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Audit - 1970 CITY OF SALINA Salina, Kansas ... . REroRT ON EXAMINATION December 31, 1970 r . KENNEDY AND COE Certified Public Accountants Salina - Kansas CITY OF SALINA Salina, Kansas INDEX ~ Page ACCOUNTANTS I OPINION 1 Exhibit A JCOMPARISON OF CASH BALANCES WITH ENCUMBRANCES I I ISTATEMENT OF REVENUE, ACTUAL AND ESTrnATED 2 Exh ibit B 3-8 Exhibit C ISTATEMENT OF EXPENDITURES COMPARED WITH BUDGET APPROPRIATIONS 9-17 Exhibit D STATEMENT OF RECEIPTS, EXPENDITURES, AND UNENCUMBERED FUND BALANCE, NON-BUDGETED FUNDS 18-24 Exhibit E CLASSIFIED STATEMENT OF RECEIPTS, DISBURSEMENTS, AND BALANCES OF CASH, COMPOSITION OF ENDING CASH BALANCE 25-26 Exhibit F MUNICIPAL COURT, SUMMARY OF ASSESSMENTS, DISBURSE- MENTS, AND UNCOLLECTED CASE BALANCES 27 ... Exhibit G STATEMENT OF BONDS OF INDEBTEDNESS, TEMPORARY NOTES, AND NO-FUND WARRANTS 28-29 Exhibit H RECONCILEMENT OF FISCAL AGENCY ACCOUNT 30-31 I I Exhibit I tNSURANCE IN FORCE 32-33 Exhibit J rIDELITY BONDS IN FORCE 34 Exhibit K ~CHEDULE OF INVESTMENTS 35-36 Exhibit L QOMPARISON OF DEPOSITORY SECURITY WITH BALANCES ON DEPOSIT 37 I Exhibit M SCHEDULE OF AUDIT ADJUSTMENTS 38 I Exhibit N SITATEMENl' OF TAXES RECEIVED FROM COUNTY TREASURER, BY FUNDS 39 Index Schedules C-l to C-24 Exhibit A Exhibit B Exhibit C Exhibit D Schedule 1 y Schedule 2 CITY OF SALINA Salina, Kansas INDEX (Contd.) Detail of General Operating Fund Expenditures, Department, Compared with Budget Appropriations IACCOUNTANTS' COMMENTS I !wATER AND SEWAGE DEPARTMENT IBALANCE SHEET bm.PPROPRIATED SURPLUS INCOME STATEMENT COMPARISON OF RESERVE BALANCES WITH ORDINANCE REQUIREMENTS Plant and Property Operating Expenses ACCOUNTANTS' COMMENTS Page by 40-56 57-64 65 66 67 68 69 70-71 72-74 75-79 Index KENNEDY AND COE MEMBERS CERTIFIED PUBLIC ACCOUNTANTS OF OFFICES IN KANSAS SALINA CONCORDIA GREAT BEND OBERLIN COLBY GOOD LAND WICHITA AMERICAN INSTITUTE OF CERTIFIED PUBLIC ACCOUNTANTS The Mayor and The Board of City Commissioners: '" We have examin~d the records and accounts of the City of Salina, Salina, Kansas, for th~ year ended December 31, 1970. Our examination included all funds, exc~pt the Municipal Band Board, The Saline County-City Building Authority, The JFiremen's Relief Association, The Joint CitY-County Board of Health, and thj Salina Airport Authority. Our examinatiod was performed in accordance with generally accepted auditing standards and ~ith the provisions of the Minimum Standard Audit Program approved by th~ State Municipal Accounting Board. I Additional records are maintained by the Water and Sewage Department in con- formity with a9counting meth~ds ,applicable to commercial utilities. Statements showing the finrncia1 position and results of operations on this basis are presented in a Ispecia1 section of this report, and are commented upon sepa- rately. Since It he scope of our engagement did not include the verification of the assets of t~e Water and Sewage Department other than cash, we are unable to express an opinion on Exhibits A through D and Schedules 1 and 2 of the special sectionl, pages 65 to 79, of that department. In our op1n10n, the accompanying statements, except those of the Water and Sewage Departmept as noted above, present fairly the cash position of the various funds o~ the City of Salina, Kansas, at December 31, 1970, and its financial transactions for the period January 1 to December 31, 1970, in accordance withlaccounting principles applicable to Kansas municipalities, applied on a ba~is consistent with that of the preceding year. Respectfully submitted, Salina, Kansas June 30, 1971 I)~/-~. tJ~ C.P.A. f ~ unicipal Public in charge of and actively this audit. Accountant engaged on -1- CITY OF SALINA Salina, Kansas COMPARISON OF CASH BALANCES WITH ENCUMBRANCES January 1 to December 31, 1970 funds Budgeted Fundsi General operating Noxious weedls Firemen's persian Policemen's pension Tree maintenance Bond and int~rest General and bpecia1 improvements Flood works $nd levee I Social securtty Employees' r~tirement Sanitation Parking meter Special gasoline tax Golf course I Water and se~age Construction 1- Street resurfacing Total Bud&eted Funds Non-Budgeted Funds Construc t ion Clearing accounts Central garage Cemetery endowment Civil defensel Mausoleum tr~st fund Mausoleum endpwment Street machinFry Cultural arts' Airport Ambulance Community ren~wa1 program Special reserve fund Total Non-Budgeted Funds Totals Unencumbered Fund Balance 1-1- 70 $ 175,435.45 1,654.62 4,432.39 9,723.21 2,396.86 2,787.52 3,881.25 6,082.27 19,817.90 54,638.83 94,352.48 36,446.38 '926,663.23 46.263.99 1.384.576.38 325,053.08 15,703.53 38,436.45 21,562.54 3,575.06 16,705.17 31,124.67 107.61 952.13 13,543.76 9,480.14 476.244.14 $1.860.820.52 Receipts $2,087,389.86 6,272.07 55,079.20 29,595.36 8,883.12 1,390,548.86 681.40 20,875.37 121,398.78 ~9,288.36 204,776.11 87,763.31 256,308.88 11,058.24 1,322,940.21 5.692.859.13 525,002.90 36,967.64 144,726.12 27,497.14 490.00 70.00 5,970.90 8,933.00 28,842.34 22.00 33.000.00 811.522.04 $6.504.381.17 Exhibit A U6encumbered Treasurer's Ffnd Balance Cash and Expenditures p-31-70 Encumbrance s Investments 1 $2,128,751. 29 $1 134,074.02 $ 95 , 163 . 42 $ 229,237.44 6,418.00 1,508.69 1,508.69 42,605.71 16,905.88 16,905.88 29,042.39 10,276.18 10,276.18 9,913. 50 1,366.48 1,366.48 1,294,224.14 99,112.24 99,112.24 681. 40 681.40 21,363.50 3,393.12 3,393.12 115,343.18 12,137.87 12,137.87 93,939.33 15,166.93 15,166.93 177, 644. 01 81,770.93 81,770.93 92 , 788.80 89,326.99 20.00 89,346.99 289,731.38 3,023.88 4,293.04 7,316.92 6,926.26 4,131. 98 26.41 4,158.39 1,338,928.09 910,675.35 44,532.73 955,208.08 46.263.99 46.263.99 5.647.619.58 t.429.815.93 144.035.60 1.573.851.53 526,299.97 323,756.01 323,756.01 38,918.86 13,752.31 13,752.31 144,772.71 38,389.86 6,952.86 45,342.72 21,562.54 21,562.54 24,717.26 6,354.94 29.70 6,384.64 490.00 16,775.17 16,775.17 13,639.09 23,456.48 23,456.48 9,040.61 952.13 36,624.99 5,761. 11 3,567.05 9,328.16 339.89 9,162.25 9,162.25 , 33.000.00 33.000.00 795.795.51 491. 970.67 10.549.61 502.520.28 $6,443.415.09 $11,921. 786.60 $154.585.21 $2.076.371.81 -2- CITY OF SALINA Salina, Kansas STATEMENT OF REVENUE, ACTUAL AND ESTIMATED January 1 to December 31, 1970 '.' Actual Revenue >' General Operating Fund Unencumbered Ifund balance, January 1, 1970 Adjustment far prior years' encumbrancds Adjusted unencumbered fund balance, J~nuary 1, 1970 Receipts I Current ta~gib1e tax Current int~ngib1e tax I Delinquent 'tax Cigarette tax Gasoline ta~ Liquor enforcement tax Sales tax Highway maiptenance Licenses, fres and permits Municipal cburt fines Franchise tflxes Rents and cbncessions Services and sales Fire protection outside city limits Reimbursement of expenditures Interest on investments Transfer fr~ Special Gasoline Tax Fund Total Re<l:eipts I , 175,435.45 $ 174,763.90 671. 55 1,070,875.46 52,565.95 23,987.21 54,525.70 27,434.42 15,164.18 48,862.22 13,809.73 57,213.54 153,381.81 213,526.66 5,906.91 121,256.80 57,493.33 14,028.19 18,147.75 139,210.00 2.087,389.86 Tota1~ 2.262.825.31 Noxious Weed FU~d Unencumbered fund January 1, 11970 Receipts I Current tan~ib1e Delinquent 1ax Sales tax Total Recei,pts Tota1s1 balance, 1,654.62 tax 5,953.21 103,21 215.65 6,272.07 7.926.69 Estimated Revenue $ 169,008.22 1,078,714.56 49,000.00 15,100.00 50,000.00 60,000.00 13 , 500.00 48,862.22 12.000.00 56,645.00 115,000.00 210,000.00 6,685.00 109,840.00 62,000000 5,000.00 10,000.00 66,650.00 1,968,996.78 2,138,005.00 245.77 5,988.58 50.00 215.65 6,254.23 6,500.00 Exhibit B Actual Over (Under) Estimated $ 6,427.23 (7,839.10) 3,565.95 8,887.21 . 4,525.70 (32,565.58) 1,664.18 1,809.73 568.54 38,381.81 3,526.66 (778.09) 11 ,416.80 (4,506.67) 9,028.19 8,147.75 72,560.00 118,393.08 124.820.31 1,408.85 (35.37) 53.21 17.84 1,426.69 -3- CITY OF SALINA Salina, Kansas Exhibit B (Contd.) STATEMENT OF REVENUE, ACTUAL AND ESTIMATED January 1 to December 31, 1970 0( Actual Actual Estimated Over (Under) Revenue Revenue Estimated Firemen's Pension Fund Unencumbered fund balance, January 1, 1970 $ 4,432.39 $ 1,475.90 $ 2,956.49 Receipts Current tangible tax 39,998.82 40,224.32 (225.50) Delinquent tax 446.65 50.00 396.65 Sales tax 804.78 804.78 Contributions by employees 13.828.95 13,770.00 58.95 Total Receipts 55,079.20, 54,849.10 230.10 Totals 59,511.59 56,325.00 3 t 186 . 5~ Policemen's Pension Fund Unencumbered fund balance, January 1, 1970 9,723.21 9,570.37 152.84 Receipts Current tangible tax 17,549.15 17,654.68 (105.53) Delinquent tax 397.36 100.00 297.36 " Sales tax 880. 13 274.95 605.18 Contributions by employees 10,768.72 12,240.00 (1,471.28) Total Receipts 29,595.36 30,269.63 (674.27) Totals 39,318.57 39,840.00 (521.43) Tree Maintenance Fund Unencumbered fund balance, January 1, 1970 2,396.86 2,047.34 349.52 Receipts Current tangible tax 8,049.32 8,104.71 (55.39) Delinquent tax 250.85 10.00 240.85 Sales tax 582.95 582.95 Total Receipts 8,883.12 8,697.66 185.46 Totals 11,279.98 10.745.00 534.98 -4- CITY OF SALINA Salina, Kansas Exhibit B (Contd.) STATEMENT OF REVENUE, ACTUAL AND ESTIMATED January 1 to December 31, 1970 Bond and Interest Fund Unencumbered fund balance, January 1, 1970 Receipts Current tangible tax Delinquent tax Current special assessments tax Delinquent special assessments tax Interest from investments Special assessments Transfer from Parking Meter Fund Transfer from Water and Sewage Fund Transfer from Golf Course Con- struction Fund Total Receipts y Totals General and Special Improvement Fund Unencumbered fund balance, January 1, 1970 Receipts Delinquent tax Totals Flood Works and Levee Fund Unencumbered fund balance, January 1, 1970 Receipts Current tangible tax Delinquent tax Sales tax Miscellaneous Total Receipts Totals Actual Revenue Estimated Revenue 2.787.52 252.13 706,423.12 11,864.65 422,348.92 710,314.76 7,000.00 459,267.41 132,087.69 18,789.36 4,239.42 49,200.00 30,000.00 10,000.00 2,000.00 49,200.00 33,425.70 33,425.70 12,170.00 1.390.548.86 1.301,207.87 1,393,336.38 1,301,460.00 681.40 681.40 Actual Over (Under) Estimated 2,535.39 (3,891.64) 4,864.65 (36,918.49) 102,087.69 8, 789.36 2,239.42 12.170.00 89,340.99 91,876.38 681.40 681.40 3,881.25 1.239.71 2 ,641. 54 19,153.54 19,246.95 (93.41) 357.85 100.00 257.85 758.34 758.34 605.64 640.00 (34.36) 20,875.37 20,745.29 130.08 24,756.62 21,985.00 2.771.62 -5- CITY OF SALINA Salina, Kansas Exhibit B (Contd.) STATEMENT OF REVENUE, ACTUAL AND ESTIMATED January 1 to December 31, 1970 .. Actual Revenue Estimated Revenue Social Security Fund Unencumbered fund balance, January 1, 1970 $ 6.082.27 $ 728.71 $ Receipts Current tangible tax 36,418.89 36,604.05 Delinquent tax 633.58 100.00 Sales tax 1,327.24 1,327.24 Contributions by employees and employer 83.019.07 79,560.00 Total Receipts 121.398.78 117,591.29 Totals 127,481. 05 118,320.00 Employees' Retirement Fund Unencumbered fund balance, January 1, 1970 19.817.90 12.896.27 Receipts Current tangible tax 25,698.36 25,859.98 " Delinquent tax 461.47 50.00 Sales tax 973.75 973.75 Contributions by employees and employer 62.154.78 57,120.00 Total Receipts 89.288.36 84.003.73 Totals 109,106.26 96,900.00 Sanitation Fund Unencumbered fund balance, January 1, 1970 Receipts Service fees Interest from investments Miscellaneous sales and services Total Receipts 54.638.83 51,070.18 202,000.00 1,291.56 1,484.55 204.776.11 198,000.00 198,000.00 Totals 259,414.94 249,070.18 Actual Over (Under) Estimated 5.353.56 (185.16) 533.58 3.459.07 3.807.49 9,161.05 6,921.63 (161. 62) 411.47 5.034.78 5,284.63 12.206.26 3.568.65 4,000.00 1,291.56 1,484.55 6.776.11 10.344.76 -6- CITI OF SALINA Salina, Kansas Exhibit B (Contd.) STATEMENT OF REVENUE, ACTUAL AND ESTIMATED January 1 to December 31, 1970 Actual Revenue Estimated Revenue Actual Over (Under) Estimated Parking Meter Fund Unencumbered fund balance, January 1, 1970 $ Receipts Parking meter revenue Parking meter permits Interest from investments Reimbursement of expenditures Total Receipts Totals 94,352.48 $ 76,208.89 $ 70,287.79 75,000.00 6,175.00 9,000.00 228.60 1,500.00 11,071.92 87,763.31 85,500.00 182 . 115 . 79 161.708.89 18,143.59 (4,712.21) (2,825.00) (1,271.40) 11,071. 92 2,263.31 20.406.90 Special Gasoline Tax Fund Unencumbered fund balance, January 1, 1970 Receipts Special gasoline tax 36,446.38 36,500.00 (53.62) 256,308.88 146,000.00 110,308.88 " Totals 292.755.26 182.500.00 110.255.26 Golf Course Fund Unencumbered fund balance, January 1, 1970 Receipts Transfer from Golf Course Construction Fund Green fees Locker rental Cart storage Concessions Total Receipts Totals 6,004.10 (6,004.10) 3,000.00 3,000.00 7,236.30 67,000.00 (59,763.70) 500.00 (500.00) 821. 94 700.00 121. 94 1,500.00 (1,500.00) 11,058.24 69,700.00 (58,641.76) 11.058.24 75.704.10 (64.645.86) -7- CITY OF SALINA Salina, Kansas Exhibit B (Contd.) STATEMENT OF REVENUE, ACTUAL AND ESTIMATED January 1 to December 31, 1970 . Water and Sewage Fund Unencumbered fund balance, January 1, 1970 Adjustment for prior years' encumbrances Adjusted unencumbered fund balance, January 1, 1970 Receipts Water revenue Sewage revenue Miscellaneous income Tapping service Service charge - Sanitation department Sanitation fees Capital improvement from Bond Retirement and Extension and Construction Reserves Interest from investments Refunds and miscellaneous Total Receipts Totals Actual Revenue $ 926,660.10 3.13 926,663.23 653,706.43 357,803.57 11 ,646.77 5,501.65 3,062.04 204,113.59 50,620.52 36,485.64 1 . 322 , 940 . 21 Estimated Revenue $ 115,917.25 595,000.00 353,000.00 6,000.00 7,000.00 3,200.00 198,000.00 135,000.00 1,297,200.00 Actual Over (Under) Estimated $ 810,745.98 58,706.43 4,803.57 5,646.77 (1,498.35) (137.96) 6,113.59 (135,000.00) 50,620.52 36,485.64 25,740.21 $2.249,603.44 $1,413,117.25 $ 836,486.19 -8- CITY OF SALINA Salina, Kansas Exhibit C STATEMENT OF EXPENDITURES COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Actual (Over) Under Actual Budget Budget General Operating Fund Sunnnary Department Schedule City Commission C-1 $ 30,531.19 $ 33,070.00 $ 2,538.81 City Manager C-2 27,231.07 26,445.00 (786.07) City Clerk C-3 80,515.70 80,115.00 (400.70) City Attorney C-4 18,518.48 17,445.00 (1,073.48) Municipal Court C-5 17,227.37 15,745.00 (1,482.37) City Building C-6 45,846.58 24,195.00 (21,651.58) City Engineer C-7 62,076.82 70,085.00 8,008.18 Fire C-8 516,979.74 528,825.00 11,845.26 Inspection C-9 41,150.07 44,070.00 2,919.93 Park C-10 126,302.92 94,665.00 (31,637.92) Police C-11 532,728.83 540,965.00 8,236.17 Street C-12 224,341.56 232,475.00 8,133.44 Waste Disposal C-13 34,965.40 29,670.00 (5,295.40) Street Lighting C-14 80,150.71 85,000.00 4,849.29 Traffic Control C-15 33,254.02 39,685.00 6,430.98 Swimming Pools C-16 18,024.89 20,735.00 2,710.11 Administration and Planning C-17 45,334.88 53,300.00 7,965.12 Insurance and Contingencies C-18 68,498.37 73,770.00 5,271.63 Band C-19 10,000.00 10,000.00 Cemetery C-20 21,759.12 19,775.00 (1,984.12) General Improvement C-21 21,152.72 23,785.00 2,632.28 Memorial Hall C-22 11,982.55 8,385.00 (3,597.55) Public Health C-23 37,850.00 37,850.00 Industrial Development C-24 22,328.30 27,950.00 5,621.70 Totals 2.128.751.29 2.138.005.00 9.253.71 Noxious Weed Fund Personal Services Salaries - Regular employees 3,813.25 4,000.00 186.75 -9- CITY OF SALINA Salina, Kansas Exhibit C (Contd.) STATEMENT OF EXPENDITURES COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Actual (Over) Under Actual Budget Budget Noxious Weed Fund (Contd.) Contractual Services Repair - Machinery and equipment $ 1,750.28 $ 1,000.00 ($ 750.28) Repair - Tires and tubes 71.22 100.00 28.78 Materials and Supplies Chemicals, drugs, etc. 324.55 500.00 175.45 Motor vehicle - Fuel and lubricants 402.22 400.00 (2.22) Machinery and equipment parts 300.00 300.00 Motor vehicle - Tires and tubes 56.48 200.00 143.52 Totals 6.418.00 6.500.00 82.00 Firemen's Pension Fund Sundry Expenditures Pensions paid 41,840.00 44,825.00 2,985.00 Refunds 765.71 1,500.00 734.29 Reserve 10,000.00 10,000.00 Totals 42.605.71 56,325.00 13,719.29 Policemen's Pension Fund Sundry Expenditures Pensions paid 26,742.00 27,840.00 1,098.00 Refunds 2,300.39 2,000.00 (300.39) Reserve 10,000.00 10,000.00 Totals 29.042.39 39.840.00 10.797.61 -10- CITY OF SALINA Salina, Kansas Exhibit C (Contd.) STATEMENT OF EXPENDITURES COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Actual (Over) Under Actual Budget Budget Tree Maintenance Fund Personal Services Salaries - Regular employees, other departments $ 5,077.25 $ 5,000.00 ($ 77 . 25) Salaries - Part time employees 4,344.92 5,000.00 655.08 Contractual Services Insurance - Equipment 41.00 45.00 4.00 Repair - Machinery and equipment 346.73 500.00 153.27 Rent - Machinery and equipment 30.00 (30.00) Materials and Supplies Chemicals 100.00 100.00 Motor vehicle - Fuel and lubricants 73.60 100.00 26.40 , Totals 9.913.50 10,745.00 831. 50 Bond and Interest Fund General bond principal 212 , 000 . 00 212,000.00 General bond interest 110,805.81 103,908.09 (6,897.72) Curb, gutter and paving bond Principal City share 218,150.37 219,900.37 1,750.00 Property owners share 520,339.89 518,589.89 (1,750.00) Interest City share 61,405.11 56,558.47 (4,846.64) Property owners share 127,326.62 120,211.57 (7,115.05) Sewer bonds Principal City share 10,845.20 10,845.10 ( .10) Property owners share 29,154.80 29,154.90 .10 Interest City share 593.06 593.07 .01 Property owners share 2,196.33 2,196.32 (.01) -11- CI'IY OF SALINA Salina, Kansas Exhibit C (Contd.) STATEMENT OF EXPENDITURES COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Actual (Over) Under Actual Budget Budget Bond and Interest Fund (Contd. ) Fiscal agency commission and postage $ 1,331.21 $ 2,502.22 $ 1,171.01 Interest on bonds to be issued 25,000.00 25,000.00 Refunds 75.74 (75.74) 1,294.224.14 1.301.460.00 7,235.86 Flood Works and Levee Fund Personal Services Salaries - Regular employees 17,344.35 17,265.00 (79.35) Contractual Services Traveling expenses 50.00 50.00 Insurance - Motor vehicles 244.00 250.00 6.00 Repair - Machinery and , equipment 1,699. 13 1,500.00 (199.13) Repair - Tires and tubes 350.00 400.00 50.00 Other professional services 70.00 100.00 30.00 Other contractual services 207.49 300.00 92.51 Materials and Supplies Expendable tools 19.41 20.00 .59 Chemical, drugs, etc. 418.80 700.00 281. 20 Motor vehicle - Fuel and lubricants 782.04 750.00 (32.04) Motor vehicle - License tags 100.00 (100.00) Other operating supplies 9.82 100.00 90.18 Cement and cement products 200.00 200.00 Motor vehicle - Tires and tubes 83.18 100.00 16.82 Paint and painting supplies 35.28 50.00 14.72 Sand, grave 1, rock, and chat 200.00 200.00 Totals 21.363.50 21.985.00 621. 50 Social Security Fund Sundry Expenditures Social security remitted 115.343.18 118 . 320 . 00 2.976.82 -12- CITY OF SALINA Salina, Kansas STATEMENT OF EXPENDITURES COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Exhibit C (Contd.) Actual (Over) Under Actual Budget Budget Employees' Retirement Fund Sundry Expenditures Employees' retirement - Remitted to state $ 93,904.21 $ 96,900.00 $ 2,995.79 Refunds 35.12 (35.12) Totals 93.939.33 96.900.00 2.960.67 Sanitation Fund Personal Services Salaries - Regular employees 130,015.79 132,345.00 2,329.21 Salaries - Part time employees 4,394.25 (4,394.25) Contractual Services Telephone and telegraph 385. 11 450.00 64.89 Traveling expenses 67.68 100.00 32.32 , Printing office forms 85.60 200.00 114.40 Insurance - Motor vehicles 578.00 550.00 (28.00) Insurance - Social security 6,280.83 6,100.00 (180.83) Employees' retirement 5,171. 82 6,000.00 828.18 Group insurance 2,607.18 2,750.00 142.82 Water service 172.64 200.00 27.36 Repair - Machinery and equipment 6,623.47 6,500.00 (123.47) Repair - Tires and tubes 439.76 500.00 60.24 Radio maintenance 483.50 460.00 (23.50) Laundry and towel service 3,080.95 3,150.00 69.05 Medical services 102.00 150.00 48.00 Billing and administration charges 6,211.10 6,100.00 (111.10) Workmen's compensation 3,227.00 5,000.00 1,773.00 Materials and Supplies Expendable tools 360.00 600.00 240.00 Office supplies 85.90 140.00 54.10 Books and periodicals 75.00 20.00 (55.00) Motor vehicle - Fuel and lubricants 6,412.98 6,650.00 237.02 Motor vehicle - License tags 530.00 25.00 (505.00) -13- CI1Y OF SALINA Salina, Kansas STATEMENT OF EXPENDITURES COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Exhibit C (Contd.) Actual (Over) Under Actual Budget Budget Sanitation Fund (Contd. ) Materials and Supplies (Contd. ) Other operating supplies $ 245.35 $ 300.00 $ 54.65 Lumber and lumber products 25.00 25.00 Motor vehicle - Tires and tubes 500.00 500.00 Paint and painting supplies 8.10 50.00 41. 90 Totals 177,644.01 178..865.00 1.220.99 Parking Meter Fund Personal Services Salaries - Regular employees 23,729.22 28,460.00 4,730.78 Contractual Services Printing office forms 322.00 250.00 (72.00) Insurance - Motor vehicles 53.00 50.00 (3.00) Repairs - Machinery and equipment 269.62 225.00 (44.62) Repairs - Tires and tubes 1.50 10.00 8.50 Other contractual services 12,161. 95 5,250.00 (6,911.95) Materials and Supplies Expendable tools 28.20 20.00 (8.20) Office supplies 5.20 75.00 69.80 Motor vehicle _ Fuel and lubricants 131.01 180.00 48.99 Motor vehicle - License tags 12.50 (12.50) Wearing apparel 265.42 350.00 84.58 Other operating supplies 157.79 100.00 (57.79) Parking meter parts 591. 79 325.00 (266.79) Capital Outlay Equipment 375.00 375.00 Traffic scooters 5,859.60 6,000.00 140.40 Parking meters 11,030.00 11,030.00 Bond and interest fund transfer - Off-street parking issue 49,200.00 49,200.00 Totals 92.788.80 101. 900. 00 9.111.20 -14- CITY OF SALINA Salina, Kansas Exhibit C (Contd.) STATEMENT OF EXPENDITURES COMPARED WITII BUDGET APPROPRIATIONS January 1 to December 31, 1970 Actual (Over) Under Actual Budget Budget Special Gasoline Tax Fund Personal Services Salaries - Regular employees $ 3,298.00 $ ($ 3,298.00) Salaries - Part time employees 2, 130.00 (2,130.00) Contractual Services Other contractual services 104,839.70 115,850.00 11,010.30 Materials and supplies Signs 2,767.32 (2,767.32) Asphalt and road gravel 1,075.60 (1,075.60) Cement and cement products 711. 44 (711.44) Metal and metal products 831. 75 (831. 75) Paint and painting materials 1,867.57 (1,867.57) Sundry Expenditures Transfer to General Fund 139,210.00 66,650.00 (72,560.00) Transfer to Special Reserve Fund 33,000.00 (33,000.00) Totals 289.731.38 182.500.00 (107.231.38) Golf Course Fund Personal Services Salaries - Regular employees 1,140.00 28,080.00 26,940.00 Salaries - Part time employees 9,360.00 9,360.00 Contractual Services Telephone and telegraph 110. 62 200.00 89.38 Traveling expenses 27.70 50.00 22.30 Insurance - Buildings 200.00 200.00 Insurance - Motor vehicles 50.00 50.00 Gas service 214 . 92 800.00 585.08 Light and power service 777.90 700.00 (77 .90) Water service 88.26 1,000.00 911. 74 Repair - Machinery and equipment 297.80 700.00 402.20 Repair - Tires and tubes 50.00 50.00 -15- CITY OF SALINA Salina, Kansas STATEMENT OF EXPENDITURES COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Exhibit C (Contd.) Actual (Over) Under Actual Budget Budget Golf Course Fund (Contd.) Contractual Services (Contd. ) Other contractual services $ 1,448.53 $ 200.00 ($ 1,248.53) Materials and Supplies Expendable tools 6.57 500.00 493.43 Books and periodicals 50.00 50.00 Chemicals, drugs, and etc. 444.59 1,200.00 755.41 Motor vehicles - Fuels and lubricants 331.43 1,200.00 868.57 Seeds, plants, trees and lawn supplies 2,000.00 2,000.00 Other operating supplies 1,454.10 500.00 (954.10) Electrical and lighting parts 324.05 150.00 (174.05) Motor vehicles - Tires and tubes 50.00 50.00 Sand, gravel, rock and chat 100.00 100.00 Sundry Expenditures Sales tax 259.79 (259.79) Organizational dues 50.00 50.00 Capital Out lay Park equipment, mowers and miscellaneous equipment 7,000.00 7,000.00 Payment to Bond and Interest Fund 12 . 17 0 . 00 12,170.00 Totals 6.926.26 66.360.00 59.433.74 Water and Sewage Fund Water supply expenses 12,815.70 10,170.00 (2,645.70) Softening and treatment expenses 222,995.41 179,455.00 (43,540.41) Pumping expenses 48 , 017 . 29 55,950.00 7,932.71 Distribution expenses 92,363.94 95,135.00 2,771. 06 Customer accounting and collections 108,434.54 121,710.00 13,275.46 -16- CITY OF SALINA Salina, Kansas Exhibit C (Contd.) STATEMENT OF EXPENDITURES COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 -17- CITY OF SALINA Salina, Kansas STATEMENT OF RECEIPTS, EXPENDITURES AND UNENCUMBERED FUND BALANCE NON-BUDGETED FUNDS January 1 to December 31, 1970 .. Unencumbered Fund Balance 1-1-70 Construction Fund Flood control Park improvements Airport Library City-County Building Lakewood Park Improvements and studies Golf course Police building - Fire and burglar alarms Sewage - Variable speed pumps Job 494, streets Job 508, s~wer Job 512, streets Job 517, water main Job 519, sidewalks Job 520, pumping station Job 522, water main Job 523, sidewalks Job 524, streets Job 525, streets Job 527, water main Sidewalk jobs December, 1968, bond proceeds December, 1969, bond proceeds December, 1970, bond proceeds $ 25,871.63 19,130.71 27,934.73 346.85 44,013.82 83,007.20 31,971.69 106,4~7.50 (535.04) 1,809.97 (72,348.55) (3,462.60) (11,023.61) 26,676.88 45,211.90 Totals $325,053.08 Exhibit D Unencumbered Fund Balance Receipts Expenditures Transfers 12-31-70 $ $ $ $ 25,871.63 3,079.00 16,051. 71 1,887.48 14,353.17 15,469.04 346.85 110,897.16 21,692.40 (12,000.00) 121,218.58 3,171.32 79.70 86,098.82 3,557.37 12,000.00 40,414.32 40,516.02 143,581. 67 3,381. 85 107.20 83.50 (511.34) 1,000.00 2,809.97 79,481. 71 3.41 (7,129.75) 75.00 (3,537.60) 133,728.92 133,728.92 13 , 214 . 41 12,013 .10 (1,201.31) 1,971.05 1,971.05 22,432.75 (22,432.75) 10,083.90 (10,083.90) 339.66 2,027.99 1,688.33 95,398.69 95,398.69 265.00 (265.00) 25,268 . 92 22,971.75 (2,297.17) 3,821.89 (3,659.38) (10,861.10) 26,676.88 2,796.63 8,833.66 7,129.75 46,304.62 147,101. 81 581. 09 (130,230.44) 16,290.28 $525.002.90 $526.299.97 $ $323.756.01 -18- CITY OF SALINA Salina, Kansas Exhibit D (Contd.) STATEMENT OF RECEIPTS, EXPENDITURES, AND UNENCUMBERED FUND BALANCE NON-BUDGETED FUNDS January 1 to December 31, 1970 State Withholding Tax Advance Receipts Totals Clearing Accounts Unencumbered fund balance, January 1, 1970 $ $15.703.53 $15.703.53 Receipts Withheld from employees Fees, licenses, and permits Total Receipts 23,215.33 23.215.33 13.752.31 13.752.31 23,215.33 13.752.31 36.967.64 Total Receipts and Beginning Balance 23.215.33 29.455.84 52.671.17 Expenditures Remittance to government agencies Transfer to General Operating Fund Total Expenditures 23,215.33 23,215.33 23.215.33 15.703.53 15.703.53 15.703.53 38.918.86 Unencumbered Fund Balance, December 31, 1970 $ $13,752.31 $13.752.31 -19- CITY OF SALINA Salina, Kansas Exhibit D (Contd.) STATEMENT OF RECEIPTS, EXPENDITURES, AND UNENCUMBERED FUND BAIANCE NON-BUDGETED FUNDS January 1 to December 31, 1970 Central Garage Fund Unencumbered fund balance, January 1, 1970 Receipts Reimbursement of expenditures Total Receipts and Beginning Balance Expenditures Personal Services Salaries - Regular employees Contractual Services Telephone and telegraph Insurance - Motor vehicles Gas service Light and power service Repair - Building Laundry and towel service Materials and Supplies Expendable tools Office supplies Janitor and toilet supplies Motor vehicle - Fuel and lubricants Other operating supplies Machinery and equipment parts Motor vehicle - Parts Welding materials Sundry Expenditures Office supplies Capital Outlay Automobile s Garage equipment Total Expenditures Unencumbered Fund Balance, December 31, 1970 $ 38,436.45 144.726.12 183,162.57 $32,396.85 331.84 5,916.12 812.24 209.80 134.96 297.40 33.78 264.38 18.39 42 , 3 77 . 13 297.27 50,685.36 3,398.28 187.21 4,246.26 2,657.14 508.30 144.772.71 38.389.86 -20- CITY OF SALINA Salina, Kansas Exhibit D (Contd.) STATEMENT OF RECEIPTS, EXPENDITURES, AND UNENCUMBERED FUND BAIANCE NON-BUDGETED FUNDS January 1 to December 31, 1970 Cemetery Endowment Fund Unencumbered fund balance, January 1, 1970 Unencumbered Fund Balance, December 31, 1970 $ 21.562.54 21.562.54 Civil Defense Fund Unencumbered fund balance, January 1, 1970 Receipts Appropriation - City and County Matching funds from State of Kansas Reimbursement of expenditures Total Receipts Total Receipts and Beginning Balance Expenditures Personal Services Salaries - Regular employees Contractual Services Automobile use allowance Telephone and telegraph Traveling expenses Postage Printing office forms Insurance - Motor vehicles Repair - Machinery and equipment Radio maintenance Other contractual services Material and Supplies Office supplies Motor vehicle - Fuel and lubricants Motor vehicle - license tags Other operating supplies Machinery and equipment parts Paint and painting supplies Sundry Expenditures Organization dues Capita 1 Outlay Equipment Total Expenditures 3,575.06 $16,459.00 10,556.06 482.08 27.497.14 31,072.20 18,368.50 458.54 2,572.82 437 . 44 179.55 93.23 105.00 198.00 154.89 441.59 145.50 56.42 45.00 88.39 376.66 12.86 10.00 972.87 24.717.26 Unencumbered Fund Balance, December 31, 1970 6.35~ -21- CITY OF SALINA Sa 1 ina, Kansa s STATEMENT OF RECEIPTS, EXPENDITURES, AND UNENCUMBERED FUND BALANCE NON-BUDGETED FUNDS January 1 to December 31, 1970 Exhibit D (Contd.) Mausoleum Trust Fund Unencumbered fund balance, January 1, 1970 Receipts Sale of Mausoleum space Total Receipts and Beginning Balance Expenditures Remitted to District Court $ 490.00 490.00 490.00 Unencumbered Fund Balance, December 31, 1970 Mausoleum Endowment Fund Unencumbered fund balance, January 1, 1970 Receipts Sale of Mausoleum space 16,705.17 70.00 Uncncumberd Fund Balance, December 31, 1970 16.775.17 Street Machinery Fund Unencumbered fund balance, January 1, 1970 Receipts Interest Transfer from General Fund Total Receipts Total Receipts and Beginning Balance Expenditures Capital Outlay Machinery and equipment 31,124.67 $ 970.90 5.000.00 5.970.90 37,095.57 13.639.09 Unencumbered Fund Balance, December 31, 1970 23,456.48 Cultural Arts Fund Unencumbered fund balance, January 1, 1970 Receipts Other appropriations and grants Reimbursement of expenditures Total Receipts Total Receipts and Beginning Balance 107.61 7,050.00 1.883.00 8.933.00 9,040.61 -22- CITY OF SALINA Salina, Kansas STATEMENT OF RECEIPTS, EXPENDITURES, AND UNENCUMBERED FUND BAIANCE NON-BUDGETED FUNDS January 1 to December 31, 1970 Exhibit D (Contd.) Cultural Arts Fund (Contd.) Expenditures Personal Services Salaries - Regular employees Contractual Services Telephone and telegraph Postage Other contractual services Material and Supplies Office supplies Books and periodicals Sundry Expenditures Organizational dues Capit~l Outlay Furniture and fixtures Total Expenditures $ 3,900.00 365.92 322.35 3,945.53 395.82 6.00 38.00 66.99 $ 9 , O~.O . 61 Unencumbered Fund Balance, December 31, 1970 Airport Fund Unencumbered fund balance, January 1, 1970 Expenditures Contractual Services Gas service Light and power service Water service Total Expenditures 952.13 448.01 395.13 108.99 952.13 Unencumbered Fund Balance, December 31, 1970 Ambulance Fund Unencumbered fund balance, January 1, 1970 Receipts Ambulance fees Transfer from other funds Total Receipts Total Receipts and Beginning Balance Expenditures Personal Services Salaries - Regular employees 13,543.76 27,402.34 1.440.00 28.842.34 42,386.10 31,015.91 -23- CITY OF SALINA Salina, Kansas STATEMENT OF RECEIPTS, EXPENDITURES, AND UNENCUMBERED FUND BALANCE NON-BUDGETED FUNDS January 1 to December 31, 1970 Exhibit D (Contd.) Ambulance Fund (Contd.) Expenditures (Contd.) Contractual Services Insurance - Social security Employees' retirement Capita 1 Outlay Automobiles Total Expenditures $ 1,400.54 641.49 3.567.05 $ 36,624.99 Unencumbered Fund Balance, December 31, 1970 5.761.11 Community Renewal Program Unencumberd fund balance, January 1, 1970 Receipts Reimbursement of expenditures Total Receipts and Beginning Balance Expenditures Contractual Services Printing office forms Traveling expenses Total Expenditures 9,480.14 22.00 9,502.14 12.72 327.17 339.89 Unencumbered Fund Balance, December 31, 1970 9.162.25 Special Reserve Fund Unencumbered fund balance, January 1, 1970 Receipts Transfer from Special Gasoline Tax Fund 33.000.00 Unencumbered Fund Balance, December 31, 1970 $ 33.000.00 -24- CITY OF SALINA Salina, Kansas CLASSIFIED STATEMENT OF RECEIPTS, DISBURSEMENTS, AND BALANCES OF CASH, COMPOSITION OF ENDING CASH BALANCE January 1 to December 31, 1970 Exhibit E Cash and Cash and Investments Cash Cash Investments 1-1-70 Receipts Disbursements 12-31-70 Budgeted Funds General Operating $ 241,328.65 $2,087,389.86 $2,099,481.07 $ 229,237.44 Noxious Weeds 1,654.62 6,272.07 6,418.00 1,508.69 Firemen's Pension 4,432.39 55,079.20 42,605.71 16,905.88 Policemen's Pension 9,723.21 29,595.36 29,042.39 10,276.18 Tree Maintenance 2,396.86 8,883.12 9,913.50 1,366.48 Bond and Interest 2,787.52 1,390,548.86 1,294,224.14 99,112.24 General and Special Improvements 681.40 681.40 Flood Works and Levee 3,881. 25 20,875.37 21,363.50 3,393.12 Social Security 6,082.27 121,398.78 115,343.18 12,137.87 Employees' Retirement 19,817.90 89,288.36 93,939.33 15,166.93 Sanitation 54,668.83 204,776.11 177,674.01 81,770.93 Parking Meter 94,352.48 87,763.31 92,768.80 89,346.99 Special Gasoline Tax 36,446.38 256,308.88 285,438.34 7,316.92 Golf Course 11,058.24 6,899.85 4,158.39 Water and Sewage 941,198.68 1,322,940.21 1,308,930.81 955,208.08 Construction - Street Resurfacing 46.263.99 46,263.99 Total Budgeted Funds 1.465,035.03 5.692,859.13 5,584,042.63 1.573,851.53 Non-Budgeted Funds Construction 325,053.08 525,002.90 526,299.97 323,756.01 Clearing Accounts 15,703.53 36, 96 7 . 64 38,918.86 13,752.31 Central Garage 38,436.45 144,726.12 137,819.85 45,342.72 Cemetery Endowment 21,562.54 21,562.54 Civil Defense 4,167.00 27,497.14 25,279.50 6,384.64 Mausoleum Trust Fund 490.00 490.00 Mausoleum Endowment 16,705.17 70.00 16,775.17 Street Machinery 31,124.67 5,970.90 13,639.09 23,456.48 Cultural Arts 107.61 8,933.00 9,040.61 Airport 952.13 952.13 Ambulance 13,543.76 28,842.34 33,057.94 9,328.16 -25 - CITY OF SALINA Salina, Kansas Exhibit E (Contd.) CLASSIFIED STATEMENT OF RECEIPTS, DISBURSEMENTS, AND BALANCES OF CASH, COMPOSITION OF ENDING CASH BALANCE January 1 to December 31, 1970 Cash and Investments 1-1-70 Non-Budgeted Funds (Contd.) Cormnunity Re- newa1 Program Special Reserve Fund Total Non- Budgeted Funds Cash Receipts Cash Disbursements Cash and Investments 12-31-70 Totals $ 9,480.14 $ 22.00 $ 339.89 $ 9,162.25 33,000.00 33,000.00 476 ,836.08 811.522.04 785,837.84 502,520.28 $1,941,871. P ~04,381.17 $6, 369 ~ 880 .}I.L = 2,076,371.81 Available Cash and Investments The First National Bank and Trust Company The First State Bank The National Bank of America The Planters State Bank Investments - Exhibit K Water and Sewage Depart- ment - Petty Cash 313,195.30 118,220.82 306,829.31 420,969.62 915,656.76 1.500.00 Total Cash and Investments .$2,076,371.81 -26- CITY OF SALINA Salina, Kansas Exhibit F MUNICIPAL COURT SUMMARY OF ASSESSMENTS, DISBURSEMENTS, AND UNCOLLECTED CASE BALANCES January 1 to December 31, 1970 -27- CITY OF SALINA Salina, Kansas STATEMENT OF BONDS OF INDEBTEDNESS TEMPORARY NOTES, AND NO -FUND WARRANTS December 31, 1970 Bonds of Indebtedness Series FL178 S -181 P -182 P -183 P-184 P -185 FL-186 S -187 P -188 P -189 OFP190 P -191 P -192 FL193 P-194 P -195 S -196 P-197 p -198 P -199 P -200 CB201 P -202 PK203 P -204 P-205 G -206 P -207 P-208 G-209 AS210 P -211 Purpose of Issue Date of Issue Interest Rate Percentage 2 - 3 3.375 - 4 3.375 4 3.375 - 4 2.75 - 3.5 2.75 - 3.5 3 - 3.5 3. 25 - 5 2.75 - 3 2.75 - 3 2.75 - 3 2.5 '- 3 2.5 - 3 2.5 - 2.75 2.875 - 3.5 2.875 - 3.5 2.875 - 3.5 2.875 - 3.5 2.75 - 3.5 3.25 - 3.375 3. 25 - 3.3 3.25 - 3.375 3.75 - 5 3.75 - 5 3.75 5 3.7 - 4 - 4.25 3.7 - 4.25 3.75 - 4.25 3.9 - 4.5 3.9 - 4.25 3.75 - 4.25 5.25 5.25 ~ Flood control Sewers Curb, gutter, paving Paving Curb, gutter, paving Curb, gutter, paving Flood control Water and sewage issue of 1961 Sanitary sewers Curb, gutter, paving Street improvements Off-street parking Street improvements Street improvements Flood control Street improvements Street improvements Lateral sewers Street and sewer improvements Street improvements Street and sewer improvements Library Saline County-City Building Street and sewer improvements Park Street improvements Street improvements Airport park Internal improvement Internal improvement Airport park Ash Street sewer separation Internal improvement 5-1-58 12 -1-59 12-1-59 12-1-59 11-1-60 11-1-60 5 -1 -61 7 -1 -61 11-1-61 11-1-61 11-1-61 11-1-62 11-1-62 11-1-62 11-1-63 11-1-63 11-1-63 11-1-63 11-1-64 11-1-65 11-1-65 11-1-65 11-1-66 11-1-66 11-1-66 11 -1-67 11 -1 -67 12 -1-67 11-1-68 11-1-68 10-1-68 12 -1-69 12-1-69 Exhibit G Original Outstanding Issued Paid Outstanding Issue 1-1-70 Year 1970 Year 1970 12 -31-70 $ 666,000.00 $ 297,000.00 $ $ 33,000.00 $ 264,000.00 105,502.41 10,000.00 10,000.00 910,563.15 91,000.00 91,000.00 402,737.72 220,000.00 20,000.00 200,000.00 452,725.10 90,000.00 45,000.00 45,000.00 551,385.64 324,000.00 27,000.00 297,000.00 1,132,000.00 675,000.00 55,000.00 620,000.00 3,600,000.00 2,715,000.00 120,000.00 2,595,000.00 276,297.60 81,000.00 27,000.00 54,000.00 320,706.83 96,000.00 32,000.00 64,000.00 605,942.89 390,000.00 30,000.00 360,000.00 1,375,365.60 892,000.00 68,000.00 824,000.00 456,283.76 295,000.00 23,000.00 272,000.00 388,683.19 154,000.00 39,000.00 11 5 ,000.00 260,000.00 195,000.00 13,000.00 182,000.00 986,218.15 741,000.00 49,000.00 692,000.00 803,072.90 397 , 000 . 00 80,000.00 317,000.00 27,803.21 12,000.00 3,000.00 9,000.00 630,000.00 370,000.00 65,000.00 305,000.00 265,000.00 220,000.00 15,000.00 205,000.00 360,000.00 245,000.00 35,000.00 210,000.00 675,000.00 570,000.00 35,000.00 535,000.00 1,100,000.00 990,000.00 55,000.00 935,000.00 340,000.00 270,000.00 35,000.00 235,000.00 150,000.00 120,000.00 15,000.00 105,000.00 155,000.00 145,000.00 10,000.00 135,000.00 325,000.00 290,000.00 35,000.00 255,000.00 75,000.00 74,000.00 3,000.00 71,000.00 58,267.56 58,267.56 3,267.56 55,000.00 376,222.70 376,222.70 36,222.70 340,000.00 75,000.00 74,000.00 3,000.00 71,000.00 131,385.17 131,385.17 131,385.17 170,813.64 170,813.64 170,813 . 64 -28- CITY OF SALINA Salina, Kansas STATEMENT OF BOh~S OF INDEBTEDNESS TEMPORARY NOTES, AND NO -FUND WARRANTS December 31, 1970 Bonds of Indebtedness (Contd.) Da te of Interest Rate Series Purpose of Issue Issue Percentage P -212 Internal improvement 4-1-70 5.5 - 6 P-213 Internal improvement 12-1-70 4.5 - 4.625 - 4.7 No-Fund Warrants C Order No. 1206.9 11-25 -69 4.75 .. Exhibit G (Contd.) Original Outstanding Issued Paid Outstanding Issue 1-1-70 Year 1970 Year 1970 12 -31-70 $ 79,481. 71 $ $ 79,481.71 $ $ 79,481. 71 147,101.81 147 ,101. 81 147,101.81 11 r 779 r 689. OI 226,583.54 1,110,490.2Ei 10,895,782.33 $ ]0,000.00 $ $ $ 10,000.00 ,.. -29- CITY OF SALINA Salina, Kansas Exhibit H RECONCILEMENT OF FISCAL AGENCY ACCOUNT December 31, 1970 Balance with Fiscal Agency, January 1, 1970 $ 4,824.55 Remittances Matured bonds $1,110,490.26 Interest coupons 398,622.23 Commissions and postage 1.609.91 1,510,722.40 Total Remittances and Beginning Balance 1,515,546.95 Returns Cancelled bonds 1,110,490.26 Interest coupons paid 398,295.90 Interest refnnded .30 Commissions and postage retained 1.609.91 1,510.396.37 Balance with Fiscal Agency, December 31, 1970 $ 5,150.58 -30- CITY OF SALINA Salina, Kansas Exhibit H (Contd.) RECONCILEMENT OF FISCAL AGENCY ACCOUNT December 31, 1970 Bond Date Date Coupon Bond Series Issued Due Number Number De ta il Amount -- FL -17 8 5-1-58 9-1-78 23 616 -621 6 @ $ 15.00 $ 90.00 FL-178 5-1-58 9 -1-78 24 494-501 8 @ 13.75 110.00 FL-178 5 -1-58 9-1-78 24 536 1 @ 15.00 15.00 FL-178 5 -1-59 9-1-78 24 616 -621 6 @ 15.00 90.00 P -182 12-1-59 12-1-70 22 901-910 10 @ 16.87 168.70 P-183 12-1-59 12-1-80 22 343 -402 60 @ 18.75 1,125.00 FL-186 5 -1-61 9-1-81 18 983-987 5 @ 17.50 87.50 P -189 11-1-61 11-1-82 18 516-520 5 @ 17.50 87.50 P-189 11-1-61 11-1-82 18 576 -577 2 @ 17.50 35.00 P-191 11-1-62 11-1-82 16 287-288 2 @ 13.75 27.50 P -191 11-1-62 11-1-82 16 408-412 5 @ 15.00 75.00 FL-193 11-1-63 11-1-84 14 183-187 5 @ 15.63 78.15 P -194 11-1-63 11-1-84 14 896 -905 10 @ 15.63 156.% P -194 11-1-63 11-1-84 14 935-939 5 @ 15.63 78.15 P-197 11-1-64 11-1-75 12 74-78 5 @ 68.75 343.75 CB -201 11-1-66 11-1-87 7 163 1 @ 95.00 95.00 CB -201 11-1-66 11-1-87 8 120-121 2 @ 95.00 190.00 CB -201 11-1-66 11-1-87 8 163 1 @ 95.00 95.00 PK-203 11-1-66 11-1-77 8 16 1 @ 93.75 93.75 G-206 12-1-67 12-1-68 5 58 -63 6 @ 21.25 127.50 AS -210 12 -1-69 12-1-80 2 1 1 @ 36.36 36.36 AS - 21 0 12 -1-69 12-1-80 2 2-14 12 @ 26.25 315.00 P-211 12 -1-69 12-1-80 2 1 1 @ 152.61 152.61 P-211 12 -1-69 12-1-80 2 2 1 @ 131. 25 131. 25 P -212 4-1-70 12-1-90 1 12 -19 8@ 36.66 293.28 P-212 4-1-70 12-1-90 1 40-43 4 @ 36.66 146.64 P-212 4-1-70 12-1-90 1 52-55 4 @ 36.66 146.64 P-212 4-1-70 12 -1-90 1 61-79 19 @ 40.00 760.00 Total $5.150.58 ,. -31- s City Building, Equipment, etc. Buildings and contents - Blanket policy Miscellaneous Memorial Hall Liability Vehicles Owners', Landlords', and Tenants' Liability Policy - Kenwood Park Grandstand Lakewood Park Boat Concession and Lodge S team Boilers Workmen's Compensation .. Schedule Liability - Water and Sewage Bodily injury Property damage CITY OF SALINA Salina, Kansas INSURANCE IN FORCE December 31, 1970 ~ of Coverage Fire and lightning, extended coverage, va1da1ism and mali- cious mischief Bodily injury Bodily injury Property damage Medical Fire, lightning, and transportation Theft and combined additional coverage Bodily injury Property damage Bodily injury Property damage Explosion - Each accident City Hall, Police Building, and Memorial Hall Filter Building, Fire Stations, Park Depart- ment Building, and Sewage Disposal Plant Exhibit I Co-In- Amount of Coverage surance 90% $ 3,303,000.00 25/300,000.00 100/300,000.00 50,000.00 500.00 Schedule 25/100,000.00 5,000.00 100/300,000.00 50,000.00 100,000.00 25,000.00 25,000.00 100/300,000.00 50/50,000.00 -32- CITY OF SALINA Salina, Kansas . INSURANCE IN FORCE December 31, 1970 Exhibit I (Contd.) Co-In- Type of Coverage surance Amount of Coverage Money and Securities Inside premises Outside premises $ 25,000.00 25,000.00 Depositors' Forgery Bond 10,000.00 Public Employees' Blanket Bond 10,000.00 Scheduled Property Floater, Police cameras 205.00 . -33- CITY OF SALINA Salina, Kansas Exhibit J FIDELITY BONDS IN FORCE December 31, 1970 Date Date of Name Title Effective Expiration Amount Leon Ashton City Commissioner 4-21-69 Term - 4 yrs. $10,000.00 Robert C. Caldwell City Commissioner 4- 21- 69 Term - 4 yrs. 10,000.00 Carl R. Rundquist City Connnissioncr 4-17-67 Term - 4 yrs. 10,000.00 Richard H. Zinnnerman City Connnissioner 12-28-70 4-17-71 10,000.00 Donald D. Mi llikan City Connnissioner 12-30-68 4-17-71 10,000.00 Norris D. Olson City Manager 5-1-64 Continuous 5,000.00 Donald L. Harrison City Clerk and Director of Finance 3-21-68 Continuous 5,000.00 M. E. Abbott City Treasurer 3-21-68 Continuous 50,000.00 Harold Henderson Municipal Court Judge 3-31-67 Continuous 1,000.00 -34- CITY OF SALINA Salina, Kansas Exhibit K SCHEDULE OF INVESTMENTS December 31, 1970 Balance Balance 1-1- 70 Additions Reductions 12-31-70 General Operating Fund U.S. Treasury Bills $ $ 834.746.65 S 834,746.65 $ Bond and Interest Fund U.S. Treasury Bills 1.231. 759.33 1.231,759.33 Sanitation Fund Savings accounts 30.00C-.._O(} 30,000.00 Parking Meter Fund Savings account 5.000.00 5,000.00 Water and Sewage Fund Bond Reserve Account U.S. Treasury Bills 365,907.77 214,356.10 365,907.77 214,356.10 Certificate of Deposit 17 9,000.00 179,000.00 Depreciation and Emergency Account U.S. Treasury Bills 162,875.01 63,633.99 162,875.01 63,633.99 Certificate of Deposit lll, 000.00 1ll,000.00 Extension and Bond Retirement Account U.S. Treasury Bills 179,605.76 182,926.61 305,596.70 56,935.67 Certificate of Deposit 105,000.00 105,000.00 Totals 708,388.5{f. 855.916.70 834.379.48 729,925.76 Construction Fund U.S Treasury Bills 241.137. 75 144.406.75 96,731.00 Cemetary Endowment Fund U.S. Treasury Bills 20,367.26 20,367.26 Certificate of Deposit 21,000.00 21,000.00 -35- CITY OF SALINA Salina, Kansas Exhibit K (Contd.) SCHEDULE OF INVESTMENTS December 31, 1970 Balance Balance 1-1- 70 Additions Reductions 12-31-70 Mausoleum Endowment Fund U.S. Treasury Bills $ 15,738.34 $ $ 15,738.34 $ Certificate of Deposit 16.000.00 16,000.00 Street Machinery Fund Savings accounts $ 25.000.00 S S 8,000.00 17 , 000 . 00 Total Investments - All Funds $915,656.76 -36- CITY OF SALINA Salina, Kansas Exhibit L COMPARISON OF DEPOSITORY SECURITY WITH BALANCES ON DEPOSIT December 31, 1970 FDIC Balance or FSLIC Security Total on Balance Depository Coverage P1e~ Coverage Deposit Unsecured First National Bank and Trust Company $20,000.00 $1,077,000.00 $1,558,570.97 $745,195.30 $ First State Bank and Trust Company 20,000.00 203,000.00 309,999.91 118,220.82 National Bank of America 20,000.00 382,000.00 565,714. 12 308,078.23 Planters State Bank 20,000.00 737,500.00 1,073,571.ll 733,201.42 Homestead Savings and Loan 20,000.00 20,000.00 12,000.00 Prudential Savings Association 20,000.00 20,000.00 20,000.00 Security Savings and Loan 20,000.00 20,000.00 20,000.00 -37- CITY OF SALINA Salina, Kansas SCHEDULE OF AUDIT ADJUSTMENTS December 31, 1970 -1- Water and Sewage Fund - Revenue Water and Sewage Fund - Balance To adjust for cash on hand at December 31, 1969, recorded as 1970 receipts. -2- Water and Sewage Fund - Balance Water and Sewage Fund - Revenue Water and Sewage Fund - Expenditures To adjust for cash paid out items for December, 1969, recorded in 1970. -3- General Fund - Balance Bond and Interest Fund - Balance To adjust for error in amount of December 31, 1969, audit adjustment. -4- Water and Sewage Fund - Expenditures Water and Sewage Fund - Encumbrances To record additional encumbrances at December 31, 1970. Debit $3,317.66 732.89 19.80 2,858.54 Exhibit M Credit $3,317.66 75.87 657.02 19.80 2,858.54 -38- CITY OF SALINA Salina, Kansas STATEMENT OF TAXES RECEIVED FROM COUNTY TREASURER, BY FUNDS January 1 to December 31, 1970 Ad Valorem and Intangible Taxes General Operating Ad valorem Intangible Total General Operating Noxious Weeds Firemen's Pension Policemen's Pension Tree Maintenance Bond and Interest General and Special Improve- ments Flood Works and Levee Social Security Employees' Retirement Total Ad Valorem and Intangible Taxes Special Taxes (a) Paving (a) Sewer (b) Water (c) Weeds (c) Nuisance (d) Sidewalks (a) Off-Street Parking Total Special Taxes Total Taxes Distribution - Special Taxes (a) To Bond and Interest Fund (b) To Water and Sewage Fund (c) To General Fund (d) To Construction Fund De linquent Tax $ 21,845.17 2,142.04 23,987.21 103.21 446.65 397.36 250.85 ll, 864.65 681.40 357.85 633.58 461.47 39,184.23 123, lll. 02 8,976.67 3,043.10 2,233.25 3.22 520.80 137,888.06 $177 .072 .29 Exhibit N 1969 Current Tax and Sales Tax Totals $1,119,737.68 $1,141,582.85 52,565.95 54,707.99 1,172,303.63 1,196,290.84 6,168.86 40,803.60 18,429.28 8,632.27 706,423.12 6,272.07 41,250.25 18,826.64 8,883.12 718,287.77 19,911.88 37,746.13 26,672 :.1d 681. 40 20,269.73 38,379.71 27,133.58 2,037,090.88 2,076,275.ll 354,270.58 24,167.78 477 , 381. 60 33,144.45 3,043.10 2,188.00 4,421.25 196.00 199.22 2,405.34 2,926.14 43,910.56 43,910.56 427,138.26 565,026.32 $2.464.229.14 $2.641.301.43 -39- CITY OF SALINA Salina, Kansas Schedule C-1 DETAIL OF GENERAL OPERATING FUND EXPENDITURES, BY DEPARTMENT, COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Totals Actual (Over) Under Actual Budget Budget $ 490.00 $ 500.00 $ 10.00 2,108.17 5,000.00 2,891.83 14,690.00 14,670.00 (20.00) 4,438.ll 4,500.00 61. 89 4,076.58 4,000.00 (76.58) 1,655.76 2,000.00 344.24 3,072.57 2,400.00 (672.51) =~Q::!"5 31. 19 33.070...QQ. 2.538.81 Schedule C-2 City Commission Personal Services Salaries Contractual Services Traveling expenses Contributions Legal advertising Other contractual services Revision of ordinances Sundry Expenditures Organization dues City Manager Personal Services Salaries - Department head Salaries - Regular employees Contractual Services Telephone and telegraph Traveling expenses Postage Insurance - Motor vehicles Insurance - Surety bonds Repair - Furniture and office equipment Repair - Motor vehicles Repair - Tires and tubes Materials and Supplies Office supplies Books and periodicals Motor vehicle - Fuel and lubricants Motor vehicle - License tags Other operating supplies Motor vehicle - Tires and tubes 18,051.44 16,320.00 (1,731.44) 5,694.13 5,815.00 120.87 802.62 1,600.00 797.38 934.80 750.00 (184.80) 54.36 160.00 105.64 68.69 50.00 (18.69) 18.00 20.00 2.00 92.00 50.00 (42.00) 163.01 250.00 86.99 3.50 15.00 ll.50 285.81 250.00 (35.81) 223.00 200.00 (23.00) 187.92 200.00 12.08 12.50 5.00 (7.50) 25.00 25.00 56.64 50.00 (6.64) -40- CITY OF SALINA Salina, Kansas Schedule C-2 (Contd.) DETAIL OF GENERAL OPERATING FUND EXPENDITURES, BY DEPARTMENT, COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 City Manager (Contd.) Sundry Expenditure Organization dues Capital Outlay Furniture and fixtures Totals City Clerk Personal Services Salaries - Department heads Salaries - Regular employees Contractual Services Telephone and telegraph Traveling expenses Postage Printing office forms Insurance - Surety bonds Repair - Furniture and office equipment Rent - Machinery and equipment Auditing and accounting services Other professional services Other contractual services Material and Supplies Office supplies Books and periodicals Other operating supplies Sundry Expenditures Organization dues Refunds Capital Outlay Furniture and fixtures Office mechanical equipment Totals Actual $ 161. 25 Budget $ 185.00 Actual (Over) Under Budget $ 23.75 421.40 27 . 231...JLZ 22,128.00 30,120.13 1,083.34 196.06 888.62 1,397.90 197.25 794.65 15,517.92 3,600.00 744.74 2,081.08 130.10 235.00 430.50 407.91 562.50 8 0, 5 l5......2Q 500.00 26.445.00 21,780.00 30,090.00 1,400.00 700.00 720.00 1,500.00 300.00 800.00 15,000.00 3,600.00 400.00 100.00 2,000.00 200.00 100.00 225.00 600.00 200.00 400.00 80.115.00 78.60 (786.07) Schedule C-3 (348.00) (30.13) 316.66 503.94 (168.62) 102.10 102.75 5.35 (517.92) (344.74) 100.00 (81. 08) 69.90 100.00 (10.00) 169.50 (207.91) (162.50) (400.70) -41- CITY OF SALINA Salina, Kansas Schedule C-4 DETAIL OF GENERAL OPERATING FUND EXPENDITURES, BY DEPARTMENT, COMPARED WITH BUDGET APPROPRL\TIONS January 1 to December 31, 1970 City Attorney Personal Services Salaries - Department head Salaries - Regular employees Contractual Services Traveling expenses Legal services Materials and Supplies Books and periodicals Sundry Expenditure Organization dues Totals Municipal Court Personal Services Salaries - Department heads Salaries - Regular employees Contractual Services Telephone and telegraph Traveling expenses Printing office forms Insurance - Motor vehicles Insurance - Surety bonds Repair - Motor vehicle:; Repair - Tires and tubes Other professional services Materials and Supplies Office supplies Motor vehicles - Fuel and lubricants Motor vehicles - License tags Other operating supplies Motor vehicles - Tires and tubes Sundry Expenditure Refunds Capital Outlay Furniture and fixtures Totals Actual $ 7,860.00 6,300.00 3,864.25 484.23 10.00 18,5l8......4.8. 5,400.00 8,390.37 380.73 3.00 293.80 75.15 10.00 137.53 1.00 1,181.34 150.72 195.86 10.00 169.80 71. 57 224.00 532.50 17,227.37 Actual (Over) U'nder Budget Budget $ 8,018.00 $ 158.00 6,427.00 127.00 100.00 100.00 2,500.00 (1,364.25) 350.00 (134.23) 50.00 40.00 ~45.00 (1,073.48) Schedule C-5 5,510.00 8,390.00 110.00 (.37) 360.00 150.00 250.00 (20.73) 147.00 (43.80) (75.15) 10.00 800.00 (137.53) (1. 00) (381.34) 125.00 (25.72) (195.86) (10.00) (169.80) (71.57) 150.00 (74.00) (532.50) 15,745.00 (1,482.37) -42- CITY OF SALINA Salina, Kansas Schedule C-6 DETAIL OF GENERAL OPERATING FUND EXPENDITURES, BY DEPARTMENT, COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 City Building Personal Services Salaries - Regular employees Contractual Services Insurance - Fire Gas service Light and power service Water servic~ Repair - Buildings Laundry and towel service Other professional services Other contractual services Material and Supplies Expendable Janitor and toilet supplies Cement and cement products Electrical and lighting parts Lumber and lumber products Paint and painting supplies Capital Outlay Furniture and fixtures Totals Engineer Personal Services Salaries - Department head Salaries - Regular employees Contractual Services Telephone and telegraph Traveling expenses Postage Blueprints Printing office forms Insurance - Motor vehicles Insurance - Surety bonds Repair - Furniture and office equipment Repair - Machinery and equipment Actual Actual (Over) Under Budget Budget $ 9,216.00 $13 , 875 . 00 5,001. 50 3,500.00 689.68 1,000.00 1,794.05 1,200.00 124 . 20 200.00 4,249.15 800.00 12.91 20.00 170.04 200.00 17,973.50 $ 4,659.00 (1,501. 50) 310.32 (594.05) 75.80 (3,449.15) 7.09 29.96 (17,973.50) 24.38 1,650.43 200.00 2,500.00 100.00 300.00 200.00 100.00 175.62 849.57 100.00 36.18 (248.10) (95.78) 263.82 448.10 195.78 4.033.04 (4,033.04) 45.846 . 58 24,195.00 111,651.58) Schedule C-7 8,385.56 11,812.00 3,426.44 47,437.07 51,993.00 4,555.93 726.73 400.00 (326.73) 279.68 600.00 320.32 60.19 50.00 (10.19) 89.10 400.00 310.90 50.00 50.00 149.00 150.00 1.00 18.00 20.00 2.00 257.00 200.00 (57 . 00) 788.05 300.00 (488.05) .-43- CITY OF SALINA Salina, Kansas Schedule C-7 (Contd.) DETAIL OF GENERAL OPERATING FUND EXPENDITURES, BY DEPARTI1ENT, COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Engineer (Contd.) Contractual Services (Contd.) Repair - Tires and tubes Repair - Radio equipment Other professional services Materials and Supplies Office supplies Books and periodicals Drafting and engineering supplies Motor vehicle - Fuel and lubricants Motor vehicle - License tags Lumber and lumber products Motor vehicle - Tires and tubes Sundry Expenditur.es Organization d~~s Capital Outlay Equipment - Engineering Furniture and office equipment Radio equipment Totals Fire Personal Services Salaries - Department head Salaries - Regular employees Contractual Services Telephone and telegraph Traveling expenses Postage Printing office forms Insurance - Motor vehicles Gas service Light and power service Water service Repair - Buildings Repair - Furniture and Repair - Machinery and Actual (Over) Under Actual Budret Budget $ 36.48 $ 50.00 $ 13.52 204.00 100.00 (104.00) 112.54 100.00 (12.54) 250.75 200.00 (50.75) 98.85 50.00 (48.85) 601. 24 1,250.00 648.76 695.16 800.00 104.84 60.00 10.00 (50.00) 93.38 200.00 106.62 116.89 100.00 (16.89) 120.00 150.00 30.00 1,252.00 400.00 (852.00) 245.15 600.00 354.85 100.00 100.00 -6.4Ql.~ ~.a~.QQ 8,008. Hi Schedule C-8 17,120.00 445,161. 20 2,233.32 288.48 56.38 66.00 1,148.31 2,963.70 1,875.13 742.31 13,548.22 office equipment 130.45 equipment 248.00 9,537.00 483,553.00 2,460.00 500.00 150.00 100.00 900.00 2,700.00 1,950.00 500.00 200.00 50.00 50.00 (7,583.00) 38,391.80 226.68 211.52 93.62 34.00 (248.31) (263.70) 74.87 ( 24 2 . 31) (13,348.22) (80.45) (198.00) -44- CITY OF SALINA Salina, Kansas Schedule C-8 (Contd.) DETAIL OF GENERAL OPERATING FUND EXPENDITURES, BY DEPARTMENT, COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Actual Fire (Contd.) Contractual Services (Contd.) Repair - Motor vehicles $ Repair - Tires and tubes Repair - Radio equipment Laundry and towel service Other professional "ervices Materials and Supplies Expendable tools Office supplies Books and periodicals Janitor and toilet supplies Motor vehicle - Fuel and lubricants Seeds, plants, trees, and lawn supplies Wearing apparel Other operating supplies Electrical and lighting parts Lumber and lumber products Machinery and equipment parts Metal and metal products Motor vehicle - Parts Motor vehicle - Tires and tubes Paint and painting supplies Photograph supplies Welding supplies Other repairs and maintenance Sundry Expenditure Organization dues Capital Outlay Equipment Fire fighting equipment Furniture and fixtures Office mechanical equipment Automobiles Personnel protective equipment Radio equipment 67.68 48.00 1,909.49 12.64 380.93 684.24 3ll .44 355.10 975.12 1,833.20 20.65 2,231.84 504.94 474.96 237.74 307.36 462.50 595.10 503.10 714.91 189.98 51. 37 284.87 90.00 573.75 6,582.75 1,166.13 300.00 3,442.00 899.45 5,187.00 Tota 1s Budget $ 100.00 20.00 1,500.00 700.00 320.00 250.00 400.00 400.00 800.00 4,000.00 50.00 7,600.00 500.00 400.00 100.00 100.00 500.00 450.00 150.00 200.00 150.00 150.00 300.00 35.00 2,000.00 1,000.00 400.00 2,550.00 200.00 850.00 $516,979.74 $528,825.00 Actual (Over) Under Budget $ 32.32 (28.00) (409.49) 687.36 (60.93) (434.24) 88.56 44.90 (175.12) 2,166.80 29.35 5,368.16 (4.94 ) (74.96) (137.74) (207.36) 37.50 (145.10) (353.10) (514.91) (39.98) 98.63 15.13 (55.00) (573.75) (4,582.75) (166.13) 100.00 (892.00) (699.45) (4,337.00) $ 11 , 845 . 2 6 -45- CITY OF SALINA Salina, Kansas DETAIL OF GENERAL OPERATING FUND EXPENDITURES, BY DEPARTMENT, COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Schedule C-9 Actual (Over) Un(~er Actual Budget Budget Inspection Personal Services Salaries - Department head $ 3,487.00 $ ($ 3,487.00) Salaries - Regular employees 28,410.86 39,630.00 11,219.14 Contractual Services Telephone and telegraph 1,054.37 825.00 (229.37) Traveling expenses 15.38 250.00 234.62 Postage 156.1C 200.00 43.84 Printing office forms 313.00 350.00 37.00 Insurance - Motor vehicles 300.00 265.00 (35.00) Repair - Machinery and equipment 889.09 400.00 (489.09) Repair - Tires and tubes 10.00 10.00 Radio maint. ;lance contract 290.25 325.00 34.75 Materials and Supplies Office supplies 675.82 400.00 (275.82) Books and periodicals 552. 71 400.00 (152.71) Motor vehicle - Fuel and lubricants 674.76 550.00 (124.76) Motor vehicle - License tags 62.50 10.00 (52.50) Other operating supplies 121. 47 100.00 (21.47) Motor vehicle - Tires and tubes 37.96 100.00 62.04 Photography supplies 98.26 (98.26) Sundry Expenditure Organization dues 130.00 155.00 25.00 Capital Outlay Furniture and office equipment 100.00 100.00 Equipment 303.43 (303.43) Trucks and cars 3,567.05 (3,567.05) Totals 41. 150.07 44.070.00 2.919.93 -46- CITY OF SALINA Salina, Kansas DETAIL OF GENERAL OPERATING FUND EXPENDITURES, BY DEPARTMENT, COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Park Personal Services Salaries - Department heads $ Salaries - Regular employees Salaries - Part time employees Contractual Services Telephone and telegraph Traveling expenses Insurance - Buildings Insurance - Motor vehicles Gas service Light and power service Water Service Repair - Buildings Repair - Machinery and 0quipment Repair - Tires and tubes Other contractual services Materials and Supplies Expendable tools Office supplies Books and periodicals Chemicals, drugs, etc. Motor vehicle - Fuel and lubricants Motor vehicle - License tags Recreational supplies Memorial park stadium Seeds, plants, trees, and lawn supplies Other operating supplies Cement and cement products Electrical and lighting parts Lumber and lumber products Motor vehicle - Tires and tubes Paint and painting supplies Sand, gravel, rock, and chat Sundry Expenditure Sales tax Organization dues Actual 8,004.00 56,534.17 16,628.89 601. 57 38.99 316.00 344.00 1,097.80 920. 69 24.84 442.72 3,862.06 111.40 846.51 423.47 23.08 2.95 222.90 1,225.16 105.00 145.41 301.65 1,024.06 653.69 437.19 104.01 91. 59 88.08 356.08 80.17 7.29 25.00 Budget $ 8,670.00 50,905.00 17 ,380.00 600.00 100.00 320.00 235.00 900.00 800.00 35.00 500.00 2,000.00 150.00 250.00 35.00 100.00 1,000.00 15.00 300.00 1,000.00 1,000.00 200.00 200.00 300.00 200.00 100.00 350.00 200.00 20.00 Schedule C-10 Actual (Over) Under Budget $ 666.00 (5,629.17) 751.11 (1.57) 61. 01 4.00 (109.00) (197.80) (120.69) 10.16 57.28 (1,862.06) 38.60 (846.51) (173.47) (23.08) 32.05 (122.90) (225.16) (90.00) 154.59 698.35 (24.06) (453.69) (237.19) 195.99 108.41 11.92 (6.08) 119.83 (7.29) (5.00) -47- CITY OF SALINA Salina, Kansas Schedule C-10 (Contd.) DETAIL OF GENERAL OPERATING FUND EXPENDITURES, BY DEPARTMENT, COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Park (Contd.) Capital Outlay Buildings Park equipment - Mowers Recreational equipment Landscape improvements Trucks Totals Police Personal Services Salaries - Department heads Salaries - Regular e:.lp loyees Salaries - Part time employees Contractual Services Telephone and telegraph Traveling expenses Postage Feeding prisoners Printing office forms Insurance - Motor vehicles Insurance - Surety bonds Gas service Light and power service Water service Repair - Buildings Repair - Furniture and office equipment Repair - Machinery and equipment Repair - Tires and tubes Radio maintenance Rent - Machiner.)" and equipment Laundry and towel service Medical services Other professional services Other contractual services Actual $ 8,153.80 20,944.04 2,114.66 126.302. 92 9,060.80 386,407.26 23,435.50 6,523.73 1,591.57 956.19 8,641.34 3,799. 12 847.00 104.25 2,553.30 2,203.96 240.22 629.39 1,104.72 16,157.98 175.75 3,099.85 3,010.64 418.23 1,224.14 2,146.10 2,121.17 Budget $ 4,200.00 400.00 200.00 2,000.00 94.665.00 10,210.00 427,080.00 28,270.00 6,300.00 1,300.00 950.00 8,000.00 2,300.00 850.00 30.00 1,650.00 1,900.00 240.00 500.00 1,000.00 12,000.00 300.00 2,600.00 2,000.00 350.00 600.00 750.00 100.00 Actual (Over) Under Budget $ 4,200.00 (7,753.80) 200.00 (18,944.04) (2,ll4.66) (31.637.92) Schedule C-ll 1,149.20 40,672.74 4,834.50 (223.73) (291.57) (6.19) (641. 34) (1,499.12) 3.00 (74.25) (903.30) (303.96) (.22) (129.39) (104.72) (4,157.98) 124.25 (499.85) (1,010.64) (68.23) (624.14) (1,396.10) (2,021.17) -48- CITY OF SALINA Salina, Kansas Schedule C-11 (Contd.) DETAIL OF GENERAL OPERATING FUND EXPENDITURES, BY DEPARTMENT, COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Act ua 1 (Over) Under ~1.l Budget Budget Police (Contd.) Materials and Supplies Expendable tools $ 295.64 $ 300.00 $ 4.36 Office supplies 1,969.19 1,600.00 (369.19) Books and periodicals 490.40 275.00 (215.40) Food for animals 256.74 175.00 (81. 74) Motor vehi.c1e - Fuel and lubricants 13,693.30 13,500.00 (193.30) Motor vehicle - License tags 215.50 35.00 (180.50) Wearing apparel 6,590.63 6,100.00 (490.63) Other operating supplies 325.56 350.00 24.44 Electrical and lighting parts 64.80 100.00 35.20 Lumber and lumber products 657.65 100.00 (557.65) Motor vehicle - Tires and tubes 3,030.07 2,100.00 (930.07) Paint and painting supplies 88.17 50.00 (38.17) Photography supplies 956.83 1,000.00 43.17 Sundry Expenditure Organization dues 326.00 450.00 124.00 Capital Outlay Equipment 2,092.47 400.00 (1,692.47) Automobiles and motorcycles 15,909.51 3,500.00 (12,409.51) Furniture and fixtures 248.07 100.00 (148.07) Officers' service equi.pment 1,950.94 500.00 (1,450.94) Office mechanical equipment 987.15 (987.15) Radio equipment 6,128.00 1,050.00 (5,078.00) To ta 1 s 532,728.83 540,96..hQQ 8,236.17 Schedule C-12 Street Personal Services Salaries - Director of services 11,256.00 11,260.00 4.00 Salaries - Regular employees 148,624.86 166,695.00 18,070.14 Contractual Services Telephone and telegraph 321.67 350.00 28.33 ". Traveling expenses 168. 77 100.00 (68.77) Insurance - Motor vehicles 1,513.66 1,250.00 (263.66) Gas services 958.39 900.00 (58.39) -49- CITY OF SALINA Salina, Kansas Schedule C-12 (Contd.) DETAIL OF GENERAL OPERATING FUND EXPENDITURES, BY DEPARTMENT, COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Street (Contd.) Contractual Services (Contd.) Light and power service Water service Repair - Buildings Repair - Machinery and equipment Repair - Tires and tubes Radio maintenance contract Rent - Machinery and equipment Laundry and towel service Other professional services Materials and Supplies Expendable tools Office supplies Chemicals, drugs, etc. Fuel and lubricants Motor vehicle - Fuel and lubricants Motor vehicle - License tags Other operating supplies Asphalt and road oil Cement and cement products Lumber and lumber products Machinery and equipment parts Metal and metal products Motor vehicle - Tires and tubes Sand, gravel, rock, salt, and chat Sweeper parts Sundry Expenditures Organization dues Transfer to Street Machinery Fund Capital Outlay Trucks Street equipment Totals Actual Budget Actual (Over) Under Budget $ 222.98 $ 150.00 $ (72.98) 72 .15 100.00 27.85 200.00 200.00 20,851.37 19,000.00 (1,851. 37) 1,589.36 500.00 (1,089.36) 690.45 810.00 119.55 200.00 200.00 17.40 20.00 2.60 21. 50 50.00 28.50 505.37 1.32 636.80 353.67 8,390.64 478.50 243.34 1,761.40 5,766.03 37.31 196.75 60.00 1,250.30 1,937.37 4,991.90 15.00 5,000.00 4, 114.09 2,293.21 500.00 50.00 1,200.00 600.00 8,000.00 25.00 300.00 2,000.00 5,000.00 200.00 700.00 500.00 600.00 2,500.00 3,000.00 15.00 5,000.00 700.00 224,3~1.56 21s~475.00 (5.37) 48.68 563.20 ?'t6.33 (390.64) (453.50) 56.66 238.60 (766.03) 162.69 503.25 440.00 (650.30) 562.63 (1,991.90) (4,1l4.09) (1,593.21) 8,133.44 -50- CITY OF SALINA Salina, Kansas DETAIL OF GENER,\L OPERATING FUND EXPENDITURES, BY DEPARTMENT, COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Waste Di::;posa1 Personal Services Salaries - Regular employees Contractual Services Insurance - Equipment Repair - Equipment Repair - Tires and tubes Materials and Supplies Motor vehicle - Fuel and lubricants Other operating supplies Motor vehicle - Tires and tubes Sand, rock, gravel, salt, and chat Totals Street Lighting COl,tractua1 Services Light and power services Traffic Control Personal Services Salaries - Regular employees Salaries - Part time employees Contractual Services Telephone and telegraph Traveling expenses Insurance - Motor vehicles Light and power service Repdirs - Machinery and equipment Repair - Tires and tubes Repair - Radio equipment Repair - Traffic lights Rent - Machinery and equipment Other professional services Materials and Supplies Expendable tools Office supplies Actual $ 18,488.99 319.60 14,184.92 44.64 1,617.84 182.92 10.00 116.49 34,965.40 --8Q.,150. 71 17,290.69 233.79 10.50 157.49 2,098.33 745.90 8.00 108.00 611.95 2,408.40 216.07 10.80 Budget $ 18,340.00 ($ 180.00 8,000.00 50.00 2,000.00 500.00 300.00 300.00 25L.670.00 85,000.00 16,965.00 1,020.00 300.00 100.00 95.00 3,500.00 500.00 10.00 110.00 1,000.00 50.00 2,500.00 150.00 Schedule C-13 Actual (Over) Under Budget 148.99) (139.60) (6,184.92) 5.36 382.16 317.08 290.00 183.51 (5,295.40) Schedule C-14 4 , 849 ..2.2 Schedule C-15 (325.69) 1,020.00 66.21 89.50 (62.49) 1,401.67 (245.90) 2.00 2.00 388.05 50.00 91. 60 (66.07) (l0.80) -51- CITY OF SALINA Salina, Kansas Schedule C-15 (Contd.) DtTAIL OF GENEP~L OPERATING FUND EXPENDITURES, BY DEPARTMENT, COMPARED WITH BUDGET APPROPRIATIONS January 1 to Decembc~ 31, 1970 Traffic Control (Contd.) Materials and Supplies (Contd.) Books and periodicals Motor vehicles - Fuel and lubricants Motor vehicles - License tags Signs Cement and ~ement products Electrical traffic light parts Lumber and lumber products Motor vehicles - Tires and tubes Paint and painting supplies Other repairs and maintenance Capital Outlay Traffic control equipment Tota Is Swinnning Pools Personal Services Salaries - Regular employees Contractual Services Telephone and telegraph Gas service! Light and pbwer service Repair - Buildings Repair - Mathinery and equipment Other profe$sional services Materials andlSupp1ies Expendable tools Office supp~ies Chemicals, drugs, etc Janitor and toilet supplies Recreational supplies Cement and <j:ement products Electrical ~nd lighting parts Lumber and lumber products Machinery and equipment parts Paint and p~inting supplies Actual Actual (Over) Under Budget Budget $ $ 10.00 $ 10.00 432.22 350.00 (82.22) 30.00 5.00 (25.00) 1,547.15 3,500.00 1,952.85 7.75 300.00 292.25 376.00 1,000.00 624.00 22.96 50.00 27.04 4.96 50.00 45.04 3,827.05 3,500.00 (327.05) 157.39 50.00 (107.39) 2.948.62 4,570.00 ~621.38 -...33_,.2~ 2 3 9 , 6 e~5......QQ. 6,430.98 Schedule C-16 11,496.16 12,240.00 743 . 84 31. 78 20.00 (11.78) 32.89 30.00 (2.89) 524.00 600.00 76.00 957.00 700.00 (257.00) 45.03 3,750.00 3,704.97 680.30 100.00 (580.30) 391. 38 50.00 (341. 38) 99.12 100.00 .88 262.82 400.00 137.18 83.62 50.00 (33.62) 25.00 25.00 96.57 100.00 3.43 12.05 20.00 7.95 61 . 24 100.00 38.76 195.49 150.00 (45.49) 1,116.67 800.00 (316.67) -52- CITY OF SALINA Salina, Kansas , Schedule C-16 (Contd.) DETAIL OF GENERAL OPERATING FUND EXPENDITURES, BY bEPARTIlliNT, COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Swimming Pools (Contd.) Sundry Expenditure Sales tax Capital Outlay Equipment Totals Administration and Planning Personal Se~vices Salaries - Department head Salaries - Regular employees Salaries - Part time employees Contractual Services Telephone and telegraph Traveling expenses Postage Printing Insurance - Motor vehicles Repair - Furniture and office equipment Repair - Machinery and equipment Repair - 1ires and tubes Other pro~essiona1 services Materials and Supplies Office supplies Books and periodicals Motor veh~c1e - Fuel and lubricants Motor veh~c1e - License tags Other operating supplies Motor veh~cle - Tires and tubes Sundry Expeflditure Organizat~on dues Capital Outilay Camera and lenses Office eq~ipment Totals Actual (Over) Under Actual Budget Budget $ 229.11 $ ($ 229.11) 1,709.66 1,500.00 (209.66) 18...._024. 89 20.735.00 2,710.11 Schedule C-17 23,496.00 14, 196 . 11 2,271.01 (23,496.00) 32,453.89 278.99 46,650.00 2,550.00 467.23 468.81 151.21 370.00 1,000.00 270.00 50.00 50.00 (97.23) 531.19 118.79 50.00 (6.00) 56.00 181.00 1,230.10 3.50 134.78 80.00 250.00 10.00 200.00 (101. 00) (980.10) 6.50 65.22 382.10 330.10 260.00 260.00 (122.10) (70.10) 214.65 27.50 17.35 107.74 200.00 5.00 50.00 50.00 (14.65) (22.50) 32.65 (57.74) 120.00 175.00 55.00 150.00 1,329.69 (150.00) (509.69) 820.00 45.334.88 53.300.00 7,965.12 -53- CITY OF SALINA Salina, Kansas Schedule C-18 DETAIL OF GENERAL OPERATING FUND EXPENDITURES, BY DEPARTMENT, COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Actual (Over) Under Actual Budget Budget Insurance and Contingencies Contractual Services Group insurance $ 23,615.06 $ 24,835.00 $ 1,219.94 Medical services 622.00 935.00 313.00 Workmen's compensation 11,004.00 18,000.00 6,996.00 Sundry Expenditure Contingencies 33,257.31 30,000.00 (3,257.31) Totals 68,498.37 -li..770.00 5.271.63 Schedule C-19 Band Contractual Services Appropriation 10,000.00 10.000.00 Schedule C-20 Cemetery Personal Services Salaries - Regular employees 16,785.44 16,705.00 (80.44) Contractual Services Telephone and telegraph 214. 75 200.00 (14.75) Travelingl expenses 119.53 100.00 (19.53) Insurance! - Motor vehicles 71.00 65.00 (6.00) Gas service 328.57 150.00 (178.57) Light and! power service 17 .21 20.00 2.79 Water service 92.40 100.00 7.60 Repair - Buildings 588.33 100.00 (488.33) Repair - ~achinery and equipment 1,271. 77 1,000.00 (271. 77) Repair - Tires and tubes 174.05 40.00 (134.05) Other professional services 272.85 100.00 (172.85) Materials and Supplies I Expendab1~ tools 34.26 50.00 15.74 Office sulpplies 52.80 50.00 (2.80) Fuel and lubricants 20.00 20.00 Motor vehicle - Fuel and lubricants 380.89 375.00 (5.89) -54- CITY OF SALINA Salina, Kansas , Schedule C-20 (Contd.) DETAIL OF GENERAL OPERATING FUND EXPENDITURES, BY bEPARTMENT, COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Actual (Oyer) Under Actual Budget Budget Cemetery (Contd. ) Materials an~ Supplies (Contd. ) Motor vehicle - License tags $ 15.00 $ 15 . 00 $ Seeds, plants, and trees 27.41 50.00 22.59 Other oper~ting supplies 77 . 82 75.00 (2.82) Cement andj cement products 25.00 25.00 Lumber and' lumber products 32.04 50.00 17.96 Motor vehi~le - Tires and tubes 150.00 150.00 Paint and painting supplies 20.58 25.00 4.42 Sand, grav~l, rock, and chat 23.92 50.00 26.08 Sundry Expen~iture Organizatipn dues 82.50 60.00 (22.50) Capital Out lay Machinery and equipment 836.00 (836.00) Land 240.00 200.00 (40.00) Totals I 21. ~59. 12 19?775.00 -.Cl~12) j Schedule C-21 I General Improv~ent Personal Se~ices Salaries _I Regular employees 17,480.47 17,720.00 239.53 Salaries - Part time employees 2,713 .38 4,775.00 2,061. 62 Contractual ~ervices Insurance - Motor vehicle 59.00 75.00 16.00 Repa~r - Machinery and equipment 331.29 200.00 (131.29) Repair - Tires and tubes 54.24 10.00 (44.24) Materials an~ Supplies Expendable, tools 232.99 200.00 (32.99) Motor vehicle - Fuel and 1ubricanbs 169.28 200.00 30.72 Motor vehiFle - License tags 30.00 5.00 (25.00) Lumber and! lumber products 50.00 50.00 Metal and metal products 4.10 50.00 45.90 Motor vehicle - Tires and tubes 50.00 50.00 Paint and ~ainting supplies 6.43 50.00 43.57 Other repa~rs and maintenance 71.54 400.00 328.46 Totals 21.152. 72 23.785.00 2.632.28 -55- CITI OF SALINA Salina, Kansas Schedule C-22 DETAIL OF GENERAL OPERATING FUND EXPENDITURES, BY QEPARTMENT, COMPARED WITH BUDGET APPROPRIATIONS January 1 to December 31, 1970 Actual (Over) Under Actual Budget Budget Memorial Hall Personal Services Salaries + Regular employees $ 2,441. 72 $ 4,690.00 $ 2,248.28 Contractual Services Telephone and telegraph 125.34 250.00 124.66 Gas servi~e 2,181.01 1,700.00 (481.01) Light and power service 242.02 350.00 107.98 Water service 229.68 250.00 20.32 Repair - Buildings 3,727.86 400.00 (3,327.86) Repair - Machinery and equipment 225.95 100.00 (125.95) Other prolfessiona1 services 2,000.00 (2,000.00) Materials and Supplies Expendable tools 10.33 20.00 9.67 Other operating supplies 126.72 200.00 73.28 Lumber and lumber products 87.31 25.00 (62.31) Paint and, painting supplies 5.61 100.00 94.39 Sundry Exp~diture Public address system 579.00 300.00 (279.00) Totals 11.982.55 8.385.00 (3.597.55) Schedule C-23 Public Health Contractua~ Services Appropriation 37.850.00 37.850.00 Schedule C-24 Industrial D~velopment Contractua~ Services Other professional services $ 22,328.30 $ 27,950.00 $ 5.,6._21.70 -56- CITY OF SALINA Salina, Kansas ACCOUNTANTS' COMMENTS December 31, 1970 -57- CITY OF SALINA Salina, Kansas EXHIBIT A. Co~parison of Cash Balances With Encumbrances. This exhibit! presents a summary of the transactions during the year for each fund an~ a comparison of the ending fund balances with encumbrances at December ~l, 1970. I The unencumb~red Fund balances include investments as a part of the cash balance in cpnformity with K.S.A. 1967 SUppa 12-1671 and 12-1672. Exhibit K presents thel beginning and ending balances of investments by funds. Invest- ment transac'tions are not reflected in receipts and expenditures. All fund balances at December 31, 1970, were sufficient to cover encumbrances. EXHIBIT B. Sdatement of Revenue, Actual and Estimated. Revenue as estimated for budget purposes is compared with actual revenue received in IExhibit B. , General Ope~ating Fund revenues exceeded anticipated amounts in several c1assificat~ons. These amounts are primarily due to increases in the amounts of municipal court fines and costs, collected and increases in the amount of the transfer from the Special Gasoline Tax Fund. EXHIBIT C. Statement of Expenditures Compared With Budget Appropriations. Actual expenditures for the year 1970 are compared to budget appropriations in this exhibit. The General Operating Fund is presented in summary form, by departme*ts, and the detail of each department is presented in Schedules C-l throughIC-24. City buildi~g department expenditures exceeded budgeted amounts due to additional ~xpense for the city's share of janitorial and maintenance services in the new building which had not been anticipated in budget expenditures. Expenditures in excess of amounts budgeted for the Park department are principally due to the installation of the underground watering system for the Sunset Park. Expenditures of the Special Gasoline Tax Fund exceeded the amount budgeted, however, th~ change in the law during 1970 permitted expenditures of amounts received inl that year. I The Municipal Ga1f Course was not completed by the date anticipated and the actual recelipts and expenditures in this fund therefore varied greatly from the amounts, as budgeted. -58- Actual expenditures of the Water and Sewage Fund were in excess of the amount budgeted, however, authorized budget credits served to prevent any violation of the budget l,aw. These credits represent refunds of customer collections, I deposits, a~ sales tax which are also reflected in receipts. During 1970 'expenditures totaling $2,691. 51 were paid from the Industrial Development department to reimburse Kansas Technical Institute for expenses incurred in student recruiting activities. The Salina City Attorney, in an opinion submitted to us, stated that although such an expenditure may be authorized under K.S.A. 13-1442 because these expenditures help develop skilled technicians necessary to attract industry, such authority is not clear cut. The City discontinued expenditures for this purpose in April, 1970. EXHIBIT D. Statement of Receipts, Expenditures, and Unencumbered Fund Balance, ,Non-Budgeted Funds. This exhibit presents the transactions of the non-budgeted funds for the year, and their beginning and ending unencumbered fund balances. Indebtedness of construction projects which will be paid through the issuance of bonds are not recorded as encumbrances of the Construction Fund. EXHIBIT G. Statement of Bonds of Indebtedness, Temporary Notes, and No-Fund Warrants. This exhibit shows the outstanding bonds, temporary notes, and no-fund warrants of the City of Salina at the beginning and closing dates of the year and the changes occurring during the year 1970. The total amount of outstanding bonds at December 31 of each of the last ten years is as follows: Year Amount 1961 1962 1963 1964 1965 1966 1967 1968 1969 1970 $11,141,058.06 12,493,279.87 13,550,777.45 13,200,094.26 13,392,000.00 13,876,000.00 13,276,000.00 12,609,490.26 11,779,689.07 10,895,782.33 -59- The outstand~ng bonds at December 31, 1970, may be classified by source of payment as f~llows: I City of Salina General obligation bonds Specia11 assessment bonds Property ~wners Speciall assessment bonds I Water andl Sewage Department Water ~d sewage revenue bonds $2,914,385.17 1,709,434.99 $ 4,623,820.16 3,676,962.17 T~ta1 2,595,000.00 $10.895.782.33 EXHIBIT L. Cdmparison of Depository Security With Balances on Deposit. Security provided by depositories at December 31, 1970, was sufficient for amounts Ion deposit that date; however, at times during the year the security provided was not sufficient to meet the statutory requirements of K.S.A. 911402 for balances on deposit in the Planters State Bank. CITY AUDIT QUESTIONNAIRE The following questionnaire has been of State, Department of Post Audit. following questions and answers with prepared by the office Auditors are requested their reports. of the Auditor to file the General 1. Were all inter-fund transactions made upon statutory authority? Answer: Yes. 2. Do the ttinutes contain adequate record of the proceedings of the govern- ing bod~? Answer: Yes. 3. Were the minutes signed, sealed, and approved by the governing body? Answer: Yes. 4. Were the directives of the governing body performed? Answer: Yes. 5. Were dewositories designated for all city officials receiving public moneys? I Answer:. Yes. 6. Were al~ public moneys deposited in designated depositories? I Answer:' Yes. 7. Are ban~ deposits of all City officials adequately secured? Answer: I No. See connnents on page 60. 8. Did the governing body approve all collateral security and personal bonds furnished to secure deposits? Answer: I Yes. -60- 9. Are fi~e1ity bonds and insurance policies properly filed? Answer:1 Yes. 10. Were all investments made in accordance with statutory provisions? Answer: Yes. 11. Were the proceeds from City obligations expended for authorized pur- poses? ! Answer:1 Yes. 12. Were sinking or reserve funds created and used in accordance with stat- utory provisions? Answer: Yes. 13. Were c~aim vouchers properly itemized and certified by claimant? Answer: Yes. 14. Did th~ governing body pass appropriation ordinances? Answerj Yes. 15. Were e~penditures from any City funds made in violation of the budget law? Answer: No. 16. Were expenditures from any City funds made in violation of the cash basis law? Answer: No. 17. Was th~re an inventory of public personal property on file? Answed Yes. 18. Are there lease-rental or extended contracts in force? Answer: Yes, accounting machine leased on month-to-month basis. 19. List officers or employees who received compensation in excess of legal authorization. (List shall include amounts received for personal ser- vices ~r unauthorized mileage.) Answer; None. 20. List Officers who maintained an unauthorized petty cash fund. Answer I None. I 21. List officers who made miscellaneous purchases or allowances from I current collections. Answer: None. 22. List officers who failed to furnish required surety bond. Answer; None. -61- City Clerk 23. List r~qUired forms which are not being properly used. Answer :1 None. 24. Did clJrk maintain a fund ledger? Answer:1 Yes. 25. Did Clerk maintain an adequate record of fund encumbrances for all City funds? Answer: Yes. 26. Did Clerk maintain budget appropriation accounts? Answer:: Yes. 27. Did C1~rk reconcile fiscal agency balance with outstanding matured bonds 4nd coupons? Answer:: Yes. 28. Were ail unpaid special assessments certified to the County Clerk to be placed on the tax roll? Answer: Yes. 29. Did banks furnish Clerk monthly statements of daily balances? Answer: Yes. City Treasurer 30. List required forms which are not being properly used. Answer: None. 31. Did the Treasurer make disbursements of City funds without properly signed warrants or warrant checks? Answer: No. 32. Did the City Treasurer maintain records independently of those maintained by the City Clerk? Answer: Yes. 33. Were t~ere frequent reconciliations between the City Treasurer and the City Clerk? Answed Yes. 34. Did th~ p1edge1 Answer~ I Treasurer maintain a chronological record of collateral securities to secure deposits? Yes. 35. Did the City Treasurer pay over to library treasurer all funds collected, within1budget appropriation, for the maintenance of such public library? Answer : Yes. I 36. Did the City Treasurer publish quarterly reports as required by statute? Answer: Yes. -62- Utilities 37. What U~ilities were owned or operated by the City? Answer: Water and sewage. 38. List raquired utility forms which are not being properly used. Answer: None. 39. Were operations of the Utilities budgeted? Answer: Yes. 40. Were transfers or utility surpluses antincipated in the current budget? Answer: Yes. 41. Were there utility revenue bonds outstanding? Answer: Yes. 42. Were utility fund transfers made in compliance with statutory provisions? Answer: Yes. 43. Was pet.ty cash fund confined to statutory use? Answer: Yes. 44. Were ch~rges for utility services in accordance with rates fixed by ordinance? Answer: Yes. 45. Was a customers' control account properly maintained? Answer: Yes. 46. Did the balance in the customers' deposit fund equal the amount of deposits in effect? Answer: Yes. 47. Was intfrest credited on deposits annually as required by statute? Answer: No - Interest paid at date of deposit withdrawal. Statement and Connnents Reference 48. Comparison of available cash balances with encumbrances Exhibit A 49. Statement of expenditure compared with appropriations by item, by fund Exhibit C 50. Statement of revenue, estimated and actual, by item, by fundi i 51. Classified statement of receipts, disbursements, and balances of cash Exhibit B Exhibit E -63- Statement and Comments 52. Summa*y statement of bonds of indebtedness, temporary notesJ and no-fund warrants 53. Reconqi1ement of fiscal agency balance I 54. SchedJ1e summarizing insurance on City property 55. Schedule of fidelity bonds of elective and appointive officers Reference Exhibit G Exhibit H Exhibit I Exhibit J Exhibit K 56. Schedule of investments by funds 57. Comparison of depository security and balances on deposit 58. Schedule of audit adjustments Exhibit L Exhibit M 59. Material differences between actual and estimated revenues Comments 60. Exceptions noted in viewing all claim vouchers 61. Income and expense statement of municipal utilities: Water Electric Gas None Exhibit C None None -64- CITY OF SALINA Salina, Kansas / WATER AND SEWAGE DEPARTMENT FINANCIAL STATEMENTS December 31, 1970 -65- -, eI1Y OF SALINA Salina, Kansas WATER AND SEWAGE DEPARTMENT BALANCE SHEET December 31, 1970 (~ith comparative figures for the preceding year) ASSETS 1970 - December 31, Current Assets Petty cash $ Cash on hand! Cash in banks Water and sewage treasurer Water and sewage treasurer - Operating account Accounts receivable - Consumers Due from Sanitation department Inventories Operating stores Meter parts Total Current Assets 1,500.00 47,449.93 64,825.22 50,055.47 69,833.95 14,799.73 248,464.30 Plant and Property - Schedule 1 Furniture and fixtures Plants, mains, equipment, and other property Total Plant and Property 70,307.13 8,973,753.63 9,044,060.76 Other Assets Cash in banks (funded reserves) Bond and interest Bond reserv~ Depreciati~ and emergency Combined water and sewage system extension!and bond retirement Investments (funded reserves) Bond reserve Depreciatio~ and emergency Combined water and sewage system extension ,and bond retirement Total Othe~ Assets I 104,349.65 60.85 932.98 6,163.69 393,356.10 174,633.99 161,935.67 841,432.93 Totals! SlO.133. 957.99 1969 $ 1,500.00 2,584.77 100,183.45 20,570.13 48,326.34 988.49 69,210.12 15,556.43 258,919.73 68,088.65 8,875,604.20 8,943,692.85 104,628.65 1,416.95 566.97 1,359.22 365,907.77 162,875.01 179,605.76 816,360.33 S10.018.972.91 Exhibit A December 31, 1970 1969 LIABILITIES Current Liabilitie Accounts payable Consumers' meter deposits Due to Sanitation department Total Current Liabilities $ 44,532.73 28,887.00 1,146.07 74,565.80 $ 14,538.58 28,464.00 43,002.58 Long-Term Liabilities Combined Water and Sewage System Revenue Bonds, Series of 1961 2,595,000.00 2,715,000.00 Surplus Appropriated Bond and intere~t reserve Bond reserve I Depreciation an~ emergency reserve Extension and bpnd retirement reserve Total Appropri~ted Unappropriated Total Surplus 104,349.65 393,416.95 175,566.97 168,099.36 841,432.93 6,622,959.26 7,464,392.19 104,628.65 367,324.72 163,441.98 180,964.98 816,360.33 6,444,610.00 7,260,970.33 Totals $10.133.957.99 $10.018.972.91 -66- CITY OF SALINA Salina, Kansas WATER AND SEWAGE DEPARTMENT UNAPPROPRIATED SURPLUS December 31, 1970 (With comparative figures for the preceding year) Beginning Balance Add Net income for the year Adjustment for prior year encumbrances Capital exptnditures from Bond Retirement and Exten$ion Reserve Payment of ~ond principal and interest from Bond and Interest Reserve Deduct Transfer to Bond and Interest Reserve Ending BalancE! Exhibit B illQ December 31, 1969 - $6,444,610.00 152,798.21 3.13 25,268.92 216,574.00 6,839,254.26 216,295.00 $6.622,959.26 $6,181,992.52 196,093.77 1,239.67 65,000.00 220,479.04 6,664,805.00 220,195.00 S6.444.6l0.00 -67- CITY OF SALINA Salina, Kansas Exhibit C WATER AND SEWAGE DEPARTMENT INCOME STATEMENT January 1 to December 31, 1970 (~ith comparative figures for the preceding year) 1970 lli.2 Revenue Water $ 653,706.43 $ 611,420.74 Sewage 357,803.57 351,613.15 Tapping serYices 5,501.65 6,169.36 Service cha~ge - Refuse department 3,062.04 3,019.27 Miscellaneous income 11,646.77 34,697.70 Total Reyenue 1,031,720.46 1,006,920.22 Operating Expenses - Schedule 2 782,348.25 710,347.41 Net Income from Operations 249,372.21 296,572 .81 Other Expense Interest paid on revenue bonds 96,574.00 100,479.04 Net Income $ 152.798.21 $ 196.093.77 -68- CITY OF SALINA Salina, Kansas Exhibit D WATER AND SEWAGE DEPARTMENT COMPARISON OF RESERVE BALANCES WITH ORDINANCE REQUIREMENTS December 31, 1970 Reserve Ba1arlces, January 1, 1970 Add Transfer to reserve - Year 1970 Interest on investments Deduct payme~t on bond principal and intere$t - Year 1970 Reserve Balances, December 31, 1970 Reserve Requ~rements, December 31, 1970 Bond and Interest Reserve Bond Principal - Five-twelfths of principal due on August 1, 1971 (5/12 x $120,000.00) Bond Inteirest - Five-sixths of inte~est due on February 1, 1971 (~/6 x $46,197.50) Bond Reservie Fifty mon~hs at $6,000.00 per month commencing October 1, 1961 Depreciation and Emergency Reserve Fifty mon~hs at $2,500.00 per month commencing October 1, 1961 Total Re~erve Requirements i Excess of Actual Reserve Balances Over Reserv~ Requirements Bond and Interest Reserve Bond Reserve Depreciation and Emergency Reserve $104,628.65 $367,324.72 $163,441.98 216,295.00 26,092.23 320,923.65 393,416.95 12,124.99 175,566.97 216,574.00 104,349.65 393,416.95 175,566.97 50,000.00 38,497.92 300,000.00 125,000.00 88,497.92 300,000.00 125,000.00 $ 15.851.73 $ 93.416.95 $ 50.566.97 -69- CITY OF SALINA Salina, Kansas WATER AND SEWAGE DEPARTMENT PLANT AND PROPERTY December 31, 1970 ~With comparative figures for the preceding year) I Furniture and Fixtures Plant, Mains, Equipment, and Other Pr~perty Distributidn Structurels and manholes Cast iron mains Hydrants Valves and valve boxes Stand pipe real estate Meter box~s and accessories Sunset st~nd pipe Total Distribution Water Supply Real estate Pump hous~s and derricks I We lIs Well pumps Flow lines Total Wa~er Supply I I Pumping Stations Real estate Real esta~e improvements Pump housJs and stock Land - Un4erground reservoir Reservoir. Electric meters and pumps Venture metters undergrouJd reservoir Pipes and piping Water sof ener plant River intake pump Water supply exploration December 31, 1970 1969 $ 70,307.13 $ Schedule 1 Increase or (Decrease) 68,088.65 $ 2,218.48 55,168.02 1,880,474.60 163,477.52 220,938.33 60,914.36 340,796.25 101,303.31 2,823,072.39 5,347.50 22,000.47 203,576.90 34,863.27 47,824.04 313,612.18 16,532.86 3,580.40 18,976.15 21,626.19 28,545.49 36,601.41 6,185.44 183,638.82 15,186.88 1, 103 , 021. 72 251,180.45 16,190.07 2,055.77 4,730.69 6,786.46 -70- 55,168.02 1,882,530.37 163,477.52 220,938.33 60,914.36 345,526.94 101,303.31 2,829,858.85 5,347.50 22,000.47 203,576.90 34,863.27 47,824.04 313 , 612 . 18 16,532.86 3,580.40 18,976.15 21,626.19 28,545.49 36,601.41 6,185.44 183,638.82 15,186.88 1,103,021. 72 251,180.45 16,190.07 CITY OF SALINA Salina, Kansas Schedule 1 (Contd.) WATER AND SEWAGE DEPARTMENT PLANT AND PROPERTY December 31, 1970 ~With comparative figures for the preceding year) Plant, Mainsl Equipment, and properfy (Contd.) Pumping St~tions (Contd.) Gypsum Hill water tower High surface pumps Total P~ping Stations Other General Eq~ipment Garage a*d storage buildings Trucks a~d compressors Chlorinator Laboratoty equipment Water office improvements Total GJnera1 Equipment Sewage Plant Sewage ptant and equipment Sewage 1fnes Total srwage Plant Expenditures from Water and Sewage Revenue aond Proceeds Sewage plant improvements Sewage tru~k lines Key Acres ~ater tower Misce11ane~us Additions ~o softening and treatment!: plant I Total E*penditures from Water i and S~wage Revenue Bond Proce~ds Tot41 Plant, Mains, Eq~ipment and Other PrQperty total Plant and Property December 31, 1970 1969 $ 124,802.70 36,654.09 1,862,722.67 $ 124,802.70 36,654.09 1,862,722.67 13 , 072 . 04 ll3,396.93 14,125.72 4,691.43 7,515.44 152,801.56 600,000.00 300,823.75 900,823.75 812,916.26 542,913.63 123,457.85 849,834.11 493,449.80 2,822,571.65 8,875,604.20 $8.943.692.85 Increase or (Decrease) $ 710.62 2,446.41 601.00 3,758.03 87,604.94 87,604.94 98,149.43 $100.367.91 -71- 13,072.04 113,396.93 14,836.34 7,137.84 8,116.44 156,559.59 600,000.00 300,823.75 900,823.75 812,916.26 542,913.63 123,457.85 937,439.05 493,449.80 2,910,176.59 8,973,753.63 $9.044.060.76 CITY OF SALINA Salina, Kansas Schedule 2 WATER AND SEWAGE DEPARTMENT OPERATING EXPENSES January 1 to December 31, 1970 (With comparative figures for the preceding year) Water Supply ~xpenses Maintenance - Well pumps and equipment We 11 power Water supply expense River intake power Maintenance.- Building and grounds Maintenance!- River Basin Total Water Supply Expenses I Softening and:Treatment Expenses Supervision Salaries I Electric poJer Ga s serv ice Building operating supplies Chemicals Maintenance ~ Equipment I Maintenance ~ Buildings Electricity - Calcium plant Gas - Calcium plant Supplies - C~lcium plant Total Softening and Treatment Expense$ Pumping Expenses Supervision Salaries Electric pow~r Gas service Lubricants Building oper~ting supplies Maintenance -i Electrical equipment and pump S I Maintenance -'Station buildings and gr ound s Total Pumping Expenses Increase D.ecember. 31. or 1970 1969 (Decrease) $ 2,128.46 $ 8,308.63 ($ 6,180.17) 6,264.22 5,035.82 1,228.40 1,858.12 1,994.06 (135.94) 1,854.40 1,612.80 241.60 347.91 66.75 281. 16 362.59 121.15 241.44 12.815.70 17.139.21 (4.323.51) 18,216.15 9,958.86 8,257.29 40,714.11 39,653.90 1,060.21 10,096.00 3,512.00 6,584.00 4,034.75 4,348.61 (313.86) 223.63 311.27 ( 87 . 64) 128,384.53 105,258.92 23,125.61 10,781.51 8,705.96 2,075.55 388.56 217.12 171.44 2,803.20 3,065.60 (262.40) 5,809.06 4,658.98 1,150.08 1. 543.91 963.59 580.32 222.995.41 180.654.81 42.340.60 10,675.69 10,657.14 18.55 21,408.84 21,646.80 (237.96) 13,813.22 17,981.08 (4,167.86) 405.96 416.99 (11.03) 101. 21 154.25 (53.04) 1,142.48 260.08 882.40 268.23 565.11 (296.88) 201.66 128.40 73.26 48.017.29 51. 809.85 (3.792.56) -72- CITY OF SALINA Salina, Kansas Schedule 2 (Contd.) WATER AND SEWAGE DEPARTMENT OPERATING EXPENSES January 1 to December 31, 1970 comparative figures for the preceding year) i (Wkth I Distribution Expenses Supervision Salaries Meter maint~nance salaries Meter mainttinance supplies Vehicle and equipment expense Tapping supplies Maintenance - Distribution mains Maintenance - Elevated tanks Maintenance - Reservoirs Maintenance - Hydrants Miscellaneous materials and labor Total Distribution Expenses December 31. 1970 l2&.2. $ 7,310.49 38,608.96 11,318.40 5,711.23 5,350.21 1,988.64 10,062.59 9,283.00 103.67 1,359.22 1.267.53 92.363.94 $ 6,642.66 28,843.70 10,659.15 4,197.99 4,412.52 4,466.89 3,849.40 22,566.72 100.02 556.25 260.64 86.555.94 Increase or (Decrease) $ 667.83 9,765.26 659.25 1,513.24 937.69 (2,478.25) 6,213.19 (13,283.72) 3.65 802.97 1.006.89 5.808.00 Customers' Accounting and Collection Expenses Office sa1all'ies 45,159.74 44, 771. 63 388.ll Servicemen ~nd meter reader s ' salaries 41,174.19 37,954.83 3,219.36 Servicemen and meter readers supplies 670.48 421. 19 249.29 Collection stations 1,797.40 1,765.45 31. 95 Maintenance - Office and equipment 2,327.10 2,610.55 (283.45) Office supplies 4,179.96 2,332.57 1,847.39 Vehicle expense 2,699.69 2,019.82 679.87 I Postage 10.425.98 10.981. 59 (555.61) Total Cu~tomers' Accounting and Collection Expenses 108.434.54 102,857.63 5.576.91 Administrative and General Expenses Supervision I 12,396.00 11,568.00 828.00 Salaries 5 , 13 6 . 00 4,840.86 295.14 .. Telephone e~pense 3,452.26 2,743.80 708.46 Office supp~ies 197.60 519.51 (321. 91) Special eng:iJneering 794.71 1,403.20 ( 608.49) Social SecuI1ity 16,252.32 14,646.09 1,606.23 Insurance 4,889.50 4,332.00 557.50 Sales tax 1,560.21 3,638.63 (2,078.42) -73- CITY OF SALINA Salina, Kansas Schedule 2 (Contd.) WATER AND SEWAGE DEPARTMENT OPERATING EXPENSES January 1 to December 31, 1970 (With comparative figures for the preceding year) Administrati~e and General Expenses (Contd.) Property taxes Accounts charges off Long and short cash Employees' retirement Accident insurance Auditing e~pense Contracting service Organizational dues and memberships Office maintenance and utilities Service performed - Other Depart- ments Car mileage and travel expenses Total Administrative and General Expenses . Sewage Treat~ent and Collection I Expenses Supervisio~ Salaries . Electric power Gas serv ice' Plant operating supplies Maintenance - Equipment Maintenance - Buildings and grounds Maintenance - Pumping stations Maintenance! - Sanitary sewers Vehicle expense Total Sewage Treatment and Collection Expenses Total Operating Expenses December 31. 1970 llli $ 30,000.00 286.24 31. 24 17,595.46 13,122.57 4,800.00 7,807.61 842.17 7,400.00 15,000.00 1.094.95 142.658.84 37,028.74 63,396.36 30,078.19 3,291.05 767.18 6,128.38 525.57 5,679.09 2,577.25 5.590.72 155.062.53 $782,348.25 $ 30,000.00 1,773.13 41. 97 15,980.90 13,133.89 4,800.00 1,694.38 958.34 2,800.00 15,000.00 567.46 130 .442.16 33, 771. 28 58,501. 99 27,554.49 2,755.61 575.86 4,363.92 1,402.16 4,277 .85 1,753.55 5.931.10 140.887.81 $710 ,347.41 Increa se or (Decrease) $ (1,486.89) (10.73) 1,614.56 (11.32) 6,113.23 (116.17) 4,600.00 527.49 12.216.68 3,257.46 4,894.37 2,523.70 535.44 191. 32 1,764.46 (876.59) 1,401. 24 823.70 040.38) 14.174.72 $ 72 .000 . 84 -74- CITY OF SALINA Salina, Kansas WATER AND SEWAGE DEPARTMENT ACCOUNTANTS' COMMENTS December 31, 1970 -75- CITI OF SALINA Salina, Kansas BRIEF HISTORY The waterworks system was purchased by the City from private interests in , October, 19251, and has been operated as a municipal utility since January 1, 1926. The go~erning body of the City of Salina, by Ordinance No. 6544, passed June 27, 1961l combined the waterworks system and sewage disposal system of the City of S~lina into a combined Water and Sewage Department. FINANCIAL POSITION The financial position of the Water and Sewage Department at December 31, 1970, and at December 31, 1969, is compared in the following summary: Increase December 31, or Jssets 1970 1969 (Decrease) - - Current $ 248,464 $ 258,920 ($ 10,456) Current ~iabilities 74,566 43,003 31,563 I Working c~pital 173,898 215,917 (42,019) Plant and property 9,044,061 8,943,693 100,368 Other assets 841,433 816,360 25,073 10,059,392 9,975,970 83,422 Fixed liabilities 2,595,000 2,715,000 ( 120,000) Surplus 7.464,392 7.260,970 203.422 Distributfon of Surplus Appropr.ated 841,433 816,360 25,073 unapprotriated 6,622,959 6,444,610 178,349 Total Surplus $ 7.464.392 $7.260.970 $203.422 ASSETS AND LIABILITIES PETTI CASH, $1 ,i500. 00. A petty cash Ifund in the amount of $1,500.00 is maintained in the Water and Sewage Derartment as a change fund and to pay postage, freight, tem- porary labor" and other emergency expenses, including the refund of meter deposits to c~stomers. A bank account is maintained as a part of this fund and all ~isbursements are made by check as required by K.S.A. 12-825a. -76- . CASH IN BANKS, Water and Sewage Treasurer, $47,449.93. Water and Sewage Treasurer Operating Account, $64,825.22 Cash co1leqted by the Water and Sewage ~epartment is remitted to the City Treasurer ~or deposit. All cash received by the City of Salina, including that received by the Water and Sewage Department, is deposited in one of four bank ~ccounts maintained by the city. Segregation of cash into sep- erate fund~ or accounts as provided for by the City of Salina Ordinance No. 6454 isl accomplished by the issuance of checks payable to the various accounts provided for in the ordinance. These funds and accounts are maintained as seperate funds on the records of the city. A comparison of the cash and investments shown by the records of the Water and Sewage Department with the cash and investments as shown by the City Clerk's recprds for the Water and Sewage Fund is as follows: Cash as shown by Water and Sewage Department - Exhibit A, Page ~ I Current Assets Pettr cash Watet and sewage treasurer Water and sewage treasurer operating account Other Assets Cash and investments held in reserve accounts $ 1,500.00 47,449.93 64.825.22 $113,775.15 841.432.93 , ACCOUNTS RECEUVABLE, CONSUMERS, $50,055.47. Cash s~own by City Clerk's records - Exhibit A, Page 2 $955.208.08 This amount !represents the total amount due from consumers at December 31, 1970, and iruc1udes billings to consumers for Sanitation Department services. Tests were made of the addition of detail ledger balances and all detail ledger totals were added to reconcile with the control account at December 31, 1970. Cpmsumers' individual balances were not verified by correspondence or other con~irmation. INVENTORIES, Oberating Stores, $69,833.95. Mtter Parts, $14,799.73. I I I Copies of th~ inventory count sheets were tested for additions and exten- sions, howev~r, we did not observe or test the physical count quantities, and we did not verify the valuation of inventory items. -77- - . . PLANT AND PROPERTY, $8,973,753.63. Schedule 1 presents a detail comparison of the department's plant and property at December 31, 1970, and December 31, 1969. When the City of Salina combined its water and sewage systems in the year 1961, a va1fation of $900,000.00 was assigned to the sewage system, and all prior depre iation recorded on the waterworks system was restored to the Surplus acc unto The City of Salina has not recorded depreciation on its plant and poperty since the water and sewage systems were combined. OTHER ASSETS, 1$841,432.93. The funds segregated on the records of the Water and Sewage Department for the payment of current bond principal and interest, for the creation of reserves to prevent default in payment of principal and interest, and nor the creationl of depreciation and emergency reserves to provide for replace- ments and repairs of the present system when other funds are not available, are shown as! "Other Assets" in the Balance Sheet, Exhibit A. A comparison of the amounts of cash segregated in these reserve accounts with the amounts required to ~e segregated by Ordinance No. 6546 is shown in Exhibit D. All of the reser~e balances at the end of the year were in accordance with ordinance requirements. -78- ,. The investments, consisting of U. S. Treasury Bills and Certificates of Deposit, are carried on the records of the Water and Sewage Department at cost. The custody r~ceipts for the U.S. Treasury Bills and the Certificates of Deposit issuep by the First National Bank and Trust Company were examined. CURRENT LIABILItIES, $74,565.80. Accounts payable at December 31, 1970, represent the amounts owed to suppliers and vendors bt the Water and Sewage Department. The accounts payable were verified by aJ examination of the unpaid claim vouchers of the Water and Sewage Depart~ent at December 31, 1970, and a review of vouchers paid after that date. The individuall meter deposit cards were added and reconciled to the control account for Culstomers' meter deposits at December 31, 1970. Attention is directed to thr. fact that the Water and Sewage Department does not credit the individual meter deposit accounts with interest in the manner prescribed by K.S.A. 12-8f2. Interest is paid at the time the deposit is refunded. DUE TO SANITATION DEPARTMENT, $1,146.07. The Water and Sewage Department acts as billing and collection agent for the Sanitation Department. The amount due to the Sanitation Department at December 31, 1970, represents the excess of collections transferred Over sanitation bil1!ings at December 31, 1970. ......- . . LONG-TERM LIABILITIES, $2,595,000.00. Principal payment of $120,000.00 and interest payments of $96,574.00 were made on the revenue bonds during the year. The balance of Combined Water and Sewage System Revenue Bonds outstanding at December 31, 1970, was $2,595,000.~0. SURPLUS, $7,4~4)392.19. The and the surplus ~ccount is shown on Unapprop~iated. The detail year is shown on Exhibit B. I ! Exhibit A segregated between Appropriated of changes in Unappropriated Surplus during OPERATIONS The Income Statement, Exhibit C, presents the results of operations of the Water and Sewage Department for the period January 1 to December 31, 1970, and for the year ended December 31. 1969. The detail of ~he operating expenses for the year and a comparison with 1969 operating expedses is shown on Schedule 2. . The Water and Sewage Department has not recorded depreciation on its property since the water, and sewage systems were combined. We recommend that a deter- mination of thel values of the plant and property assets be made by a com- petentengineer~ng firm in order to permit a realistic annual depreciation amount to be co~puted and recorded on the records of the Water and Sewage Department. 6 The Water and stwage Department paid $30,000.00 the year 1970 iq lieu of a franchise fee. The number of c~stomers of 12,700 at Januar~ 1, 1970, to the City of Salina during MISCELLANEOUS the Water and Sewage Department increased from to 13,001 at December 31, 1970. -79- I