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Audit - 1963 I I I I I I I I I I I I I I I I I I I SALINA FIREMEN'S RELIEF ASSOCIATION Salina, Kansas REPORT ON EXAMINATION December 31, 1963 W. REX WOODS Certified Public Accountant Salina, Kansas I I I SALINA FIREMEN' SRELIEF ASSOCIATION Salina, Kansas I I I OFFICERS J. E. Travis T. L. Archbold I Charles McCabe Leonard Todd I I BOARD OF QlRECTORS , ".. .-... , J. E. Travis I T. L. Archbold Lawrence Tinkler I I OTllER MEMBERS I G. J. Puyear Paul Smith Paul Day Jim Lacy Byrl Glendening William Vaupel Edwin Bross Gordon Nichols Jim Dunn John Heidrick Donald Neal Dick Purney Jerome Schmidt Jim Yost Ben Loy Roy Batcheller Gary Smith Norman Stump Virgil Richards Amon Adams Laverne Brockway Rodney Bachofer Bob Christensen Raford Dunaway Gary Hindman Arthur Holcum Carney Foster Lonnie Freeman Gene Hindman Larry Kenison Bernard Cain I I I I I I President Vicewpresident Secretary Treasurer Jack Gray Charles McCabe Kei th Arms trong Floyd Bernhardt Vernon Brown Russell Caswell Mike Clark Dean Hannebaum Darrell Keller Jim Martin Charles Mitchell Don Mosier Allen Cameron George Cleaver Dennis Henoch Kenneth Schmidt H. J. McCabe I I I I I I I I I I Exhibi t "A" Exhibi t "B It I Exhibi t "c" I Exhibi t "D" Exhibi t "E" Exhibi t "Frr I I I I I I I SALINA FIREMEN'S RELIEF ASSOCIATION Salina, Kansas INDEX Page Number Accountant's Report Receipts, Expenditures and Fund Balance Receipts, Expenditures and Cash Balance - Checking Account Receipts, Expenditures and Cash Balance - Savings Accounts Cash in Bank Comparison of Depositary Security with Balances on Deposit Treasurer's Fidelity Bond 1 - 2 3 4 5 6 7 8 I I I I I I I I I I I I I I I I I I I W. REX WOODS Certified Public Accountant Salina, Kansas July 14, 1964 Board of Directors Salina Firemenrs Relief Association Salina, Kansas Gentlemen: In accordance with your instructions an examination has been made of the financial records of the Salina Firemen's Relief Association, Salina, Kansas, for the period January 1, to December 31, 1963. The report on this examination follows. SCOPE OF EXAMINATION This examination was performed in accordance with the Minimum Standard Audit Pro- gram for Municipalities, approved by the Kansas State Municipal Accounting Board and such other generally accepted auditing standards and such other auditing pro- cedures that we considered necessary under the circumstances. RECEIPTS. EXPENDITURES AND FUND BALANCE The following is a brief summary of the receipts and expenditures for the period January 1, to December 31, 1963, and the beginning and ending fund balances. Balances - January 1, 1963 Receipts Regular Savings Accoun t Account Total - $10,338.02 $91,575.00 $101,913.02 1.349.34 3,233.07 4,582.41 $11,687.36 $94,808.07 $106,495.43 10,462.33 10,462.33 $ 1,225.03 $94,808.07 $ 96,033.10 RECEIPTS Expenditures Balances - December 31, 1963 Monies received during the period under review were deposited in the accounts as designated by the board of directors of the Salina Firemenrs Relief Association. Deposits made in January of 1963 for a premium refund of $10.04 from an insurance company and the firemen's payments of $488.86 for their share of the cost of in- surance premiums for 1962, are included as receipts in this report; however, these items were shown as receipts in the year 1962 report submitted by the Salina Fire- men's Relief Association to the Commissioner of Insurance. 1. J I I I I I I I I I I I I I I I I I I I I The Salina Firemen's Relief Association did not receive a payment from the Kansas Commissioner of Insurance during the year 1963, due to a difference in the amount reported on the association's report to the Commissioner of Insurance as expended for Blue Cross - Blue Shield and the amount reported to the Commissioner by Blue Cross - Blue Shield as paid. However, the differences were reconciled and the Commissioner approved the 1963 payment on May 27, 1964, in the amount of $9.596.17. Interest on the Savings Accounts were properly accounted for. EXPENDITURES Expenditures during the period under review were properly accounted for and were expended by order of the board of directors. Insurance premiums due on life and accident policies on firemen were paid to maintain policies in force. TREASURERUS BOND The Salina Firemen i s Relief Associa tion carries a Fideli ty Bond on the Treasurer in the amount of $5,000.00. The bonding company issuing the bond was authorized to do business in Kansas during the period under review. DEPOSITARY BONDS The Salina Firemen's Relief Association has its funds on deposit in The First National Bank and Trust Company, Salina, Kansas. During the period January 1, to December 17, 1963, the funds of the Firemen's Relief Association were secured only by the $10,000.00 F.D.I.C. Insurance carried by the depositary. On December 17, 1963, the deposi tary pledged as collateral for the Firemen's Relief Association Funds, securities in the amount of $100,000.00. Exhibit "E" shows the comparison of depositary security with balances on deposit. . GENERAL The minutes of the meetings of Lhe association were examined and found to be in proper order. The minutes of each meeting were approved and properly signed by the Secretary. CERTIFICATE I, certify that, in my opinion, subject to the foregoing comments, the accompany- ing erllibits properly show the cash position of the Salina Foremen's Relief Asso- ciation, Salina, Kansas, at December 31, 1963, and the financial transactions for the period January 1, to December 31, 1963. Respectfulíy submitted, W. REX WOODS ce~'~:~~¿ensed Municipal Public Accountant in charge of and actively engaged on this audit. 2. I I I I I I SALINA FIREMEN'S RELIEF ASSOCIATION Salina, Kansas RECEIPTS. EXPENDITURES AND FUND BALANCE January 1, to December 31, 1963 Exhibit "A" I Balances - January 1, 1963 Cash on Deposit - The First National Bank and Trust Company, Salina, Kansas - Checking Account Cash on Deposit - The First National Bank and Trust Company, Salina, Kansas - Savings Accounts $10,338.02 I I I I I I I I I I I I Expenditures Checking Account Savings Accounts 91,575.00 $101,913.02 $ 1.349.34 3,233.07 4,582.41 $106,495043 $10,462.33 10,462.33 $ 96,033.10 Receipts Checking Account Savings Accounts Balance - December 31, 1963 Represented By: Cash on Deposit - The First National and Trust Company, Salina, Kansas Checking Account Savings Accounts Bank $ 1.225.03 94,808.07 $96,033.10 3. I I I I I I I I I I I I I I I I I I I SALINA FIREMEN'S RELIEF ASSOCIATION Salina, Kansas RECEIPTS,EXPENDITURES AND CASH BALANCE - CHECKING ACCOUNT January 1, to December 31, 1963 $l,l07.89 l70.45 41.00 30.00 1,349.34 $11,687.36 $8,310.22 l2 .50 1,Ol9.61 720.00 400.00 lO,462.33 $ l.225.03 Balance - January 1, 1963 Receipts Reimbursement of 15% of insurance paid by firemen Insurance premium refunds Accident and sickness claims Refund of medical Payments premiums Total Beginning Balance Plus Receipts Expenditures Insurance premiums Treasurer's bond Accident and sickness claims Pensions to retired firemen Auditing service Balance - December 31, 1963 " Represented By:" Cash in The First National BanK and Trust Company, Salina, Kansas - December 31, 1963 Exhibit "Brr $10,338.02 $l.225.03 4. - .> I I I I I I I I I I I I I I I I I I II I SALINA FIREMEN'S RELIEF ASSOCIATION Sa Una> Kansa s RECEIPTS, EXPENDITURES AND CASH BALANCE - SAVINGS ACCOUNTS January 1, to December 31, 1963 Exhibi t "c" Balance - January 1, 1963 $91,575.00 Receipts Interest on Savings Accounts Total Beginning Balance Plus Receipts , 3,233.07 $94,808.07 Expenditures Balance - December 31, 1963 $94,808.07 Represent~: Cash in The First National Bank and Trust Company, Salina, Kansas December 31, 1963: Fund 1/:1 Fund 'In Fund 1/:3 Fund 1J:4 Fund #5 Fund 4/:6 Fund 1J:7 Fund #8 Fund #9 $10,534.23 10,534.23 10,534.23 10,534,23 10,534,23 10,534.23 10,534.23 10,534.23 10,534.23 $94,808007 5. I I I I I I I I I I SALINA FIREMEN'S RELIEF ASSOCIATION Salina, Kansas CASH IN BANK December 31, 1963 Balance per Bank Statement - The First National Bank and Trust Company, Salina, Kansas, Checking Account - December 31, 1963 I I I I I I I I I Deduct - Outstanding Checks Balance per Books - December 31, 1963 Exhibit "D" $1,225.03 $1,225.03 6 . I I I I I I I I I I I I I I I I I I I SALINA FIREMEN'S RELIEF ASSOCIATION Salina, Kansas COMPARISON OF DEPOSITARY SECURITY WITH BALANCES ON DEPOSIT December 31, 1963 Checking Account Bank and Trust Savings Accounts Bank and Trust Fund #1 Fund #2 Fund #3 Fund 114 Fund 115 Fund #6 Fund in Fund 118 Fund 119 - The First National Company, Salina. Kansas - The First National Company, Salina, Kansas Total on Deposit at December 31, 1963 Deduct - Portion Guaranteed by F.D.I.C. Balance to be Secured by Other Collateral Portion Required to be Secured_~ 70% Collateral Deposited by Bank Exhibi t "Elf $ 1,225.03 $10,534.23 10,534.23 10,534.23 10,534.23 10,534.23 10,534.23 10,534.23 10,534.23 10,534.23 94,808.07 $ 96,033.10 10,000.00 $ 86,033.10 $ 60.223.17 $100,000.00 7. I I I I I I I I I I SALINA FIREMEN'S RELIEF ASSOCIATION Salina, Kansas TREASURER'S FIDELITY BOND December 31, 1963 Exhibit "Frr I I I I I I I I I Treasurer, Salina Firemen's Relief Association Date Da te 0 f Effective Expiration Amount 9-10-63 9-10-64 $5,000.00 80