Yl.51 , '981.30 1,118.75 2,179055 56iOOO~OO 13,328~OO 10,7cn.96 3;586039 24,7:19.63 4li 235 al 28,258025 "'.. .... \. ialance 1-1-51 $ l'aYable' to Water DePartmen.t Water D8p8rt.ment Iater Department water BePartaent Water DePartment Water DePartment 'later Department Water DePartJien.t lIater DePartment water Department Wawr Depa1'_nt 1'e.'terDepartmen.t Water Department Water Department water Department Water Department Water DePartment Water Department Bearer Bearer Bearer Bearer Bearer Bearer Inc1lmive Interest Rate . 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 11/4 1 1/4 11/4 1 i/A 1 1/.4 11/4 to December 2l y,ue 1-22-51 1-22-51 1-22-51 2-19-51 2-19-51 3-19-51 3-19-51 4-24-51 5-23-51 6-26-51 ~26-51 ~26-51 10. 8-51 12-1.7-51 12-17-51 12-17...51 12-17-51 12-17-51 6-2s..51 7....30-51 9-10-51 11-12-51 11- 5-51 12-17-51 1 Ji Number 1 2 3 4 , 6 '1 8 <) 10 11 12 13 14 15 16 17 18 1 P...T 7 2 3 4 P-T 8 ._ _~ ___. _.. 6- .~_ _ -- -_ _ _ -__ - ---- -- ----- .....-. Schedule 1t1" :u CITY OF SALIBi. KANSAS GENERAL OPERATIl<<i FUND ,rATEMENT OF RECEIJlTS. EXPENDlTURES~. T~TlRILITIES AND ~IT.ANCES ;j AND OOJ4PJRISON TO 195~ WOOET JBBU&rY 1. 1951 to December 31. 1951. Inclus~ve AmOuBt of Aotue.l Budget Actual OVer J 45..288031-rn:492.n;~795~97 Balance J anuar1 1, 1951 Receipts ' Ad Valorem & Intangible Tax(Exh.G) Sales Tax Cigarette Tax Lioanses,Fees & Permits(Schol-A) Farldng Meters Franchises Ceurt Costs and Fines Servi08sand Sales Ref'unds and Recoveries Water Department Highway 14e.illtenanoe M1soe1J.aneous - Weeds Gasoline Tax Rentals Liquor Enforcement Tax Dog Impo11Dd' ngs Inspection & EJraJll; ootion Fees Total Receipts Total Accountability ~et Cbare:es - frOll Schedule 1 General and Admitrl.strative Fire Park street, Alley and. Sewer Se-.ge Airport Total Budget Charges unencumbered Bal.ance Deo. 31, 1951 Liabilities December 31, 1950 Unencumbered Cash Dec. 31,'1951 Liabilities December 31, 1951 Cash Balance December 31, 1951 $285,750070 $282,858070 $ 2,892.00 34,241.90 34,241~90 22,712.25 15,000.00 7,712.25 29~305.15 32,5/+2000 39,005.00 36:,260000 2,745.00 5:3,055.02 50,000.00 3,055.02 26,778.79 32,500.00 15;180017 30,600.00 2,336091 2,700000 'e ' - 1O,OOO~OO 2,666.00 3,670.00 712.50 393.54 ' 318.96 41,236.48 22,000.00 19:,236~ 7,m.54 4,310~00 2,967054 8,662.50 7 ,OOO~ 1,662.50 64070 400000 2 80 I~;m; 1.330.56 1-7 1 ~ 5~840.05. 170 0 ~39.636.02 $316,078.76 $330,475.00 $ 106,290.64 104,JJ35.00 1,805.64 43,365.'Z1 42,869.00 496.27 78,636.34 76,639048 1,996.86 26,618.08 19,650.00 .6,968008 ~ r-~~~~ 216.68 . 0 ~~'~.7j 42,548.73 ~ 0 ~- .. ' .. 36..090.~ . 6,4580 9 7,919.51 IJA. 178 .20 ADtount. of Actual Under , BudRet I $ 3,236.85 5,721.21 15,419.83 , , 363~09 10,OOOJ>Q 1,004000 335.80 $ J $14,396.24 t 2.912.71 '~ CJTY OF S&LINA.. KANSAS GENERAL OPERATING FUND DETAIL OF RECEIPrS FROM LICENSES.. FEES AND P.&RMITS AND OOMP!RISON WITH ~951 BUOOET JanuarY 1. 1951 to December 31. 1951.. Inolusive .blOUnt of A.otuarOver Bud$(e1; $ Aotual . 125.00 . 150000 4,750000 -100000 3,582065 120.00 276.00 784.50 393050 100.00 34.00 131.00 440.00 228.00 - 468.00 1,417.50 450000 50.00 84.00 810.00 981.50 15.00 o 1,005.00 550.00 610.50 450000 , 0 -, 6,300000 2,500.00 " 0- 2,320.00 Auotion and Auctioneers Licenses JUDk Dealer .. Aut. Beverage Dealers Licenses Bill Beard Licenses- Building Inspectors Fees Concrete Construotion Licenses Dance Permits Dog Licenses Electric Wiring Licenses Gas F1 tters Licenses House Moving Permits Huckster, Vendor and Peddling Fermits Insurance, Gom~ & Agents Lieenses Junk Dealer, Buyer & Collector Licenses Flumber and Gas Fitter Licenses Fool Hall & Bowling Alley Licenses Shew and Theatre Licenses Skating Rink Licenses Street Advertising Licenses Taxi-Cab LicenSes " TaXi-Cab Driver Licenses Truck and Team Licenses Oil Dri]]i~ Permits MuaicMachine Licenses Fireworks LiCenses" Milk Insp. and Health Dept. Licenses PawnbrOkers Licenses" - . Shooting G8.ller,r'Licenses LiQ.uor Distributor Licenses Liquor Dealer Licenses Arcade Licanees' Pin Ball MaChines IlisoellaneOUs . C:Lrcus, Caridval. and Tent Show Trailer camp Sign Erection 60.00 1O~00 9.00 Budget 150.00 150~00 5,000000 . "100000 6,000.00 130.00 . 300 000 1,200.00 600.00 100.00 100.00 190.00 450.00 152.00 " 550.00 1,300.00 450 .00 50000 150.00 1,000.00 1,500.00 120000 . 100.00 1,200000 450000 650000 600.00 _ < . 50.00 2,400.00 2,500000 , 350.00 3,000.00 1~450.o0 o o. "' 50.00 ~76.00 1170SO 1100000 3,900000 60.00 10.00 ~29. 30S.15J32. ~.oo ..r- Total Licenses, Fees and :Permits .38 Schedule -1-.1.- .ouat Dr A.ctual Under ~et $ 25000 250.00 2,41.7035 10.00 24 cOO 415050 206.50 66000 59.00 10000 82.00 69.00 190000 518050 105.00 100000 195.00 . 39.50 150.00 50.00 350000 . 680.00 1,450.00 41000 ~3.236085 Ca.sh Dii3burse~ni L951 , .lh1diet l 1,703.84 9,246;16 24,837~71 8,615096 5;542~16 8,137 .4J. 1,521089 17,552094 105,943015 .6,901;58 33,644~ll 89,949~8 14~562~69 77~454~g-5 78,090~26 8t966~9 25;636~73 20,695~86 14~711085 3,413;78 ~~t,5"! ~3~ 26 SIJ - , EDapabrances :1- --:- - , '9~9 l.42 ~39 239~75 16~02 70.47 5~64 59;65 347049 21066 263080 931~99 . 44091 1,1$1049 593.23 182 .66 '981~35 2,141.24 61.3..38 102090 o J" ~ " . ~,919.51 ~ Bulket I.c~ Budget .., $' J" '. 500.00 158 .25 100.00 500000 465077 125000 .300000 . Actual $' ,. 70.00 232055 8.72 25000 25.00 25.00 25.00 25~OO 25JX> 25.00 o 26050 4000 15 ~OO 215..30 5.00 o 500000 6,000.00 2,800.00 1, ;oO~OO . 100 ~OO 9,OOO~ 9,000000 O' ".. 750000 25;00 2,200.00 o t&~5~9Q to~' :tJenditw Aottu!l ~et. , t 1,703084, $1;870000 9,255065 8,465.00 24,980~1O 23;5350~ 8i855.71 9,415~OO 5,558018 ',190000 8,207.88 6,700000 1,527.53 1,275.00 17,61.2059 23;120.00 106,290.64 104,485000 6;923~ 6,725~ 33,907091 34,~5;.oo 90, e8104? - 91,.300~OO 14,6(fl ~60 14,620.00 78,6.36~34 76;639~ 78~653.49 73,275.00 9i149~5 5,150~OO 26;6lS~C8 19,650~OO 22,83'"1;10 27,900~ 15,325~3 31,935~ .3,516.68 3,300~OO 9,4~ 036 8,044~00 - 4"" !! Budtlet . :',.,. . 600 000 1,200000 1,0???0 & Actual t . 471050 1,350.54 406.89 104078 o 2,192031 3,228.96 . 654.09 2,311040 12,056.51 9.5,270~21 . . 25.00 1,043.40 o 679.36 18,875~OO 1,OOO~OO 500.00 511069 t5i0325000 ~2.080Cl~ 2,749.62 1,.320~51 132000 J42.5~~ W.j)?~5~ 4,000000 150000 900 .00 4,739.67 2J..4,88 2,3~~!3~ t49Q8090~ Servicas BudlZet. . $ 1;495~00 1,775000 3,600.00 5,325.00 90.00 420.00 75.00 2,575.00 2,350.00 1,200.00 1,J25~OO 4;900~OO 5,100.00 3,1rl50CO 2,\J7;~OO 1,300000 5,525~OO 25,7oo~OO 1,950.00 2,150~OO 1,~4~ .7~, 229.9Q ive BumET ~ EIFEBD: GENE: J, EXFENDI' ~._~ 1 lfl' 100000 625000 4,550000 . 100 ttOO 1,975000 5,375.00 . 525000 14,864048 4,lc.O~OO 250~OO 2,250000 Actual $ 1,328.84 1,755090 7,547047 3,815.85 209 048 918.21 Z7.53 2,118.02 3,677034 1,230.89 1,330075 8,252 038 1,587.6$ 4g391~OO =-1,420058 . 370048 10,161.03 22il57~74 3i1C1l079 l,4B8~9 1,139.94 . . . .789037.39 944.73 4,43008<} . 18 ~.35 1,509# 6,933~6 312.93 18,130015 5,430040 . 837.57 1,655!25 -' Budget . . ".' 375000 5,490.00 18,110.00 2,790000 5,100.00 6,180000 1,200000 19,395.00 91,560000 5,400.00 28,900.00 79,500.00 $,870.00 48g875~OO 58,lOOoOO 3,600.00 1l,100~OO Perso: Mtua1 .. $ - .. 375000 6,800;00 15;383~77 4,6:4~?5 5,348.70 7,184.89 1,500.00 14; 549084 95.1'993060 5,670~OO 27-,823.72 74,826024 10,390059 44,058 .68 56,532030 . 7,916010 13,758040 7,llO.00 o 4,950000 ~ -.~ . -., .. 6000 4,728.15 '492.80 5,358.4-0 or aDd GclImdssioners ., Maiiager ' , .. . rk and Treasurer 1 BUilding f Attorney 1 Court., ice Oourt ~ering . paction It lee 11e Health 3etJ.lley and Sewer Iie.g. ..... . .. Collection and Disposal ge Disposal - tLighting fie and Parking Control r\ liming Fool ~. , I 1------ u GITY OF SAT.:r~ ~ GENERAL OPERATING FUND DET~LOF ~NDITURES . MAYOR AND ~ONERS JdIlarY 1. 1951 to December 31. 1951. Inclusive Persona:lseri1~s Salariea .. Commissioaers Ooatractural Services Travel AmeriCdizat10n Caater Printing, Binding and Duplicating Legal Advertising Surety Bonds Total Coatractural Sen'ices $ 88.51 120.00 158 042 901028 60.63 Total Expelldi tures 40 Schedule -wit $ 3'75600 $1,328.84 .1, 70~ 084 41 Schedule -I-b- <;TY OF &AT .TNA. KANSAS GENERAL OFERlTIOO FUND DETAI~ O~. EXP.ENDITURES..- ~fi ,~A~ 'J8.lnlarY 1. 19~1 to December ~l. 1951. Inclusive Salarie, .. C1 V Manager Other Total SuDdr7 $4,320.00 2,480.00 $6,800.00 $ 479.95 S15.62 304.fI1 69.00 296.70 64096 2S.00 ~75;.90 467.50 4000 471.50 158.25 158.25 70.00 . 70000 i. .. ",.255.05 Total Salaries Other Expendi t~s AutomobUe. use allowanee Te1e}ilone and te1egraJil Traveling Fostage .. Printing, Binding and Duplicating Mis cellana ous Bond Total Contractural. Office Supplies Books and Periodical8 Total Materials and Supplies " -- ---- Organization Dues - -. -- ._- Office. ~~PI!~~~.. Total Cap! tal Outlay Tetal Expenditures } 'CITY OF S&T.TNA. fCANSAS GENERAL OEERAXING FOND DETAIL .OF EXPENDITURES - CITY CIERK ~, GITYT~ASURER \Tamtar7 1. 1951 to December 31. 1951. Inclusive Waas and Salaries City Clerk City Treasurer City Bookkeeper Other Salaries Auditing Judges and Clerks... E1ectioDS Total Personal Services $4,200.00 . '900.00 1,980000 5,918000 54S..00 1,840.77 Coatractura.l Services Telephone and'Te1egraph Travel Fostage Miscellaneous Printing, Binding & Duplicating Printing. Eleotion Supplies Legal AdYertising Surety Bonds Repairs, Furniture and. Equipnent Other . 473.23 72.75 561.36 '186.00 2,843.98 342.37 218.78 278075 70.25 2,500.00 Total Oontractural Services Material and Supplies Of'f'iceSupplies Books and Feriodicals Election Supplies $l,lSl~04 -'5.00 164.50 rotal Material and Supplies GaP! tal OutlaY Forni ture and Fixtures SundrY' Organization Dues Refunds Total Sundry Totals Expend! tuNs $ 315.77 150.00 42 Schedule ltl..c'I $lS, 383 077 $ 7,547047 $ 1,350.54 $ 232055 $ 465.71 . . ~ . ~24"980oio CITY OF SALINA.. KANSAS GENERAL OFERATING FUND DETAIL OF EXPENDITURES' - crry BUILDING - .~ \' -.". -"- January I, 1951 to December 31. 1951, Inolusive Fersone.l Serviees Salaries Contractural Services Building Repairs - Building Insurance :lqeipnent Repairs Gas Service Light and Pewer Servico Water Servioe Laundt7 and Towel Service Total Contractural Services ~ '5tl~87 1,761.7S M.50 767.72 4S2.1~ 90.30 l23.5S Ma terial and Supplies Janitor and Toilet Supplies E1e otrical and Lighting Paint and Painting Materiels Tottll Material and Supplies 31e.03 3'7.71 51.15 OaPita10utlaY " F11rni ture and Fixtures Total Expenditures 4-' Schedule "I-d" ~4,624.25 ~3,759.Sg !t 406.S9 . 8.72 ~.799.74 -CITY OF SALINA. KANSA$ GENERAL OPERATING FUND DETAIL OF EXPENDITURES - CITY ATTORNEY January 1. 1951 to December 31. 1951.. Inclusive Personal Servi~s City Attorney Assistant City Attorney Court Reporter and Special Attorney Total Fersonal Services Contraotural Services Travel Miscellaneous Telephone and Telegraph Total Contractura1 Servioes Total Expend! turas '* Special fee to Clark and. Mize Court Reporter Ralph Knittle $2,700000 1,515000 i(- 1,133070 $ 141.36 63.30 4.82 $ 106070 27.00 1,000.00 11.133.70 M+ Schedule 1tJ..e1f $5,348.70 $ 209 048 ~5.558.18 CITY OF SALINA. KA..1'lSAS GENERAL OPERATlOO FUND DETAIL OF EXPENDITURES - CITY COURT January 1. 1951 to December 31. 1951. Inclusive . Fersonal Services Judge Clerk Marshall Other Salaries $2,700000 1,950.00 2,040000 494.89 Total Personal Services Contract ural Services Travel Miscelle.neous FUelity Bonds (2) TelePhone and Telegraph Binding, !Tinting and Duplimting Total Contraetural Services $ 364.20 106021 46025 136.95 264060 Materials and SupPlies OffiCe Supplies Books and Fer10dieals $ 66.38 38040 Total Materials and Supplies Total Expenditures 45 Schedule wl_fIl $7,184.89 # 918 021 $ 104078 ~.207 088 Salaries Judge CITY OF SALINA. KANSAS GENERAL OFERATI11G FUND DETAIL OF EXPENDITURES - POLICE COURT January 1. 1951 to December 31. 19S1. Inclusive Contractura1 Services Miscellaneous Bond $22.S3 5.00 Total Contractura1 Services Total Expenditures ~'J Schedule a1_glt $l,SOOoOO $ 2'7.53 t1. 527.S3 CITY OF SAT.TNA. KANSA$ GENERAL OPERATING IDND ~TAIL OF EXPENDITURES - EIDINEERING January 1. 1951 to December 31. 1951. Inclusive Personal Services .... City Engineer Field Engineers, etc. Appraising and Abstracting $4,200.00 8,714049 11'575.35 Total Fersonal Services Contrfctural Services Legal Advertising Equipnent Repairs Fidell ty Bond (1) Travel Blue Printing and Photography Printing, Binding and Duplicating Miscellaneous Motor Vehicle Insurance Motor Vehicle Repairs Metor Vehicle Tire & Tube Repairs $1,464.56 23.90 12050 32.86 93.70 187.59 176003 34.94 91.19 .75 Total Contraotural ServiMs Materials and SupPlies Office Supplies Motor Vehiole - Tires and Tubes Motor Vehicle - Farts Motor Vehicle - License Tags Motor Vehicle - Fuel, Lubricants,Antifreeze Books and Feriodicals Drafting and Engineering Supplies Machinery and Equipnent Parts $ 449.61 18095 5.30 7.50 165045 25.00 254045 18.47 Total Materials and Supplies Total Expenditures 47 Schedule R1_hll $1.4,549.84 $ 2,ll8002 $ 944.73 ~17.612.59 CITY OF SA.T.JNA. KANSA$ GENERAL OPERATING FUND DETAIL OF EXFENDITURES .. FIRE DEFARTMENT January 1. 1951 to December 31.. 1951. Inclusive Personal Services Fire Chief' Firemen, Inspectors, etc. Special Services Total Personal Services $4,200.00 91,77402.4 19.~6 Contraetura1Serviees Telephone and Te1egrafil Travel Fostage Freight Miscellaneous Insurance - Buildings Insurance - Motor Vehicle Gas Service Light and Fower Service Water Service Repairs-Building Repairs - Furniture and Fixtures Repairs.. Machinery and Equipnent Rep8.irs .. Motor Vehicles Rent - Fire Hydrants lawidry and Towel Service Total Coatractural Services $ 559038 63000 18.00 '804l 67.21 211.88 404054 446048 519.34 71075 205.00 41.22 306.19 , 43.28 596075 114.91 Material and SupPlies Expendable 'Tools $ 146008 Office Supplies 215~72 Chemicals, Drags and. laboratory Supplies 455~'7 FUels and Lubrieants u75.65 Janitor and'ToUet Supplies 406025 Motor Vehicles - FUel, Iabricants,Antif'reeze . 673.68 Motor Vehicles - Parts 1,241094 Motor'Vehic1es .. Tires and Tubes 133000 Seeds, Plants, Trees & Botanical Supplies 21.36 Wearing app8.rel 28603'7 Other Operating SUpplies 206.68 E1eetrioil &naLighting uaterials & Parts 156.23 Paint 'ana Painting J48.teria.le;" 219061 We1aingand Blacksnd thin~(Materials 192085 Total Materials and Supplies CaPital OutlaY l'iNFighting EQ.uiplierit Funii:ture arid FiXtures Total Capital Outlay $ 1,468.21 69.4.10 Sundrt' ""'" .....Dues- Total. E:x:pendi tures 48 Schedule It 1-1 It $95,993060 $ 3,671.34 $ 4,430.89 $, 2,162031 h'~-' 26.~0 , 06.2~0 6&. CITY OF SALINA. KANSAS GENERAL Ol'ERATING FUND DETAIL OF EXPENDITURES - INSPECTION January 1. 1951 to December 31. 1951. Inclusive Personal Services Inspeotors $5,670.00 Total Personal Services Coatraotural Services Auto use allowance Printing, Binding and Duplicating Miscellaneous $1,020.00 125.75 85.14 Total Contractural Services Materials and SUpplies Office Supplies Sundry Dues Total Expenditures 49 Schedule 1I}..jll $5,670.00 $1,230.89 $1, 18.35 $ 4.00 J6.923.U GITYOFSALINA,KA.NS4S GENERAL Ol'ERATING FUND DETAIL OF EXPENDITURES .. FARK DEPARTMENT January 1. 1951 to December 31, 1951. Inc1usiv. Fersonal Services Superintendent Other Wages Special Services Total Personal Services Contraotural Ser"1{i.oes Telephone and Telegraph Light and Fower Service Travel Printing, Binding and Duplicating Miscellarie oua Motor Vehicles.. Insurance Gas Service Repdrs - Buildings Repairs .. Machinery and Equipnent RePairs -Motor Vehicle Tires and Tubes Total Contraotural Services Ma terials and SupPlies Expendable Tools $ ChemiCals, Drugs and Laboratory Supplies Fuel and fubrican.ts Janitor and Toilet Supplies Motor Vehicles-Fuel, Lubricants & Antifreeze Motor Vehioles .. Tags Motor VehicIes .. Fai'ts Motor Vehicles .. Tires and Tubes Recreational Supplies Seeds, Plants, Trees and Botanical Supplies Other Operating Supplies Electrical and Lighting Supplies Machinery and Eqll1pnent Parts Paint and Paintillg SupPlies Total Materials and Supplies Ca Pi tal' OutlaY TrUcks EquiJ;lllent c Total Cap! tal Outlay Spndry ....Dues Total Expenditures $ 4,200.00 23,573.72 50.00 $ 100.00 165.27 34.77 8~00 483042 109.19 86082 304.72 1l.06 19.50 28.03 4.03 35005 69.82 317036 37.50 70045 1.65 84.32 301.64 104096 , 70057 125 ;04 259.06 $ 3,175~14 53.82 so Schedule Dl-klt $2'7,823.72 $ 1,330.75 $ 1,509048 ,$ 3,228 .96 I . '15 00 33.9C17:91 CITY OF SAT,TN!" KANS~ GENERAL OPERATING FlJ~ , DETAIL OF EXPENDITURES .. POLICE DEPART~NT ~anu.arv 1. 1951 to Deoember 31. 1951. Inolusive Personal Services Ohief Other Salaries Medical ' Total Personal Services # 4iOOO.00 68,648.99 2.177.25 Contractural Services Automobile use allowance Telephone and Te1egratn Travel Postage Feeding Prisoners Blue Printing and Photography Printing, Binding and Duplicating Mis cellaneous Motor Vehicles .. Insurance Repairs - Building Repairs - Furniture and Fixtures Repairs .. Machinery and Equipnent Repairs ... Motor Vehicles Repairs .. Ml;)tor Vehicles Tires and Tubes Wash and Lubricant Repairs... Radio Equi:pnent Laundry a.ndTowel Service Total Contraotural Serrloes $ 915000 846.20 63052 . - 38.28 1,034076 126015 6l6~(f/ 350ll 200.38 306~20 38.75 60.00 2,729.82 47.13 '170001 1,023.50 lo~O Materials and SuPPlies Expendable Tools $ 198.01 OtfioeSupplies 7U~8 Books arid Periodicals 9.55 Chemicals, Drug and Laboratory Supplies 82024 Food' for animelsand Fish ' 164~9 Jariitor and ToUet Supplies ' . 23~39 Motor Vehicles .. Fu:el,Lubricants&A.ntitreeze 4,01902:7 Motor Vehicles ... Tags 57 ~61 Moter Vehicles.. parts 62.57 Motor Vehicles ... Tires and Tubes 5&7.97 Wearing apparel 299.78 Other Operating Supplies 561.06 EleotrlGal&nd Lighting Farts 11.91 MaC1:i1iieriand' EqUiI1llent . Parts 73.38 P&ints &rid Fainting Supplies 83;03 Radio Parts'" 8 .00 "Total l4a:teria1s and SUpplies CaPital '0ut4'v ,. '~- . FUrIliture '. and Fixtures BOliee EquijDent' . Total Capital Outlay' SundrY" .' -, "'orgamzati:oDal Dues Total Expend! tures . 57.60 596.4~ 51 , Schedule Itl_llt $74,826.24 $ 8,252.38 t 6,933046 . 654.09 $ '. . 215030 ~?O,881.47 GITY OF SALINA. ~ GENERAL OPERlTIOO .FUND DETAIL OF EXPENDITURES - PUBLIC HE~TH DEFARTMENT January 1. 1~51 to Deoember 31. 1951. Inclusive Personal Services Supervisor Other Salaries Medical Total Personal Services Contraotural Services AutOmobile use allowance Travel Miscellaneous Frinting, Binding, and Duplicating Repairs - Furniture and Fixtures Repairs - Machinery and Equipment Ice and Distilled water Service Tree Spraying Service Total Goatractural Services Materials and Supplies Expendable Tools Office Suppl1es Chemicals, DrUg and Laboratory Supplies Fuels and Ialbrioants . Machinery and Equipment Parts Total Materials and Supplies CaP! tal OutlaY Machinery and Equipnent Sundry Organization Dues Total Expenditures $3,300000 6,64,0.59 450.00 %\ 780.00 133.50 127069 13.50 1.50 38.08 13.65 479.76 $ 22.50 81.30 1.49047 19.15 40051 52 Schedule -104" $10,390.59 $ 1,587.68 $ 312.93 $ 2,3ll.40 $ 5.00 t14.6cf7 .60 ,- CITY OF SALINA. KANSAS GENERAL QPERATING FUND DETAIL OF EXPENDITURES - STREET.. ALLEY AND SEWER Janu.ary 1. 1951 to December 31. 1951.. Inclusive Fersonal Se1"vi.oos Superintendent Mechanics Sweeper Operators Maintenance Paved Streets and Alleys Maintenance Bridges Maintenance Buildings Maintenance Equipnent Maintenance Sewers Maintenance Paved Streets and Alleys Repair Unpaved Streets and Alleys Snew Removal Plumbers Fatches Painter Foreman Mis cellaneous Medical Service Total Personal Services $ 4,025.00 5,619.20 4,951095 11,03.3055 8.40 2,160025 '306060 1~465.50 . 694.00 3,701010 1,142.10 2,539.90 1,147068 2,899..30 2,347015 17.00 Contraotural Services Automobile use allowance Telephone and Telegraph Printing, Binding and Duplicating Miscellaneous Motor Vehicle - Insurance Gas Service Light and Power Service WaterServioe Repairs - Machinery and Equipnent Repairs - Motor Vehicles " . RePs:ir's - Motor Vehicles Tires and Tubes Re:P41rs -sewers - - Total Contractural Services $ 600.00 146~64 2040 1,087.96 756.47 246026 44.56 81015 433.62 '323093 659010 8.91 Materials atid SupPlie. . , , Ii- ndable Tools $ 363020 ,- 'SapPlies 30.87 . Lubricants 545033 ." 'aDd ToUet'Supplies ' - < '3001 110 - Vehicles..Fu.e1,' 1abricants & An.tifreeze3,818~S7 Motor Vehicles-IAeense Tags -191~25 Motor Vehicles-Parts ' 2,393.9' MotOr' VehiCles-Tires and Tubes 1,31"1049 Other Operating Supplies 26.83 Asphalt and ROad OU 3,028000 cement " ". .,. 41.3.93 Electrical and Lighting Supplies 32.70 H~~ ~.~ Schedule III_nit 53 $44,058068 $ 4,391.00 Imnber MaohiDery and Equipnent Farts Metal and Metal Products Paint and Painting Materials Sand, Rock, Gravel and Chat Sewer Fipe and Tile Sweeper Parts Welding and Black:sm1 thinglr1a terials Total IIa terials and Supplies 2052 1,730029 77.82 7.rn 2,006030 , 180053 1p661.84 256076 Ganltal OutlAV Garage Equipnent Street and Sidewalk Improvements Transfer t. Machinery Account Total Capital Outlay Total Expend! tures 34095 6,021056 6,000000 $18,130015 $12,056051 t7806.36.34 CITY OF SAT.TNA. KANSAS GENERAL OPERATING FOND DETAIL OF EXPENDITURES - GARBAGE DEPARTMEln' January 1. 1951 to December 31. 1951. Inclusive Personal Services Superintendent Drivers, etco Medical Services $ 2,850.00 53,497.30 185000 Total Fersonal Services Contractural Services RePairs - Machinery and Equipment # MiscellaneoUs Motor Vehicles - Insurance Motor Vehicles - Repairs Motor Vehicles - Tires and Tubes repaired 3.50 800030 385012 118.86 112.80 Total Contractural Services Materia1sand SUpPlies Motor Vehicles - Fuel, Lubrioants&antifreeze3,367.83 Motor Vehicles - License Tags 157 .50 Motor Vehicles.. Farts 249.02 Motor Vehicles.. Tires and Tubes :::550.00 Expendable Tools 314.81 Machinery and EquiIDent Parts 791.24 - --.- - < & Total Materials and Supplies CaP! tal OutlaY Trucks Total Expenditures Schedule -1-0. 54 #56,532.30 $ 1,9420.58 $ 5,430040 $15,270021 ~78.653.49 CITY OF SAUNA. KANSAS GENERAL OPERATING FUND DETAIL OF EXPENDITURES .. W.ASTE COLIECTION AND DISPOSAL ~ - -'. . - . ..,. Janua.ry 1. 1951 to December 31. 1951. Inclusive Fersona1 Services Drivers and Laborers $7,916.10 Total Fersona1 Services Contractural Servioes Telephone and Te1egraIil Miscellaneous Motor Vehicle Insurance Machinery and Equipnent Repairs Waste $ 16.85 68.79 52008 209002 23.74 Total Contractural Services Materials and SuPPlies Fuels and Lubricants Machinery and Equipment Parts Sand, Rock, Gravel and Chat Total Materials and Supplies $ 476090 315.49 45.18 Capital Outlar Equipnent Total Expenditures 55 Schedule ItI_pIt $7,916010 $ '5l 0 048 $ 8Yl.57 $ 25000 )9.149.15 CITY OF SALINA. KANSAS GENERAL OPERATING FUND DETAIL OF EXPENDITURES ... SEWAGE DISPOSAL January 1. 1951 to December 31. 1951. Inclusive Personal Services Superintendent Other Labor Total Personal Servicas Contractural Services Automobile use allowance Telephone and Telegraph . Printing, Binding and Duplicating Miscellaneous Building Insurance Motor Vehicle... Insurance Gas Service Light and Power Service Repairs ... Buildings Repairs .. Machinery and Equipnent Repairs - Motor Vehicles Repairs.. Motor Vehicles Tires and Tubes Total Contractural Services Materials and Supplies Expend8.b1e Tools Chemica.ls, Drug and Laboratory Supplies Fuel and Inbricants Janitor and Toilet Supplies Motor Vehicles-Fuel, Lubricants & antifreeze Motor Vehicles ... Tags ' ' , Motor Vehicles .. Tires and Tubes Electrlcaland Lighting parts Maehi ~ry arid Equipnent Parts Fa~nt and Fainting Materials Total Materials and Supplies CaP! tal Outlay Trucks Total Expenditures $ 2,865.00 10,893040 $ 300000 253090 16.00 206045 523.20 26068 27020 8,420.55 248.27 89.68 48.10 1.00 $ 32.65 39.33 74020 22.56 294076 7050 15005 . . '77027 1,032096 58.97 56 Schedule Itl-qlt $13,758040 $10,161.03 $ 1,655.25 $ 1,043.40 ., , ;26.618008 CITY OF SALINA. KANSAS . GENERAL OPERATING FUND DETAIL OF EXPENDITURES .. STREET LIGHTING Januar.v 1. 1951 to December 31. 1951, Inclusive Contractural Services Fower and Light Service Sundry Charges to Aocounts Receivable Total Expenditures 57 Schedule wl..r" $22,157074 $ 679.36 .22.837.10 CITY OF SALINA.. KANSAS GENERAL OPERATII<<l FUND DETAIL OF EXPENDITURES - TRAFFIC AND ,PARKING OONTROL JanuarY 1. 1951 to December 31.. 1951. Inclusive Fersonal Services Wage. and Salaries Contractura1Services Miscellaneous :Printing, Billding and Duplicating Repairs - Machinery and Equipnent Lights and Fower Service Total OoD.tractural Services Materials and SuP1Jlies Expendable Tools Fuel and Lubricants Fuel and Lubricants - Motor Vehicles Signa Wearing Apparel Faint ~ Painting Materia1s Traffic Contre1 Parts and Materia1s Total Materials and Sapplies Capital OutlaY EquiJlD8nt Automobiles Total Capital 0utla7 Total Expenditures $ 45.47 13015 1,849.82 1,199.35 $ 16.71 1.20 .30 2Zl076 45097 687 000 3,760073 '$1,926072 822.90 58 Schedule lt1_slt $ 4g728.15 $ 3,1(J7.79 $ 4,739067 $ 2,749.62 t15..325.23 CITY OF SALINA. KAN$J$ GENERAL OPERATING FUND DETJIL OF EXPENDITURES .. AIRPORT DEFARTMENT January 1. 1951 to December 31. 1951. Inclusive Personal Services Salaries and Wages Oontractural Services Social. Security Buj ]jH ng InsuranM Gas Service Light and Power Service Repairs .. Buildings Repairs · Machinery and Equiplent t 1039 439032 7045 334003 350053 401071 Total Contrs.etura1 Services Materials and Su,pPli.es Electrical and Lighting Parts Machinery- and Equipment Farts Paillt and Painting Materials $112095 24.69 31.24 Total Materials and Supplies Ca Pi tal OutlaY Landscape and Horticultural Imp. Equipaent Total Cap! tal 0utla1 $715047 605004 Total Expenditure. 59 Schedule "I.tlt $ 492.80 $1,534049 $ 168.88 $1,320051 i3_51606S CITY OF SA1::.HIA. m~ GENERAL OPEBATING FUND DETAIL OF EXPENDITURES - SWIMMIOO FOOlS ~aDl1ArY 1. 1951 to December 31. 1951. Iaolusive Personal Serrlces Salaries and wages Gontractural Services Telephone and Telegraph Frinting, BiDdiJJg and Duplice. ting Miscellaneous Gas Serrloe Light and Power Sarrles Water Service Building and other Structures Repairs - Machinery and Equipnent LallJldry and T01le1 Service Total Oontraetural Services $ '.72 26.34 88094 J~'o 71 32040 423050 192.05 295064 57.64 Materials and Supplies Expendable Tools Chemicals, Drug and Laboratory Supplies Janitor and Toilet Supplies Concessions Eleotrical and Lighting Parts Ilach1ner,r and Equipaent Parts Paint aDd Painting Mater~als fota1 Material aDd Supplies CaPital OutlaY Recreational Equipaent SwadrY Sales and Admission Tams Remitted $ 12.62 282 048 47047 1,783.14 2.73 8040 178.49 Total Expenditure. 60 Schedule a I-u" 15,358040 $1,139094 $2,315.33 $ 132.00 $ 511.69 t9,457.36 Schedule 1121t 61 62 Schedule · 311 CITY OF SALINA. KANS.&3 GENERAL AND SPEGUL ntPROVEmm FUND STATEMENT OF RECEIPrS. DISBURSEMENTS AND BALANCES OF CASH A.ctual Balance January 1, 1951 Receipts Taxes !!.2!l! Tetal Receipts '7,*067 174067 J74.67 Total Accountability Disbursements None Balance Deoember 31, 1951 #74.67 CITY OF SA-LINt. K~AS GENERAL IMPp.OVEMENT FUND STATEMENT OF RECEIPrS. EXPENDITURES. LIABILITIES pm BALA.NCES AND COMPARISON WITH .1951 BUOOET .January 1. 1951 to December 31. 19'1. Inclusive Actual Budget t18.Q47.04 . 1,1;?65 ,Balance January 1, 1951 Reoei~ Ad Valorem Tax (Exh. G) Sales Tax Weed Cutting .. Fersonal Weed Cutting .... Tax Sales and Services Miscellaneous Total ReceiPts Total AccOUntability ExPenditures Personal Services Wages and Salaries $29,321.31 ProressionalServioes " 417 .~ Total Fersona1 Services ~29. 738. 6 Contractural Services Repairs .. Machinery & Equipnent $ 3,451.85 Repairs .. Motor Vehicles 1l~30 Repa.1rs .. Motor Vehicles Tires&Tubes 2.50 Repairs.. Sewers . 1509'7 Repairs ..Streets,SidewalkS&Bridges. 294.10 TotalOontraotural Services $ 3.775.72 MaterialS and Supplies . , Expendable Toels $ 7.00 Motor Vehic1e..Fue1,Lub.&Antifreeze '479.19 Asphalt and ROadOU 1,215002 BrickS and MasoDi'y 178 ~64 ceinentaDd Cement Products 391.85 Hardware ~ - - '- ~ - 491.91 LUmber aDd.lllieclProducts 389..52 MaChinery and Equipnent Parts 473065 MeW and Metal ProdUcts 512 $1 Motor Vehicle ;. Partti 104~38 Paint and Painting Materials 80/...47 Sarid, Grave.:r, Rock and Chat '449.37 ~:i :t~~~T~ ~p;'es J ~:=:~ SundrY" .-- . "Soci&lSeCUrl ty Tax Tota). Expenditures $35,60~.16 4,734071 38050 39000 o o l~~:~~:ll Liabilities: '1..1-51' 17069.03 12;')1..51 ""84.33 Cash Balance December 31, 1951 m;i~:~ 16.9~.70 i 27 .35 .Amoun1~ or Actual Over ~et ' ~;L6 1l.39 63 Schedule a 4" .Amount of .Actual Under Budll!et ~ $35,178.32 $ 42;~.84 $ 4,734071 0 3f~050 '0 39.00 1,350000 1,350000 501o~2 115. 5600Al '~Olo~ ~, 7640 5 ~1. 500 W.900.00 $ 125.720.00 f ~.600.00 ~ '. ~ ~12.580.00 'b~~~.oo j j 4, 01S~ it j $ 84~ , - J17.261.o5 , - j ~ 824.28 f4. 9'19 005 ~"'~., . _, ".,_d .v". . ~, " ? 64 Schedule It 5" CITY OF SALINA. KANSAS CEMETERY FUND STATEMENT OF RECEIPTS, EXPENDITURES, LIABILITIES AND BALANCES January 1. 1951 to December 31. 1951. Inclusive '.aunt of Amount of Actua1 Budget Actual Over Aotual Under Bud~et Bu~et Balances Janu.ary 1, 1951 j 1.255.71 i 1,736070 J ""}48099 Receipts Ad Valorem Tax (Exh. G) $ 2,989001 $ 2,921.70 $ 67031 * Sales'Tax 696..39 ' 6960.39 Burial and Removal Fermi ts 3,648000 2,700000 948000 Marker Permits 74.00 75000 1.00 Lot Transfers 19000 15000 4.00 Lots Sold 1,660000 1,000.00 660.00 Interest Received 150000 150.00 Grave Space Sold 285~OO 350.00 65.00 Care of Lots 180050 300.00 119.50 Miscellaneous 0 101 21 101.21 Total Receipts t 90701.r;. . 8.309:30 .1.~2.60 ~ Total Accountability ~10. 957 ..... J10,046.00 j 911.61 t Ex-oendi tures Personal Servioes Sexton $ 2,310.00 Other Salaries 6.~03 .60 Total Fersona1 Services $ 9,113060 ~ 8.000,00 J1,113 060 ~ Contracture.! Services Telephone and Telegraph $ 109000 Frinting, Binding & Duplicating 25.00 Building Insurance 37.00 Motor Vehicles Insurance 20.74 We. ter Service 40.20 Repairs - Buildings 90063 Rep:l.irs - Machinery- & Equirment 2090.35 Repairs .. Motor Vehicles 18.50 Repairs - J!oter Vehicles Tires & Tubas 3000 Total Contractural Services ~ 553042 f 596000 t J 42 .58 Materiale.nd Supplies $ 7.65 Expendable Tools Fuel and lubricants 34.56 Motor Vehie1e,tuel,Lub~antirreezQ 134.81 Motor Vehicle License Tags 15.00 Motor Vehicle Farts 3079 Cement and Cement Products 31073 Sand, Gravel, Rock and. Chat J 200)A ~ J ~02 .12 Total Material and Supplies 247088 450.00 Capita10utlaY ' , . Equipnent 11 ' 0 J r8O:*p Total Expendi turtls 10 0 0 , 11 0 923031 $ 923.31 ~ Liabilities: I-I-51 U3042 Cash Ba.lAnce Deeember 31, 1951 ~ 779089 65 Schedule lt6tt CITY OF SALINA.. KANSAS JUBI.J:C HEALTH NURSING FUND STATEMENT OF RECEIPl'~, DISBURSEMENTS AND BALANGIl} AND OOMFARISON WITH 1951 BUOOET . January 1. 1951 to December 31. 1951, Inclusive , Jmoun1~ of AJliount of Actual Budget ~otual OVer "Actual Under # . Bu~e.:L- 'Budp;et }3alance January 1, 1951 19073 3.21 $1 .~~ Receipts Ad Valorem Tax $4,1S9.Cf7 $4,135.19 $53.H8 Sales Tax 578.67 578..67 Miscellaneous 0 48.93 48.93 Total Receipts $4,767.7/J. J4,762 072 8 4.~~ Total Accountability $4.787 .47 $4..766.00 $21.41 -- -- Disbursements Publio Health Nursing Association ~4, 766.00 U,766.00 . . ' Total Budget Charges J4. 766.00 ~. 766.00 Gash and Unencumbered Balance Be camber 311 1951 I 21047 ~ 0 $21.,~ 7 '66 Schedule .71t OITY OF SALINA. KANSAS BAND FUND STATEMENT OF RECEIPlS. DISBURSEMENTS AND BALANCE9 I AND OOMPARISON nTH 1951 BUOOET " . - . - . .- ..' januarv 1. 1951 to December .31. 1951. Inclusive Total Receipts Total Acocnmtability Disbursements To Library Board Total Disbursements Schedule &tsn 67 CITY OF SALINA. KANSAS LIBRARY FUND STATEMENT OF RECEIPrS. DISB~NTS AND BAT.4~CES AND ~MFARISON nTH 1951 ~~~ET J.anuar:v I. 1951 to December 31. 1951. Inclusive .Actual .Budget Amount of' .Actua1 OVer BudR:eL-. $ 339 .ZQ.. :aalance January 1, 1951 Receipts Ad Valorem TaX Sales Tax Mis oellaneous $ ')39070 f 0 $30,677.20 3,704(159 o $34.381.79 $34.721~9 $30,367.64- 3, '704059 6cr/o7'7 ~34. 770o?? J34.770000 $309.56 J34.072.2') j34.770.00 $34.072.23 $34,..770.00 $ 649.26 $ 0 Balance December 31, 1951 $64 9 .:~6 .Amount of .A.otual Under l3udRet 69'7.77 '88.21 48.51 69'7.77 69'7.77 ,68 Schedule "91t ",-- r 69 Schedule -10" Hillcrest 14emoria1 Trust Fund t4.441.50 5,510.00 $5.510.00 J9,951.50 1,805.00 ~1,805000 $8,146050 0 ~.146.50 TRUST AND AGENcY ~CEIP1'S DISBlJRSE~N'!:S_~ ~C'ES December Inclusive 1 to QF 'ATEMENT Jaw; Hillcrest Memorial Endowment .Fund j 7.~04080 Oemeter,r Endo1Ql18nt - Fund J 5.2660~ Policemen Relief and mslon Fund '14.859.83 Firemen t s . Rellet 'l)1Fd .37 . 576.~3 l'iremenls fenslon Fund 110.297.31 Total All Funds --, 301.00 532000 j 83;000 j 8.337.80 776.50 t 776.50 j 6.042084 $ .26 2,110.36 . 2.110.62 ~16. 0/70 045 390.95 178.50 1,700000 25092 ~ 7.937096 ~45.. 514049 61;2059 5, $ $ 4,049.08 . 505.08 2,719.51 J 7.273.~7 '17.570.98 4,049.34 . 505.08 5,220082 . 479050 1,700.00 . ' , 1,308050 25.92 5;510.00 5,642059 $ 1951 Receipts Ad Valorem Tax Sales ~e.x Membership Fees and Dues Interest Investments Matured Sales of Ferpetual Care Sales of Maso1eum Space Refunds and Recoveries Gifts, Grants and Apportionments Comm1ssiou Miscellaneous Total Receipts Total Accountability 1, Cash Balances January $ 1,562.92 720.00 957 .36 7.00 $ 8,810.50 788.38 100.00 7,727050 $ 1,562092 720.00 . 957 .36 1,805.00 7000 '100000 16,538000 788.38 06 Disbursements Insurance RelietFayments to Disabled Men fi"otessiorial Services COmmissionS Hospitalization Damage 'ClaimS Pensions Faid Ref'onds t 0 $ 8,337080 6.500.00 '. ' 080 ~ 0 $ 6,042 .84 ,7 ~ 500 .00 413.542.84 t 9.598.88 $ 7,371.57 o $ 7.371057 ~ ')..247.28 $42,267.21 10.200000 $52.467021 $ 7.827.50 $ 9,743048 o ~ 9,743.48 o $ 81, 1951 Total Disbursements Cash Baleiice December 31, 1951 Investment Balances December 31, , . Fund Balances December 31, 1951 10 Schedule 8lO-A" CITY OF SAT .TNA... KANSAS FIREMENtS PENSION FUND STATEMENT OF RECEIPrS. DISBURSEMENTS AND BALANCES . , 'AND COMPARISON nTH 1951 BUOOET 'January 1. 1951 to December 31. 1951. Inclusive CITY OF S4UNA. KAN~ roLIGE RELIEF AND PENSION FU.ND STATEMENT OF RECEIPrS. DISBUR$MENTS AND BAIANCES OF C~ AND ?OMPARISON WITH 1951 ~UIGET January 1. 1951 to December 31. 1951. Inclusive Actual Balance January 1, 1951 Receipts Ad Valorem Tax Ref\u1ds and Recoveries Salary Deductions j14.859083 Budget 113.807.36 $ 026 $ 0 100000 2,110036 2,100000 Total Receipts j 2.110.62 $16.970.45 Total Accountability Disbursements Pensions Paid Refunds Miscellaneous f ~,~?Oc.O() t16.0CIl.36 i 8,810.50 $ 3,168.00 788038 2,839.36 . ~~~~,88 i 6,007!36 j 7.371057 j10,000.00 Total DisburseJllents J1aJance December 31, 1951 Amount of Aotua1 Over BudRet '1.0'52 047 $ 026 10036 1:::== ~~ -- $5,642050 78:8.38 t3,~21g22 L-= 71 Schedule It lo..Blf Amount of Actual Under BudRet -, $ 100 ..00 $ ,89.~ j $ 2,8390.36 $ '2,628 043 CIn OF SALINA. KAi'iSAS INroSTRUL DEVELOPMENT :ruND STATEMENT OF RECEIPl'S. DISBURSEMENTS AND BALANCES OF c~ AND OOMPARISON WITH 19~1 BU~T January 1.. 1951 to December 31. 1951. Inclusive 72 Sohedule -lilt - ..73 Schedule It 12" 0ITYOFSALINJ..KANSAS BOND AND INTEREST FUND SnTEME:NT OF BEa&IPrS. DISBURSEMENTS AND BAUNOES OF CASH AND COMPARISON WITH 1951 BUOOET - . ' January 1. 1951 to December 31. 1951. Inclusive , Am6,tint of' , Amount of . Ac"'u.a1Over, Actual Under Bu~et Budget U 1.94' , Aotual . \..... . :audg~t . Balance January 1, 1951 Receipts Ad Valorem Tax General Borids SpeoialBonds Interest and Premiums Special Assessments Miscellaneous $ 33.791.0~ ~ 24.829011 Total Receipts Total Accountability $130i6rn~41 $128,9'78.06 $ 1,629~35 liO, 73l~58 78,378083 32,35~~75 519~15 0 519 J5 158;90 158~90 383.07 38 3.(17 J242.400~11 $207. 356!89 rn;~3!22 . , j276.191.16 J232.186.00 ~OO5.16 $199,422;80 $199,422~80 $ $ 17,208~92 16,863020 $ ,345.72 Z79030 " . 400~00 . 120~70 ,15,500~00 15,500000 . .- ..- " --, . -'. $216. 911 !()2 ~232.186.00 L: #15..274.98 ~ 59.280.14 , 0 $59.280.14 Disbursements Borid Frinci.pal. BOM Interest Commissions'and Postage Miscellaneous Total Disbursements Balance December 31, 1951 CITY OF SALINA.. KANSAS WATERWORKS DEPARTMENT FUND STATEMENT OF RECEIPrS.. DISBURSEM&NTS AND BALANCES OF CASH AND OOMPARISON WITH 1951 BUOOET January 1.. 1951 to December 31. 1951. Inclusive ~~'.,--_.. '-"4 Schedule It 13" 75' Schedule "13" (Cont t.) CITY OF SALINA. KANSAS WATERWORKS DEPARTMENT reND STATEMENT OF BECEIPl'S. DISBURSEMENTS AND BALANCES OF CASH AND OOMPARISON WITH 1951 BUOOET J'anuary 1.. 1951 to December 31. 1951. Inclusive Commercial and General Salaries Aocounting and Collecting Meter Reading Administration Office Su:ppIies and Expenses Stationary and Printing Insurance Extention and Betterment Sales and Compensating Tax Traveling Expenses Miscellaneous Social Security Total Budgeted Expend! tures Non-Budget Disbursements Loans Deposit Refunds Other Disbursements Total Total All Disbursements Balance December 31, 1951 Actual $ 8,517~91 8,299~?0 5,430000 2,423.83 1,610000 1,250067 67,939094 406 ;27 643.82 o 851070 Budget $ 7,OOO~00 6,ooo~OO 5,000;00 1,500~00 3,600~00 750000 50,000000 75;00 600~00 24,250000 Amount of Actual Over ~iget Amount of Actual Under Budget $ 1,~517 ~91 2,:~99~0 ~~30~OO 923083 ~)00067 17,939094 ~131027 43.82 e:S1070 1,990000 24,250000 t149.045.80 $153.195000 i:::: $167,959061 1,098000 57, 396?14 $226.~~3~75 l:n5~499 ,55 ~125..340071 $ 4.149.20 CITY OF ~A T JliA.., KANSAS MATERIAL STORES STATEMlsNT OF RECEIPrS. DISBURSEMENTS AND BALANCES JarmarY 1. 1951 to December 31. 1951. Inclusive Balanoe January 1, 1951 Receipts Material Sales Reimbursements $11.,685.05 2,438.12 Total Receipts Total Accountability Disbursements Motor Vehicles fuel, Lubricants & antifreeze Balance Deoember 31, 1951 77 Schedule 1l15u $ 1,101.96 $14,123.17 $15,225013 $12,909.57 ' ~ 2.315056 CITY OF SALINA.. KANSAS VETERANS HOUSING STATEMENT OF REOEIPl'S.. DISBURSEMENTS. AND BALA.NCES January 1. 1951 to December 31. 1951. Inclusive Balance January 1, 1951 Reoeipts Rents Total. Accountability Disbursements Salaries and Wages Insurance a.nd Taxes Gas Service Light and Fower Service Water Service Repairs - Buildings Soc1a1Securi ty Rent Remitted to U. S. Government Ref"tmd or Deposits $ 750.00 213.42 663003 619.89 227.85 118.64 2.28 9,246063 30.00 Total Disbursements Balance December 31, 1951 78 Schedule R 16't $14,179.04 $ 3,247075 $17,426.79 $11,871.74 $ 5.555.05 CITY OF SALINA. KANSAS CIVIL DEmNSE STATEMENT OF RECEIPrS.. DISBURSEMENTS AND BALANCES January 1. 1951 to December 31. 1951. Inclusive Balance January 1, 1951 Receipts Federal Grant Miscellaneous Total Accountability Disbursements Salaries and Wages Special Services Telephone and TelegraIh Office Supplies Equipnent Mis oellaneous $146.25 511.26 118.88 114 .48 l44.50 6.04 Total Disbursements Balance December 31, 1951 79 Schedule 111711 None $8,371.40 15000 $8,386040 $1,041.41 i7.344099 CITY OF SAT.TNA.. ~~ STREET MACHINERY STATEMENT OF RECEnTS. DISBURSEMENTS AND BllANCES January 1. 1951 to December 31. 1951. Inclusive Balanoe January 1, 1951 Receipts From Street Fund Total Accountability Disbursements Machinery Balance December 31, 1951 $ 2,298025 16,000000 $18,298025 9,905000 i 8.39302~ . 80 Schedule "18tt 81 Schedule 1f19" Totals lI12?0.33 $39,953.21 9,251.59 4,377..50 ~53.582.30 ~60.832.6:3 ~; 4,369.77 .3,205.50 38,004..63 $/..5.579.90 .~15.252. 7~ CITY QFS CrnAlUNG A.CCOUNTS Social Security Bonds TaX - $ 0 J2,108.7) $8,401.86 ... ~ * 9,251.59 ~8,401.~6 ~9,251.5? $8,401.26 ii!:1, 360-:32 ;t; ** $4,369077 . 7,284.18 il...t..284 . J8 .'4 ~69 77 jI ,... .. ~J117 ..68 ~6. 990. 5.5- - $2,000.00 4B6.00 6,697.59 50.00 $9.233.59 $1,000.00 486.00 2.883.77 ~4.369~TI Advance 1952 $ 0 Advance 1951 $3.205.50 OF CASli Withholding Tax: BALANCES Inclusive DISBUHSEJM;NTS AND December RECEIPl'3 Oli' J anuar STATEMENT $ $ $ 1.9~6.10 $31,551.35 1951 Receipts , Withheld from Salaries Bonds required 1952 Lioense Fayments Balances January 1, 4,377.50 $4.377.50 $4.3'77 .~O ~ 0 $3.205.50 i~1,5~1~ $33.487.LI-5 in 1951 Total Receipts Total Accountability l!~' iP <1 0 'll' ~,~ . 377 .. 50 -- $ 3,205.50 th?02050 $ 0 30,720.45 $ 2,767.00 $ Disbursements Refunds of Bonds To Fund Accounts 1951 To U.3. GO"lernment Total Disbursements 1951 Bonds Required House Moving Public Adaress and Timekeeper Special A.ssessments Plumbers Bonds Refunded House Moving Public Address and Timekeeper Special Assessments Balance December 31, * ** CITYOFSALINA..KANS.tS ~ OF BANK RECONCILIATIOtS December 31. 1951 Certified Outstanding ~~~~~s Che~ NatioDal Bank of America - General $135,400.93 $ National Bank of America - Water Refund ", 659025 Planters State Bank 164,833.6'1 Farmers National Bank 106,4f17 077 Totals ~407.301.62 19.80 , 486049 21,301098 4047 $21.812.74 ::82 " SOheduJ.e .2()11 Added. PEH)Q~i ts Book Ba1ance~,. !~ 0, $135,381013 . , 172076 3,102083 146,634.52 o 106,403.30 ~3.102083 1J88.591.71 ,.~,83 Schedule 1t20-AII CITY OF SALINA. KANSAS OUTSTANDlm CHECKS December 31.. 1951 National Bank of Jmeriga Certified Balance December 31, 1951 Outstandilul: Checks $135,400.93 Number 918 9591 21755 298;0 Book Balance December 31, 1951 $' $1.20 9030 1.50 7.80 , , 19 80 ~135.381:13 Farmers National Bank Certified Balance December 31, 1951 Outstandi!Ul! Checks $106,40'7.77 25001 36353 $3020 1.27 4.47 ~106..403030 Book Balance December 31, 1951 National Bank of America - Water Refund Certified Balance December 31, 1951 Outstan~ Checkss Undelivered but Issued Issued and Outstanding $ 659025 $319069 166.80 Book Balance December 31, 1951 $ 486049 t 172076 84 Schedule 1120-.111 Gontt Plai'l"ters State Bank CertitiedBalanoe December 31, 1951 Add Deposits a:rter 12-31...51 Outsta.ndi~ Checks Number ~r 4689 $ 112096 4730 "1.22 4564 61.56 2954 ll&a8 1907 10.65 10248 .30 1800 35~0 3940 21.85 1209 25000 4976 10~OO 1237 1l0~00 1064 4 ~13 1474 8.06 1527 10.00 35 3.60 51 1.88 88 21.00 98 1.85 1600 17.50 30 40.00 91 882000 1737 178036 4 6,169011 79 66~00 80 42000 1 19.25 2 136061 3 18.00 4 16.00 5 6.04 6 75.00 7 30 ~80 8 2.58 9 12032 90 193.22 1 79000 2 137.53 December 31 Payro1l21, 584.60 Less Paid ( 2,019089 Book Balance December 31, 1951 Number 1688 1738 1636 1681 1733 15C17 1749 1696 1626 $m,3(17 064 i.535~ t17 ,843 $' t 45.60 266029 103.19 10.00 -117.09 1,106.41 3.40 340.00 15~09 25.00 $ 30,208.54 Jl/a.6.634052 Number 2all 3366 3480 3548 3677 3686 3787 4054 4331 4334 4360 4518 4581 47~ 4891 50U. 5085 5239 5252 5772 5903 50/73 5975 5976 5980 5981 5984 85 Schedule 1t21St CITY OF' SALINA. KANSAS CASH IN TEE CUSTODY OF THE CITY COURT w. J. Broom December 31. 195i1l $ $ 075 5000 .75 1~45 005 4010 .'17 075 .75 c75 040 .075 10.00 1.30 25~00 10.00 10.00 1035 1.90 2.40 2.00 068 '000 5.00 9.00 5.00 25000 Nu.mber 5985 5999 6003 6004 6005 6006 6008 6010 6011 6013 6014 6015 6018 6019 6021 6022 602:4 6026 6027 6028 6029 6039 6031 6032 6033 6034 Certified Bala.lo.ce Deposit 1...:2..51 i 5!~ 1.40 10000 5~00 3.35 1.30 1.00 50.00 45000 5.00 10.00 5.00 9~50 10~00 10.00 7.50 0,0 25000 20.00 5000 25.00 .30 15.00 354023 8.10 455052 Book Balance ~2,843.30 - 10.1.4 i2,853044 tl;~17.05 $1.636039 86 SChedule .22" CITY OF SALINA. KANSAS REGONCIIUTION ~F~S~~T. AGENCY ACOOUNT ~cembe:r 1a. 1951 WATERWORKS DEPARTMENT SALINA.. KANSAS fiNANOIAL REFORT OOVERING THE FERIOD FROM' January 1. 1951 to December 31. 1951 D. N. Turner Gl5RTIFIED PUBLIC ACCOUNTANT ~IT.TNA. KANSAS 87 WATERWORKS DEPARTMENT FUND In aocordance with instructions received the books and records of the Waterworks Department Fund City of Salina, Kansas have been audited for the year aDded December 31, 1951 and we now submit the following report based on that examination. SOON OF AUDIT The audit was performed in accordance with the general !lnd specific required provisions of the Minimum StaMard Audit Program, apprO'TE3d by the State Municipal Accounting Board applicable to such funds. The audit included a verification ot the Assets and Liabilities of this fund at DeceInber 31, 1951, in the manner and to the extent hereinafter indicated and a generli1 review of all revenue and expenses for the year 19510 HISTORY The Waterworks system, supplying the water needs of the residents of the City of Salina, Kansas, was purchased from private interests :In October, 1925, by the City and since Jamary 1, 1926, has been operated as a municipal activity. The Waterworks Department is governed by the City Commissioners. B~C'E,~ The balance sheet of the Waterworks Department as at Deoember 31, 1951 is presented in Exhibit RAil and is briefly summarized below: Assets Liabilities. Reserves aDd Surplus Surplus Reserve for Depreciation eurrent-tiabillties Total- Liabilities- Reserve and Surplus $1,438,248080 , . ' Flant and Property Current Assets $1,342,905048 290,564.56 $1,633,470.04 180;180.20 . ':u., 9~.OL. $1,633,470.04 APPLICATION OF FUNIS 88 The Source and application of funds realized during the period under review is shown by the following statements. Funds Provided: From net inCOD18 for the year ended December 31, 1951 Add Back Depreciation taken for the year 1951 for which no ca.sh was required Decrease in current assets Total Funds Provided Funds Applied: T19 adjustment Investment aocount To purchase of Plant and Equipnent Equipaent (Fire Department) Water Ref'unds Water Softener Expense, stco Charges to Depreciation Reserve Total Applied to Furchase Plant and Equipnent $ 38,171049 15,151.20 73.414063 ~12607Ylo32 $ 275.00 67,939.94 5,751010 43,836009 6,487 .85 2.447034 $126.737 .32 The increase in working capital represents the net incrEtase of current assets over current liabilities as follows: December 31 1951 !2.2Q $126,299.92 $ 83,24f~.41 -- 25;,000.00 6'0000 'l,57~i.OO 118,064.55 195;,678044 10,285~01 1l,40€~.56 34,836.80 26,70~i.52 172.76 21,30€~.85 255.52 Current Assets: Cash Un! ted States Bonds City ot Salina: Bonds City otSa1iDa Temporary Notes Acoounts Receivable J4aterialsalld Supplies Cash ,set aside tor Refund Deterred Charges Increase (Decrease) $43,051.51 ( 25,000.00) ( , 925000) ( 77,613.89) ( 1,123.55) 8;,131028 ( 21,1360(9) 255.52 Total Current Liabilities ;290.564.56 $364.924.78 11 74.360.22) $ 4;,828.04 $ 6;,961.67 9,398.00 8,881.00 715.00 4~S096 ~ 14~ ?41!04 . 15..886.63 J275.623.52 $349.03H.15 Current Liabilities: AOOo'l1nts Fs.yab1e Meter Deposi ts Expense Reserve Total Current Liabilities Net Working Capital ($ 2,133.63) 517~OO 671.04 I# 945.59) j 73..4l.4.63 89 PJANT AND :PRO:P.ERTY The net increase in Plant and Property Accounts is shown in Schedule -2. together wi. th the balances in the various accounts at the beginni'Dg and close of the year. O"URRENT ASSETS Cash in Office and City Treasurer: Cash on hand in the office was counted on January 2, 1952 and traced at that time into the days bank deposits. Cash Disbursements for Meter l)eposi ts Refunds, Miscellaneous Payrolls, Freight, Express and Petty Claims are made from current cash on hand. Reimburse- ment for these items are later received from the City Treasurer t,p..xough ePprop.. riations made by the Board of City Commissionerso Cash in the hands of the City Treasurer was verified and comPared with the records of the City C1erko The payments of vouchers for the Waterworks Department are now being handled in the same manner as all other fund payments are under the &a.me type of authorization, and the warrant- cheeks are issued by the City Clerk and entered on his reoords, the same as those for other funds and departments. United states Bonds and City of Salina Bonds were presEmted for our inspection by the City Director of Finance in the absence of the City Treasurer who keeps them in the National Bank of America. All coupons werE. found attached , , - to the bondS, and the bonds on h~d agreed with rEtoord~ of bonds he1do City of Salina Temporary Notes represents money advano3d to the City - "_. by the Waterworks Departments, Date of Isstte, Interest Rate and ,lmounts of these Temporary Notes are lis~ed in ~~~~t, ~~~ under ~he Ci~y ,ludit. Total billings for the year p~us ou~standing aocountsat the ~g~nning of the year Tfere aocounted for either in the form of cash received during the . -. ~ year, discounts and rebates allowed, bad debts charged off, or outstanding accounts due at the close of the yearo Inventory of materials and supplies represents the value of these 90 iwms on hand De6ember 31, 1951, as inventoried under the supervis.ion of the su:p9r1ntendent, l'Iho stated that the quantities were correot and the items were priced at the lower of cost or market. The extensions and fC10tings were verified. CURRENT LIABILITIES Acoounts payable represent amount due on open account as at December 31, 1951 as shown by the City Clerk's Purahase Order Recordo The total outstanding deposits at the audit date, as shown by the General Ledger, was reconciled to the detail of individual deposi 1iories <) Your attention is directed to the fact the interest on Meter Depof~its is not paid by the Waterworks Department in accordance 1dth the requirements of Section 12-B22 G. s. 19350 SURPWS The only changes in the Surplus Account was the addition of 1951 Gain, and the deduction of the cost of the Fire Equipment in the amount of $5,751.10 purchased for the Fire Department and expenses in connection with the proposed Water Softener Plant in the amount of $6,487 .83 and $43,836.<:9 Wa.ter Rej~ds made during 1951. RESERVE AND DEPRECIATION The follcming tabu1s.tion swmnarizes the changes in the Reserve for De pre cia tion during the year 6 Balance Decem~r 31, 1951 $167,576034 15,151020 t1S2, 727.54 2,4/+7034 $180.280.20 Balance - January 1, 1951 1951 Provision for Depreciation Less charges to Reserve .. Autos disposed of The amount added to the ReserYe Account in 1951 represelt1ting the depreciation expense for the year was calculated by us and found to be correct. The reserve account represents back reserve only as no funds actually set aside or segregatedo 91 INSURAN~ All Insurance purchased during the year was charged to expense (l A statement of the insurance coverage in force at December 31, 1951 is presented in Exhibit ttMII under the Gi ty Audit. FIDELITY BONDS Fidelity Bonds are in force in the amount of $5,000.00 l3aeh on the Superintendent and Cashier of the Waterworks Department as shown :i.n Exhibit uL't in the general reporto OPERATION A detailed statement of profit and loss for the year 1951 is presented in Exhibit "Bit and its supporting Schedule ifIll. GENERAL No adjusting entries were necessary to adjust the books to oonform with the audited balance sheet and profit and loss statement sinCl' all necessary entries had already been madeo We wish to express our appreciation for the oo-operatiolO of the Superintendent, Gashier and other G1 ty Officials and Employees during the course of the exa.mina.tion. CITY OF SALINA.. KANSAS WATERWORKS DEPARTMENT BAIANCE SHEF.:X DGlcember 31, 1951 Fixed Assets Flant and Property (ScheduJ.e 1121() Current Assets Cash in office Cash - City Treasurer J General Cash - Ci. ty Treasurer, Refund Imrestments City of Salina Bonds City of Salina Temporary Notes Aocounts Receivable Vi a ter Service Lines Inventories Meter Department Operating Stores Deferred Char&!8s Total Assets Surplus Balance January 1, 1951 Adds 1951 Profit Less: Net Surplus Charges 1951 Reserves and Deferred Charp:es DEtpr.-eCia tion Expenses Liabil1ties Accounts Fayab1e Meter lJ$posits Total Liabil1ties, Reserves and Surplus 92 Exhibit ItAIt Ass~ $1,342,905.48 $ 959.21 125,340.71 172.76 $ 126,472068 t ' 650000 ll8,06/u55 t ll8,714.55 $ 6,285076 3,999.25 $ 10,285.01 $ 12,259.58 22.577.22 $ 34,836080 $ 255.52 $1.633,470.~4 Surplus. Reserves & Liabilities $1,456,427035 . ..38.171042 .1,494i598~84 56.350.04 $ 180,280.20 715.00 $ 4,828.04 9.398.00 $1,438,248 080 . 180,995.20 , 14.226.04 '1.633.470.04 CITY OF SALINA.. KANSAS WATERWORKS DEPARTMENT PROFIT AND LOSS STATEMENT Year Ended December 31. 1951 Sales of Water :Private Consumers Railroads County City Government Schools Fenalties Total Water Revenue Less Refunds Gross Receipts Less Operating Cost (Schedule III ") Depreciation Add Interest Received and Misco Net Inoome $127,757.98 2,040010 , 327.55 1,744.~5 73040 1,158080 1,369074 $ 82,269.36 15.151.20 93 Exhibit ftBU $134,471082 1,162.82 $133,309.00 $ 97 .420o~6 $ 35,888.44 ~,283.05 138.17101/1 94 Schedule Itllt CITY OF SALINA. KANSA$ WATERWORKS DEPARTMENT OPERATING COSTS Year 1951 ComPared with year 1950 Water SupplY Expense Well and Pump Repairs Electric Fewer Eleotrical Equipnent Repairs Total Water Supply Expense Production EJtl)enses Fower Superintendence Pumping Station Labor Fuel Miscellaneous Supplies and. Expense Repairs, Jmmping Stations, Lines and Equipnent Chemicals Repairs, Electrical Power la.1.brioants Total Production Expense Distribution Expense Labor Moving Meters Labor Meter DePartment Repairs Meters and. Equipment Repairs Hydrants Distribution Store Distribution Servioes Distribution Trucks Meter Serv1ce Total Distribution Expense Go1nJnei' Ci8.l. . and General Expense' Salaries - Accounting and Collections Salaries - Me~r Readiilg and Delivery Salaries - AdDdnistrative Office Supplies and Expense Printing I11SUrance Ociii1pe~~tirig arid Sales Taxa S Water Refund Salaries and Expense Traveling " , .. '. "Soci&I Security Total Commercial and General Expense Depreciation , Total Deductions ~ Increase (Decrease) !S~ . 'll5.72 5,845.13 286070 $ 101.53 4,Si04.4l 89.54 1- 4.995 cJ8 ($ 14.19) ( 1,040.72) ( 197 016) .!j1.25200~1) j 6.24705' $11,490.54 $ 9,608.90 ($1,881.64) 2,520000 2,S;35.00 ' 315000 8,918.80 10,084.27 1,165047 105.04 11;071 10.67 348.68 2:92 .02 ( 56.66) 1,.344083 678.16 ( 666.67) 758.00 1,4,31.00 673.00 149.9'7 32.98 ( 116099) 0 2:13.00 213.00 ~635.86 1E].91.04 I$ 344.82) $ 2,520.00 $ 2,693000 $ 17.3 000 3,771.00 5,337.80 1,600.80 2,0/79.60 .3,C99.59 119.99 380.23 '0 ( 380.23) , 960 .00 960 .00 0 6,033.19 7,663074 1,630055 886~71 1,179.70 292.99 353.83 4;2011 98.28 t17.850.56 ~21. 385.94 l 3.535038 o. .... , . - . ~- $ 8,542000 $ 8,517.91 ($ 24.(9) 5, 716~OO 8,299020 2,583.20 5;250.00 5,430.00 180.00 2,019.77 2,423~83 404.06 2,136.00 1,610.00 ( 526.00) 7/4.03 1,250.67 476.64 - 266~95 '. 406;27 (3~~Bl~:~) 4,208.52 l'~~~:aR ' 643 ~82 0 . 8~~70 ' , 851'.70 28' 1. 27 W~ftl~ ~1.683.63 l' 7 88 $ '10.3'~2 6 12 0'6 $3,725.MI SIR OF ~T.TNA. KANSAS II R ~! (Contfd.} l'age Numbers General Operating Fund - Detail of Receipts from Licenses, Fees, and Permits 38 Schedule "1-13" General Operating Fund ... Departmental Breakdown of Expend! tures , Compared with Budget Schedule "1-&11 39 Schedule n1_alt General Operating Fund .. Detail of Expenditures _ Mayor and Commissioners 40 Schedule "l_btr General Operating Fund .. Detail of Expenditures .. City Manager Schedule -1-08 General Operating Fund ... Detail of Expenditures .. City Glerk and Treasurer 41 42 Schedule "leodll General Operating Fund .. Detail of Expenditures _ Ci ty Building 43 Schedule Itl.e- General Operating Fund ... Detail of Expenditures _ City Attorney Schedule ttl-f"l General Operating Fund ... Detail of Expenditures .. Ci ty Coart 44 45 Schedule "l-g- General Operating Fund - Detail of Expenditures _ l'ol1ce Court 46 Schedule Ill_hu General Operating Fund .. Detail of Expenditures .. Engineering Schedule Ill_ill General Operating Fund .. Detail of Expenditures _ Fire Department 47 48 Schedule "l-j" General Operating Fund - Detail of Expenditures _ Inspections 49 Schedule lt1...kR General Operating Fund .. Detail of Expenditures _ l'ark Department Schedule 11:1-1" General Operating Fund .. Detail of Expenditures _ Fol1ce Department Schedule -1...11 General Operating Fund .. Detail of Expenditures .. Publio Health Department 50 51 52 Schedule -1-n1l General Operating Fund .. Detail or Expenditures _ Street, Aller, and Sewer Schedule Itl-oU General Operating Fund - Detail of Expenditures _ Garbage Department 53 54 95 Schedul.e -2" CITY OF S&LINA. KANSAS WATERWORKS DEPARTMENT !LANl'S AND PROPERTY ACCOU~ ComPared Je.zmary 1, and December 31. 1951 Increase 1951 $ 55,120028 6,373038 1,763.99 .. 3,615.70 tt66.873035 $ ... .. $ $ .. .. - 472.72 .. ... ... $ 47207,?- $ .. 541.24 52.63 ~ 593.87 " J67.939.94