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Audit - 1979CITY OF SALINA Salina, Kansas REPORT ON EXAMINATION December 31, 1979 KENNEDY AND COE Certified Public Accountants Salina - Kansas CITY OF SALINA Salina, Kansas TABLE OF CONTENTS Page Table of Contents ACCOUNTANTS' OPINION 1 -2 Exhibit A COMBINED STATEMENT OF REVENUES, EXPENDITURES, AND CHANGES IN FUND BALANCES 3 -5 Exhibit B BALANCE SHEETS AND STATEMENTS OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCES Exhibit B -1 GENERAL FUND 6 -8 Exhibit B -2 SPECIAL REVENUE FUNDS 9 -22 Exhibit B -3 DEBT'SERVICE FUND 23 -24 Exhibit B -4 CAPITAL PROJECTS FUND 25 Exhibit B -5 ENTERPRISE FUNDS 26 -33 Exhibit B -6 INTRAGOVERNMENTAL FUND 34 Exhibit B -7 TRUST AND AGENCY FUNDS 35 -41 Notes to Financial Statements 42 -44 SEPARATE FINANCIAL STATEMENTS - WATER AND SEWERAGE DEPARTMENT ACCOUNTANTS' OPINION 45 Exhibit A BALANCE SHEET 46 Exhibit B INCOME STATEMENT 47 Exhibit C STATEMENT OF CONTRIBUTIONS AND RETAINED EARNINGS 48 Exhibit D STATEMENT OF CHANGES IN FINANCIAL POSITION 49 Notes to Financial Statements 50 -51 Schedule 1 Operating Expenses 52 -54 Table of Contents KENNEDY AND COE MEMBERS CERTIFIED PUBLIC ACCOUNTANTS OFFICES IN KANSAS OF AMERICAN INSTITUTE SALINA C ONCORDIA ' OF GREAT BEND CERTIFIED COLBY PUBLIC ACCOUNTANTS GOOOLAND WICHITA ' To the Mayor and The Board of City Commissioners: ' We have examined the financial statements of the various funds and account groups of the City of Salina, Kansas for the year ended December 31, 1979. Our examination included all funds except the • Saline County -City Building Authority and the Joint City- County Board of Health,'which we have previously examined and reported on separately, • Firemen's Relief Association and the Salina Airport Authority, which ' were examined by other auditors who issued their separate reports, • Municipal Band Board and the operations of the Bicentennial Center Authority for the period January 1 to August 15, 1979, which were ' not included in the scope of our examination. Our examination was 1, performed in accordance with generally accepted auditing standards ' and with the provisions of the Minimum Standard Audit Program approved by the State Municipal Accounting Board, and accordingly included such tests of the accounting records and such other auditing procedures as we considered necessary in the cir- cumstances. The City of Salina maintains its accounting records on the basis of cash receipts and disbursements, modified by recording encumbrances as more fully explained in ' Note 1. The accompanying financial statements have been .prepared on the same basis, and do not purport to show financial position and results of operations in accordance with generally accepted accounting principles. ' The accompanying financial statements of the City of Salina include the accounts of the Water and Sewerage Department maintained in accordance with the method of accounting described in the preceding paragraph. Separate financial statements of the Water and Sewerage Department, prepared from the separate accounting records maintained by the department, which more nearly conform to generally accepted account- ing principles for enterprise funds are presented on pages 46 to 54 and our opinion ' on these separate financial statements is included therein on page 45. Similar separate accounting records are not maintained by the other enterprise funds. In our opinion, because of the method of accounting used by the City described in the third paragraph ',above and explained in Note 1, the accompanying financial state- ments presented on pages 3 to 44 are not presented in accordance with generally accepted accounting !principles. tThe accompanying financial information for 1978 and the columns on the combined statement of revenue's, expenditures, and changes in fund balances captioned "Memo - randum Only" are not necessary for a fair presentation of the financial statements for 1979, but are presented as additional analytical data. The financial information -1- for 1978 was obtained from our report on examination of the City of Salina, Kansas, dated July 13, 1979, which should be referred to for additional disclosures and notes required by generally accepted accounting principles. Respectfully submitted, Salina, Kansas July 14, 1980 / C. P. A. Certified Public Accountant in charge of and actively engalged on this audit. -2- CITY OF SALINA Salina, Kansas COMBINED STATEMENT OF REVENUES, EXPENDITURES, AND CHANGES IN FUND BALANCES Year Ended December 31, 1979 (With comparative totals for the preceding year) Special Debt General Revenue Service Revenues Current tangible tax $1,780,486.06 $ 800,211.37 $ 979,349.77 Current intangible tax 370,594.66 - - Current special assessment taxes - - 429,652.87 Delinquent taxes 32,315.10 9,733.78 28,965.71 Bingo gross receipts tax 9,176.06 - - Cigarette tax - _ _ Liquor enforcement tax 8,350.21 - _ Sales tax 169,255.00 - - State shared taxes 118,518.91 - - Auto dealers tax stamps 7,160.98 3,221.77 3,943.04 Bicentennial Center Building rentals 57,852.00 - - Food and beverage operations 67,814.26 - - Federal revenuesharing 45,000.00 - - Interest 2,422.87 - - Highway maintenance 3,090.00 - - Licenses, fees, and permits 121,383.48 - - Municipal court fines 299,820.71 - - Franchise taxes 619,634.94 - - Rents and concessions 8,589.59 - - Interest from inv stments 56,284.90 35,829.09 90,644.60 Services and sales 134,890.19 - - Fire protection -I Outside city limits 53,816.19 - - Reimbursement of expenditures 11,047.37 53,046.67 - Other apportionments and grants - 34,165.00 - Matching funds from the state of Kansas - 22,000.04 - Special gasoline tax - 375,223.26 - Pothole money - 41,256.68 - Grants from Federal government - 440,639.59 - Transient guest tax - 88,396.36 - Accrued interest on bonds sold - - 6,773.18 Special assessments - - 3,467.82 Refund of excess fiscal agency deposits - _ - Issuance of bonds'' - Temporary notes issued. - - _ Employees contributions to Kansas Firemen's and Policemen's Retire- ment Fund - 114,645.74 - Social security contributions - 179,652.20 - Employees retirement contributions - 96,527.08 - Unemployment insurance contributions - 416.04 - Transfers from other funds 180,000.00 91,663.59 61,000.00 1980 licenses, fees and permits paid in 1979 - 50,464.47 - i Funds Capital Projects Enterprise - 715,263.65 251,013.78 51;,433.94 l,936.33 351, 000.00 876,591.67 1,536,000.00 Intra- Trust and Governmental Agency 12,507.31 429,228.64 97,579.96 - 79,540.50 - 282,632.28 Exhibit A Totals (Memorandum Only) Year Ended 1979 1978 $ 3,560,047.20 $ 3,316,771.74 370,594.66 337,444.54 429,652.87 332,997.14 71,014.59 68,974.39 9,176.06 8,059.99 - 77,735.72 8,350.21 24,912.74 169,255.00 150,107.92 118,518.91 - 14,325.79 - 57,852.00 - 67,814.26 - 45,000.00 - 2,422. 87 - 3,090.00 2,935.00 836,647.13 756,897.29 299,820.71 262,119.86 619,634.94 582,373.59 8,589.59 9,296.43 448,279.68 684,525.32 186,324.13 147,932.94 53,816.19 126,539.93 592,838.97 448,784.93 113,705.50 65,209.00 22,000.04 20,652.82 375,223.26 385,483.51 41,256.68 52,113.71 758,271.87 29100,580.97 88,396.36 69,883.04 6,773.18 1,785.55 880,059.49 596,238.39 - 2,000.00 1,536,000.00 5,149,000.00 - 1,067,569.95 - - - - 114,645.74 102,006.66 - - - 179,652.20 164,062.76 - - - 96,527.08 90,190.64 - - - - 416.04 350.33 - - 332,663.59 226,235.00 50,464.47 -3- CITY OF SALINA Salina, Kansas COMBINED STATEMENT OF REVENUES, EXPENDITURES, AND CHANGES IN FUND BALANCES Year Ended December 31, 1979 (With comparative totals for the preceding year) Revenues (Contd.) 1979 licenses, fees and permits paid in 1978 $ Sale of real estate Perpetual care deposits Sale of mausoleum space State withholding tax deductions Income from leased land Parking meter revenue Collection of housing and winterization loans Water revenue Sewage revenue Sanitation fees Deposits on meters Contributions from water and sewerage department cus'omers Special Debt General Revenue Service , Total Revenues 4,157,503.48 2,437,092.73 1,603,796.99 Expenditures Unemployment insurance funds remitted - 9,979.20 - Social security taxes remitted - 319,923.52 - Employees' retirement funds remitted - 683,716.97 - Bicentennial Center 198,714.30 - - Personal services 2,915,735.90 188,183.52 - Contractual services 635,644.66 524,952.43 - Materials and supplies 227,105.70 87,843.45 - Sundry expenditures 122,095.90 75.00 - Capital outlay 54,661.24 28,656.60 - Gas service - 20,970.48 - Light and power service - 36,841.44 - Water service - 6,989.99 - Traffic control signals - 19,331.65 - Street lighting 1 - 191,305.65 - Workman's compensation - 57,552.00 - Professional services - 71,634.46 - General bond principal - - 546,000.00 General bond interest - - 360,182.49 Curb, gutter, and paving principal - - 581,000.00 Curb, gutter, and paving interest - - 161,014.76 Fiscal agency commission and postage - - 800.97 Construction fund expenditures - - - Transfers to other funds* - 271,663.59 - Sales proceeds remitted to District Court - - _ i Funds Capital Projects Entetprise Intra- Trust and Governmental Agency Exhibit A (Contd.) Totals (Memorandum Only) Year Ended 1979 1978 3,554,189.21 410,561.80 75,958.66 234,020.05 28,991.51 59,463.18 321,602.88 - 9,437.80 77,802.78 7,555.27 49,000.00 61, 759.53 145,044.52 2,259.28 197,937.08 1,330.00 9,979.20 319,923.52 683,716.97 198,714.30 3,652,199.41 1,568,653.17 698,274.49 131,608.70 366,612.97 20,970.48 36,841.44 6,989.99 19,331.65 191,305.65 57,552.00 71,634.46 546,000.00 360,182.49 581,000.00 161,014.76 800.97 3,55 4, 189. 21 320,663.59 1,330.00 32,515.67 46,626.00 2,587.50 2,360.00 79,689.34 16,691.74 61,206.18 3,631.32 1,565,868.84 605,113.71 400,544.16 39,320.00 33,701.41 20,321,627.67 8,357.69 239,435.50 391,221.24 3,359,305.78 1,624,042.51 588,901.95 106,646.50 1,364,249.59 81,944.00 28,416.52 545,000.00 520,868.25 486,000.00 124,600.68 1,697.35 7,316,939.82 214,235.00 735.00 -4- - - - 14,625.00 14,625.00 - - - 3,705.00 33705.00 - - - 83,723.41 83,723.41 - 33,140.42 - - 33,140.42 - 74,802.17 - - 74,802.17 - - - 7,966.76 7,966.76 - 1,583,736.62 - - 1,583,736.62 - 634,853.77 - - 634,853.77 - 476,530.15 - - 476,530.15 - 41,730.00 - - 41,730.00 - 9,329.40 - - 9,329.40 2,412,591.67 3,910,770.23 429,228.64 582,280.22 _ 15,533,263.96 3,554,189.21 410,561.80 75,958.66 234,020.05 28,991.51 59,463.18 321,602.88 - 9,437.80 77,802.78 7,555.27 49,000.00 61, 759.53 145,044.52 2,259.28 197,937.08 1,330.00 9,979.20 319,923.52 683,716.97 198,714.30 3,652,199.41 1,568,653.17 698,274.49 131,608.70 366,612.97 20,970.48 36,841.44 6,989.99 19,331.65 191,305.65 57,552.00 71,634.46 546,000.00 360,182.49 581,000.00 161,014.76 800.97 3,55 4, 189. 21 320,663.59 1,330.00 32,515.67 46,626.00 2,587.50 2,360.00 79,689.34 16,691.74 61,206.18 3,631.32 1,565,868.84 605,113.71 400,544.16 39,320.00 33,701.41 20,321,627.67 8,357.69 239,435.50 391,221.24 3,359,305.78 1,624,042.51 588,901.95 106,646.50 1,364,249.59 81,944.00 28,416.52 545,000.00 520,868.25 486,000.00 124,600.68 1,697.35 7,316,939.82 214,235.00 735.00 -4- CITY OF SALINA Salina, Kansas COMBINED STATEMENT OF REVENUES, EXPENDITURES, AND CHANGES IN FUND BALANCES Year Ended December 31, 1979 (With comparative totals for the preceding year) Special Debt General Revenue Service Expenditures (Contd.) State withholding tax deductions remitted $ _ $ _ $ _ Housing and winterization loans Deferred revenue transferred to general fund I - 32,515.67 - Water and sewerage department* _ _ _ Total Expenditures 4,153,957.70 2,552,135.62 1,648,998.22 Revenues Over (Under) Expenditures 3,545.78 (115,042.89) (45,201.23) Fund Balances, January 1 311,732.66 653,201.45 207,367.83 Adjustment for cumulative net revenues over expenditures' of Bicentennial Center to August 15, 1979 114,612.74 - _ Adjustment for prior year encumbrances 1,389.17 530.00 - Fund Balances, December 31 $ 431,280. 35 $ 538,688.56 x_162,166.60 * Water and sewerage department expenditures include $12,000.00 transferred to the debt - service fund'h See accompanying notes to financial statements which are an integral part hereof. i Funds Exhibit A (Contd.) Totals (Memorandum Only) capital Intra- Trust and Year Ended Projects Enterprise Governmental Agency 1979 1978 $ - $ - $ - $ 83,723.41 $ 83,723.41 $ 79,689.34 - - 80,151.79 80,151.79 31,313.18 - - 32,515.67 28,060.90 3,487,421.06 - - 3,487,421.06 8,503,580.00 3,554,189.21 4,31 ,268.87 443,546.12 572,205.61 17,243,301.35 25,645,290.80 (1,141,597.54) (401,498.64) (14,317.48) 10,074.61 (1,710,037.39) (5,323,663.13) 1,602,428.34 3,721,316.65 36,856.24 203,673.83 6,736,577.00 12,049,867.83 - 114,612.74 - 11,301.13 - - 3,220.30 10,372.30 $ 460,830.80 $3,31'.119.14.1 22,538.76 $213,748.44 $ 5,144,37L.65 $ 6,736 577 00 -5- t CITY OF SALINA Salina, Kansas Exhibit B -1 GENERAL FUND BALANCE SHEET December 31, 1979 (With comparative figures for the preceding year) 1979 1978 ASSETS Cash $478,369,60 540,388.16 �, LIABILITIES AND FUND BALANCE Encumbrances outstalnding 47,089.25 228,655.50 Fund balance 431,280.35 311,732.66 Total Liabilities and Fund Balance $478,369.6U $540.388.16 WE GENERAL FUND STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 (With comparative figures for the preceding year) 1979 (Over) Under 1978 Revenues Actual Budget Budget Actual Current tangible tax $1,780,486.06 $1,845,194.02 $ 64,707.96 $1,860,228.45 Current intangible tax 370,594.66 290,000.00 (80,594.66) 337,444.54 Delinquent taxes 32,315.10 27,600.00 (4,715.10) 25,277.19 Bingo gross receipts tax 9,176.06 8,200.00 (976.06) 8,059.99 Cigarette tax - - 77,735.72 Liquor enforcement tax 8,350.21 - (8,350.21) 24,912.74 Sales tax 169,255.00 169,255.00 - 150,107.92 State shared taxed 118,518.91 112,445.00 (6,073.91) - Auto dealers tax stamps 7,160.98 - (7,160.98) - Bicentennial Center 173,089.13 - (173,089.13) - Highway maintenance 3,090.00 3,000.00 (90.00) 2,935.00 Licenses, fees and , permits 121,383.48 138,540.00 17,156.52 126,009.66 Municipal court fines 299,820.71 195,000.00 (104,820.71) 262,119.86 Franchise taxes 619,634.94 651,000.00 31,365.06 582,373.59 Rents and concessions 8,589.59 8,155.00 (434.59) 9,296.43 Interest from investments 56,284.90 30,000.00 (26,284.90) 34,707.80 Services and sales 134,890.19 152,200.00 17,309.81 104,634.13 Fire protection - Out- side city limits 53,816.19 40,000.00 (13,816.19) 126,539.93 WE u CITY OF SALINA Salina, Kansas GENERAL FUND Exhibit B -1 (Contd.) STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 (With comparative figures for the preceding year) 1979 (Over) Under Revenues (Contd.) Actual Budget Budget Reimbursement ofexpen- ditures $ 11,047.37 $ 16,000.00 $ 4,952.63 Transferred from ',Special Gasoline Tax Fund 180,000.00 180,000.00 - Total Revenues, 4,157,503.48 3,866,589.02 (290.914.46) Expenditures Department City Commission City Manager City Clerk City Attorney Municipal Court City Building Engineer Fire Inspection Park Police Street Human Relations Street Lighting Traffic Bicentennial Center Swimming Pools Administration and Planning Insurance and Contingencies Band Cemetery General Improvement Memorial Hall Public Health Industrial Development Noxious Weeds Tree Maintenance Floodworks Total Expenditures 82 ,816.38 62,077.95 141,798.16 38,548.70 47,887.66 86,178.54 134,023.48 870,945.98 87,087.45 206,082.60 1,121,206.77 400, 563.87 30,828.30 58,342.05 198, 714.30 33,366.27 106,135.04 228,790.82 14,215.00 37,922.89 47,266.21 34,000.00 14,910.81 18,421.16 11,347.56 40,479.75 4,153,957.70 83, 440.00 65,340.00 158,870.00 33,810.00 51,210.00 87,475.00 163,010.00 892,275.00 85,700.00 237,850.00 1,144,770.00 413,855.00 30,195.00 58,945.00 37,820.00 106,655.00 132,935.00 19,000.00 37,980.00 60,420.00 34,000.00 20,000.00 14, 950.00 13,245.00 40,500.00 4,024,250.00 623.62 3,262.05 17,071.84 (4,738.70) 3,322.34 1,296.46 28,986.52 21,329.02 (1,387.45) 31,767.40 23,563.23 13,291.13 (633.30) 602.95 (198,714.30) 4,453.73 519.96 1978 Actual $ 15,469.10 160,000.00 3,907,852.05 70,576.40 67,023.27 132,970.09 32,037.00 42,284.13 92,784.68 153,004.18 827,704.59 80,909.80 204,956.53 1,07 9, 258. 21 394,831.81 28,874.90 170,012.95 71,162.37 31,500.39 104,815.65 (95,855.82) 137,914.14 4,785.00 19,000.00 57.11 37,411.74 13,153.79 47,679.06 - 22,562.98 - 29,380.00 5,089.19 20,860.51 (3,471.16) 14,601.45 1,897.44 9,779.98 20.25 39,331.73 (129,707.70) 3,963,228.54 -7- CITY OF SALINA Salina, Kansas GENERAL FUND Exhibit B -1 (Contd.) STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 ('With comparative figures for the preceding year) 1979 um rances 1,389.17 5,568.17 Fund Balance, December 31 ,431,280.35 311,732.66 See accompanying notes to the financial statements which are an integral part hereof. II we (Over) Under 1978 Actual Budget Budget Actual Revenues Over (Under) Expenditures $ 3,545.78 (1_51,660.98) ($161,206.76)($ 55,376.49) Fund Balance, Janualry 1 311,732.66 361,540.98 Adjustment for cumulative net revenues over'expen- ditures of Bicentennial Center to August 15, 1979 114,612.74 _ Adjustment for prior year enc b um rances 1,389.17 5,568.17 Fund Balance, December 31 ,431,280.35 311,732.66 See accompanying notes to the financial statements which are an integral part hereof. II we CITY OF SALINA Salina, Kansas Exhibit B -2 SPECIAL REVENUE FUNDS EMERGENCY PREPAREDNESS BALANCE SHEET December 31, 1979 (With comparative figures for the preceding year) 1979 1978 ASSETS Cash 546.16 1931.88 LIABILITIES AND FUND BALANCE Encumbrances outstanding - 86.76 Fund balance 546.16 845.12 Total Liabilities and Fund Balance 114h .16 931288 EMERGENCY PREPAREDNESS STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 ([kith comparative figures for the preceding year) 1979 (Over) Under 1978 Actual Budget Budget Actual Revenues Other apportionments and grants $34,165.00 $34,165.00 $ - $30,000.00 Matching funds frojm the State of Kansas 22,000.04 22,325.00 324.96 20,652.82 Reimbursement of expenditures 17.50 - (17.50) 742.14 Total Revenues 56,182.54 56,490.00 307.46 51,394.96 Expenditures Personal services 33,335.35 34,480.00 1,144.65 31,678.53 Contractual services 17,423.81 16,225.00 (1,198.81) 16,683.46 Materials and supplies 2,346.41 2,010.00 (336.41) 2,415.02 Sundry expenditure's 75.00 60.00 (15.00) 72.00 Capital outlay i 3,300.93 3,715.00 414.07 517.15 Total Expenditures 56,481.50 56,490.00 8.50 51,366.16 Revenues Over (Under) Expenditures (298.96),x_ - 1-138.96 28.80 Fund Balance, January 1 845.12 805.82 Adjustment for prior year encumbrances - 10.50 Fund Balance, December 31 $ 546.16 $ 845.12 CITY OF SALINA Salina, Kansas Exhibit B -2 (Contd.) SPECIAL REVENUE FUNDS REVENUES COLLECTED IN ADVANCE BALANCE SHEET December 31, 1979 (W!ith comparative figures for the preceding year) 1979 1978 ASSETS Cash $50.464-47 2 515_67 LIABILITIES AND FUND BALANCE Fund balance $50,464.47 $32,515.67 REVENUES COLLECTED IN ADVANCE STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 (With comparative figures for the preceding year) 1979 (Over) Under 1978 Actual Budget Budget Actual Revenues 1979 licenses, fees, and permits paid in 1978 $ - $ - $ - $32,315.67 1980 licenses, fees, and permits paid in 1979 50,464.47 - (50,464.47) - Total Revenues 50,464.47 - (50,464.47) 32,315.67 Expenditures 1978 licenses, fees, and permits collected in 197!7 transferred to General Fund - - - 28,060.90 1979 licenses, fees, and permits collected in 197$ transferred to General Fund 32,515.67 - (32,515.67) - Total Expenditures 32,515.67 - (32,515.67) 28,060.90 Revenues Over (Under Expenditures 17,948.80 $ ($17,948.80) 4,454.77 Fund Balance, January 1 32,515.67 28,060.90 Fund Balance, December 31 $50,464.47 $32,515.67 -10- Cash Investments Total Assets Fund balance CITY OF SALINA Salina, Kansas Exhibit B -2 (Contd.) SPECIAL REVENUE FUNDS STREET MACHINERY BALANCE SHEET December 31, 1979 (,With comparative figures for the preceding year) I 1979 ASSETS $ 7,938.50 25,000.00 32,938.50 LIABILITIES AND FUND BALANCE $-32.938.50 STREET MACHINERY ;TATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 iith comparative figures for the preceding year) Revenues Interest from inv stments Expenditures Revenues Over (Under) Expenditures Fund Balance, January 1 Fund Balance, December 31 1978 $ 6,585.70 31,585.70 $31,585.70 1979 (Over) Under 1978 Actual Budget Budget Actual $ 1,352.80 $ - ($1,352.80) $ 1,321.07 1,352.80 $ ($1,352.80) 1,321.07 31,585.70 30,264.63 $32,938.50 $31,585.70 -11- CITY OF SAL INA Salina, Kansas Exhibit B -2 (Contd.) SPECIAL REVENUE FUNDS SPECIAL GASOLINE TAX BALANCE SHEET December 31, 1979 th comparative figures for the preceding year) 1979 1978 ASSETS Cash $50,261.86 $116,363.64 �I LIABILITIES AND FUND BALANCE Encumbrances outstanding 1,560.54 4,340.00 Fund balance 1 48,701.32 112,023.64 Total Liabilities and Fund Balance $50,261.86 $116.3U.64 SPECIAL GASOLINE TAX STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 (Wtith comparative figures for the preceding year) i 1979 (Over) Under 1978 Actual Budget Budget Actual Revenues Special gasoline tax $375,223.26 $384,000.00 $ 8,776.74 $385,483.51 Pothole money 41,256.68 - (41,256.68) 52,113.71 Total Revenues 416,479.94 384,000.00 (32,479.94) 437,597.22 Expenditures Personal services Contractual servic s Materials and supplies Transferred to Ge ral Fund Capital outlay Total Expendituires Revenues Over (Under!) Expendi- tures Fund Balance, January 1 Fund Balance, December 31 I 25,822.03 26,425.00 602.97 23,313.26 174,394.49 175,000.00 605.51 135,000.00 74,764.98 57,985.00 (16,779.98) 78,404.30 180,000.00 180,000.00 - 160,000.00 24,820.76 40,500.00 15,679.24 2,468.55 479,802.26 479,910.00 107.74 399,186.11 (63, 322. 32) ($ 95 , 910. 00 ) (�_32 i587—.6 8). 38, 411.11 112,023.64 73,612.53 48.701. 32 $112,023.64 -12- Cash CITY OF SALINA Salina, Kansas Exhibit B -2 (Contd.) SPECIAL REVENUE FUNDS FEDERAL REVENUE SHARING BALANCE SHEET December 31, 1979 With comparative figures for the preceding year) 1979 1978 ASSETS 115,642.48 $76,208.73 Encumbrances outstanding LIABILITIES AND FUND BALANCE Fund balance Total Liabilitkies and Fund Balance FEDERAL REVENUE SHARING - 54,410.25 15,642.48 21,798.48 $15,642.48 $76.208.73 STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 (With I comparative figures for the preceding year) 1979 (Over) Under 1978 Actual Budget Budget Actual Revenues Grants from Feder 1 government $375,452.00 $382,138.00 $6,686.00 $399,969.00 Interest from investments - 2,681.00 2,681.00 3,190.51 Total Revenues 375,452.00 384,819.00 9,367.00 403,159.51 Expenditures Personal services - - - 136,686.48 Contractual services 291,293.00 291,293.00 - 128,657.50 Transfers to Human Resources Fund 90,845.00 90,845.00 - 5,000.00 Capital outlay - - - 121,007.76 Total Expenditures 382,138.00 382,138.00 - 391,351.74 Revenues Over (Under) Expenditures (6,686.00)$ 2,681.00- $9,367.00 11,807.77 Fund Balance, January 1 21,798.48 9,990.71 Adjustment for prior# year encum- brances 530.00 - Fund Balance, December 31 $ 15,642.48 $ 21,798.48 -13- CITY OF SALINA Salina, Kansas Exhibit B -2 (Contd.) SPECIAL REVENUE FUNDS SPECIAL RESERVE BALANCE SHEET December 31, 1979 (With comparative figures for the preceding year) 1979 ASSETS Cash $ 5,949.13 Investments 33,000.00 Total Assets 38,949.13 I LIABILITIES AND FUND BALANCE Fund Balance $38,949.13 1978 $ 4,038.07 33,000.00 37 ,038.07 ,$37,038.07 I I I SPECIAL RESERVE STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE (W' Year Ended December 31, 1979 ith comparative figures for the preceding year) 1979 (Over) Under 1978 Actual Budget Budget Actual Revenues Interest from investments $ 1,911.06 $ - ($1,911.06) $ 1,911.06 I Expenditures Revenues Over (Unde�) Expenditures Fund Balance, Janua�y 1 Fund Balance, December 31 1,911.06 1,911.06 37,038.07 35,127.01 $38,949.13 $37,038. -14- CITY OF SALINA Salina, Kansas Exhibit B -2 (Contd.) SPECIAL REVENUE FUNDS ALCOHOL SAFETY ACTION PROGRAM BALANCE SHEET December 31, 1979 th comparative figures for the preceding year) 1979 1978 ASSETS Cash $9,893.07 $6,030.35 LIABILITIES AND FUND BALANCE Encumbrances outstanding - 1,750.30 Fund balance 9,893.07 4,280.05 Total Liabilities and Fund Balance 89 . $6,030.35 ALCOHOL SAFETY ACTION PROGRAM STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 ( ith comparative figures for the preceding year) 1979 (Over) Under 1978 Actual Budget Budget Actual Revenues Reimbursement of axpenditures $40,247.43 $ - ($40,247.43) $58,485.98 Expenditures Personal services) Contractual services Materials and supplies Capital outlay Total Expenditures Revenues Over (Unde ) Expenditures Fund Balance, Janua�y 1 Fund Balance, December 31 I 23,328.77 - (23,328.77) 17,683.93 4,377.40 - (4,377.40) 1,952.84 6,928.24 - (6,928.24) 3,142.14 - - - 31,427.02 34,634.41 - (34,634.41) 54,205.93 5,613.02 S 5,613.02 4,280.05 4,280.05 - t-9,89-L-07 $ 4,280.05 -15- CITY OF SALINA Salina, Kansas Exhibit B -2 (Contd.) SPECIAL REVENUE FUNDS HUMAN RESOURCES BALANCE SHEET December 31, 1979 ( ith comparative figures for the preceding year) ASSETS Cash LIABILITIES AND FUND BALANCE Encumbrances outsta ding Fund balance Total Liabilit es and Fund Balance Revenues 1979 $23,435.29 47.80 23,387-49 $23,435.29 1978 $3,031t78 3,031.78 $3.031.78 HUMAN RESOURCES TATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 ith comparative figures for the preceding year) 1979 (Over) Under 1978 Actual Budget Budget Actual Reimbursement of xpenditures $ Transfers from Fe eral Revenue Sharing Fund Total Revenues Expenditures 495.27 $ - ($ 495.27) $ - 90,845.00 - (90,845.00) 5,000.00 91,340.27 - (91,340.27) 5,000.00 Personal services 43,503.73 - (43,503.73) 25,080.52 Contractual services 23,855.09 - (23,855.09) 11,820.84 Materials and supplies 3,090.83 - (3,090.83) 1,170.07 Capital outlay 534.91 - (534.91) 145.21 Total Expenditures 70,984.56 - (70,984.56) 38,216.64 Revenues Over (Under) Expenditures 20,355.71 $ 0- 20,355.71) (33,216.64) Fund Balance, January 1 3,031.78 36,242.72 Adjustment for prior year encumbrances - 5.70 Fund Balance, December 31 $23,387.49 $ 3,031.78 -16- Cash Fund Balance CITY OF SALINA Salina, Kansas SPECIAL REVENUE FUNDS Exhibit B -2 (Contd.) EMERGENCY JOBS ACT BALANCE SHEET December 31, 1979 iith comparative figures for the preceding year) ASSETS LIABILITIES AND FUND BALANCE 1979 1978 (_$1,571.30)_ EMERGENCY JOBS ACT S ATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 (W th comparative figures for the preceding year) -17- 1979 (Over) Under 1978 Revenues Actual Budget Budget Actual Grants from Federal government $65,187-59 $ _ $65,187.59 $95,357.47 Expenditures Personal services Contractual services 59,558.99 - 59,558.99 82,986.18 Transfers to Employees Benefit Fund 6,381.31 818.59 - 6,381.31 12,371.29 Total Expenditures 66, 857 89 818.59 - 66,758.89 - 95,357.47 Revenues Over (Under) Expenditures (1,571.30) _� $ 1, 5 71.3 0 - Fund Balance, January 1 _ Fund Balance, Decembe 31 -17- CITY OF SALINA Salina, Kansas SPECIAL REVENUE FUNDS Exhibit B -2 (Contd.) TOURISM AND CONVENTION PROMOTION BALANCE SHEET 11� December 31, 1979 (yith comparative figures for the preceding year) 1979 Cash ASSETS $58,228.42 Fund Balance LIABILITIES AND FUND BALANCE ,..58,228-42 TOURISM AND CONVENTION PROMOTION ATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 th comparative figures for the preceding year) Revenues Transient guest to Expenditures Professional servi es Revenues Over (Under) Expenditures Fund Balance, January 1 Fund Balance, December 31 1978 $41,466 52 -$-41.466-52 1979 (Over) Under 1978 Actual Budget Budget Actual $88,396.36 $ - ($88,396.36) $69,883.04 71,634.46 - (71,634.46) 28,416.52 16,761.90 $__ C$-16.761.90) 41,466.52 41,466.52 $58,228-42 .$41,466-52 -18- Cash Fund Balance CITY OF SALINA Salina, Kansas SPECIAL REVENUE FUNDS Exhibit B -2 (Contd.) EMPLOYEE BENEFIT FUND BALANCE SHEET December 31, 1979 th comparative figures for the preceding year) 1979 ASSETS 5222. 23 10 LIABILITIES AND FUND BALANCE U22,923.10 EMPLOYEE BENEFIT FUND ATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 th comparative figures for the preceding year) 1979 'Revenues 1978 Actual Budget Current tangible taxes Delinquent taxes $ 491,280.46 $ 496,350.87 Auto dealers tax _ 8,754.93 3,700.00 stamps Interest on investments 1,977.97 29,693.86 _ Employees contributions to Kansas Firemen's and Police- ' men's Retirement Social Fund 114,645.74 120,100.00 security contributions Employees 179,652-20 142,000.00 retirement con- tributions Unemployment insura 96,527.08 103,500.00 ce contributions 416.04 ' Reimbursement of ex Transfer from enditures 1,711.50 2,300 00 other funds 818.59 Total Revenues _ 925,478.37 867, 950.87 Expenditures Social security Police and fire retirement Employees retirement Unemployment insurance Workman's compensation Total Expenditures 319,923.52 252,000.00 510,450.36 626,100.00 173,266.61 186,000.00 9,979.20 19,000.00 57_ 552.00 88,000.00 071,171.69 1,171,100.00 1978 5368 616 42 X36$,616.42 (Over) Under 1978 Budget Actual $ 5,070.41 $570,663.63 (5,054.93) 7,482.43 (1,977.97) _ (29,693.86) _ 5,454.26 102,006.66 (37,652.20) 164,062.76 6,972.92 90,190.64 (416.04) 350.33 588.50 2,404.27 (818.59) _ (57,527.50) 937,160.72 (67,923.52) 239,435.50 1159649.64 230,101.14 12,733.39 161,120.10 9,020.80 8,357.69 30,448.00 813994.00 99,928.31 721,008.43 -19- Cash Fund Balance CITY OF SALINA Salina, Kansas Exhibit B -2 (Contd.) SPECIAL REVENUE FUNDS UTILITY FUND BALANCE SHEET December 31, 1979 With comparative figures for the preceding year) 1979 ASSETS $38,585.72 LIABILITIES AND FUND BALANCE $38,585.72 1978 UTILITY FUND STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 (With comparative figures for the preceding year) 1979 Over Under 1978 Actual Budget Bud Revenues Current tangible taxes $308,930.91 Delinquent taxes 978.85 Auto dealers tax stamps 1,243.80 Interest on investments 2,871.37 Total Revenues 314,024.93 Expenditures Gas service Light and power service Water service Traffic control signals Street lighting Total Expenditures Revenues Over (Under) Expenditures Fund Balance, January 1 Fund Balance, December 31 20,970.48 36,841.44 6,989.99 19,331.65 191,305.65 275,439.21 38,585.72 $ 38,585.72 get Actual $312,155.00 $ 3,224.09 $ - (978.85) - - (1,243.80) - - (2,871.37) - 312,155.00 (1,869.93) - 30,620.00 9,649.52 49,700.00 12,858.56 9,775.00 2,785.01 20,730.00 1,398.35 201,330.00 10,024.35 312.155.00 36,715.79 ($38,585.72) -20- CITY OF SAL INA Salina, Kansas SPECIAL REVENUE FUNDS Exhibit B -2 (Contd.) EMPLOYEE BENEFIT FUND (CONTD.) STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 With comparative figures for the preceding year) 1979 (Over) Under 1978 Actual Budget Budget Actual Revenues Over (Under) Expen- ditures ($145,693.32)(-$303,149.13) (1117=A-4 $216,152.29 Fund Balance, January 1 368,616.42 152,464.13 Fund Balance, Decem er 31 $22,923.10 $368,616.42 -21- Cash Fund Balance CITY OF SALINA Salina, Kansas SPECIAL REVENUE FUNDS Exhibit B -2 (Contd.) PROJECT CONSERVE BALANCE SHEET December 31, 1979 th comparative figures for the preceding year) ASSETS 1979 1978 LIABILITIES AND FUND BALANCE PROJECT CONSERVE STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 (With comparative figures for the preceding year) 1979 Revenues Reimbursement of Expenditures Expenditures Personal services Contractual services Materials and supplies Total Expenditures Revenues Over (Under) Expenditures Fund Balance, January 1 F d B 1 (Over) Under 1978 Actual Budget Budget Actual $10,574.97 $ - ($10,574.97) $ - 2,634.65 - (2,634.65) 7,227.33 - (7,227.33) 712.99 - (712.99) 10,574.97 - 10,574.97 un a ance, Decemb r 31 $ Se accompanying notes to financial statements which are an integral part hereof. -22- 11 Cash Fund Balance CITY OF SALINA Salina, Kansas DEBT SERVICE FUND Exhibit B -3 BOND AND INTEREST BALANCE SHEET December 31, 1979 th comparative figures for the preceding year) ASSETS 1979 1978 $162,166-6n $207.367 83 LIABILITIES AND FUND BALANCE 162.166 60 $207,361.83 BOND AND INTEREST TATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 Lth comparative figures for the preceding year) 1979 Revenues Actual Budget (Over) Under Budget 1978 Actual Current tangible taxes Delinquent $ 979,349.77 $ 989,594.49 $10,244.72 $ 885,879.66 tangible taxes Current special 14,277.44 7,500.00 (6,777.44) 9,305.19 assess- ment taxes Delinquent 429,652.87 453,500.00 23,847.13 332,997.14 special assessment taxes Auto dealers 14,688.27 20,000.00 5,311.73 26,909.58 tax stamps Interest from 3,943.04 _ (3,943.04) _ invest- ments Accrued interest 90,644.60 55 000.00 (35,644.60) 363,630.82 o bonds sold Special assessment 6,773.18 - (6,773.18) 1,785.55 Refund of excess f scal 3,467.82 7,000.00 3,532.18 1,210.66 agency deposits - Transfers from par ing _ - 2,000.00 meters, water an sewerage, and go f course funds Total Revenues 61,000.00 1,603,796.99 65,000.00 4,000.00 61,235.00 1,597,594.49 (6,202.50) 1,684,953.60 Expenditures General bond principal 546,000.00 546,000.00 General bond interest 360,182,49 360,190.00 7.51 545,000.00 Curb, gutter and pawing 520,868.25 principal (CS) 166,587.68 168,172.68 1,585.00 166,651.68 -23- CITY OF SALINA Salina, Kansas DEBT SERVICE FUND Exhibit B -3 (Contd.) BOND AND INTEREST (CONTD.) STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 With comparative figures for the preceding year) -24- 1979 Expenditures (Contd.) Actual Budget (Over) Under Budget 1978 Actual Curb, gutter and paving principal (POS) Curb, gutter and $ 414,412.32 $ 412,827,32 ($ 1,585.00) $ 3199348.32 aving interest (CS) Curb, gutter and 32,597.71 Daving 33,026.93 429.22 37,029.30 interest (POS) Fiscal 128,417.05 127,906.83 (510.22) 87,571.38 agency commission and postage Estimated interest 800.97 3,876.24 3,075.27 1,697.35 on bonds to be issued Total Expenditures - 1,648,998.22 90,000.00 90,000.00 1,742,000.00 93,001.78 1,678,166.28 Revenues Over (Under) Expenditures (45,201.23) 0 144,40.5-51) ( 99 20 28 � 6,787.32 Fund Balance, January 1 207,367.83 200,580.51 Fund Balance, December 31 162.166.60 - - - -- 207,367.83 S e accompanying notes to financial statements which are an integral part hereof. -24- I� CITY OF SALINA Salina, Kansas CAPITAL PROJECTS FUND Exhibit B -4 CONSTRUCTION FUND BALANCE SHEET lI December 31, 1979 With comparative figures for the preceding year) ASSETS 1979 1978 Cash $484,204.98 $ 502,428.34 Investments - 111001000.00 Bonds to be issued and assessments receivable - 1.,067,569.95 Total Assets 484,204.8 2_,669,998.29 LIABILITIES AND FUND BALANCE Encumbrances outsta ding 23,374.18 Temporary notes pay ble - 1,067,569 95 Fund balance 460,830.80 1,602,428.34 Total Liabilities and Fund Balance $484,204.98 $2,669,998.29 CONSTRUCTION FUND STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 (With comparative figures for the preceding year) 1979 (Over) Under 1978 ' Revenues Actual Budget Budget Actual Special assessments and ' charges Issuance of bonds $ 876,591.67 $ _ ($ 876,591.67) $ 595,027.73 Temporary notes issued 1,536,000.00 - (1,536,000.00) 755,000.00 ' Total Revenues - 2,412,591.67 - - (2,412,591.67) 1,067,569.95 2,417,597.68 Expenditures 3,554,189.21 - (3,554,189.21) 7,316,939.82 ' Revenues Over (Under Expenditures (1,141,597.54),$ - $1,141.597.54 (4,899,342.14) ' Fund Balance, January 1 1,602,428.34 6,501,770.48 Fund Balance, December 31 ' 0 8 L_4630.80 -$-1,602,428.34 ' Se accompanying notes to financial statements which are an integral part hereof. ' -25- CITY OF SALINA Salina, Kansas ENTERPRISE FUNDS WATER AND SEWERAGE BALANCE SHEET December 31, 1979 ( ith comparative figures for the preceding year) Current Assets Cash Restricted Assets Construction fund Cash Investments System sinking fund Investments Plant reserve fund Cash Investments System reserve fun Cash Investments Total Restricted Total Asse s 1979 ASSETS Exhibit B -5 1978 $ 416,566.10 $ 559,696.33 39,947.18 450,000.00 561,463-79 2,534.84 436,000.00 7,877.44 1,239,000.00 Assets 2,736,823.25 —3,153,389.35 LIABILITIES AND FUND BALANCE Encumbrances outstanding 19,736.56 Fund Balance Reserved for revenue bond requirements Reserved for capital expenditures Unreserved fund balance Total Fund Balan e Total Liabilities and Fund Balance 2,246,876.07 489,947.18 396,829.54 3,133,652.79 U,153.389-3 (14,913.56) 1,200,000.00 500, 718.42 453.28 419,000.00 934.27 967,000.00 3,073,192.41 89,316.26 1,888,105.97 1,185,086.44 470,380 07 3,543,572.48 $3,632 888 74 —26— n u II CITY OF SALINA Salina, Kansas ENTERPRISE FUNDS Exhibit B -5 (Contd.) WATER AND SEWERAGE STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 With comparative figures for the preceding year) Revenues Water Sewage Contributions from customers Issuance of bonds Tapping service Sanitation fees Deposits on meter Service charges Interest on investments Grant - Environmental Protection Agenc Miscellaneous sale Total Revenues Expenditures ' Water supply Softening and treatment Pumping expense ' Distribution Customer accountin and collections Administrative and ' general expense Sewage treatment and collection I Interest on bonded indebtedness Payment on bond prin- cipal Deposited to bond escrow account Cash remitted to ' Sanitation Department Refunds and reimbur e- ments ' Capital expenditures Sales tax remitted Issuance cost of re-I funding bond issue;! 4,328,184.01 471,000.00 454,500.00 (16,500.00) 403,000.00 18,045.89 - (18,045.89) 8,430.65 810,590.15 260,000.00 (550,590.15) 1,854,562.65 23,761.47 60,000.00 36,238.53 42,156.52 65,815.99 -27- 1979 Actual Budget g (Over) Under Budget 1978 Actual $1,583,736.62 634,853.77 $1,578,400.00 ($ 5,336.62) $1,565,868.84 634,400.00 (453.77) 605,113.71 9,329 40 30,000.00 20,670.60 33,701.41 23,703.71 16,000 00 (7'703.71) 4,394,000.00 19,745.19 476,530.15 41,730.00 454,500.00 (28,070.00) 400,544.16 11,118.11 50,000.00 91000.00 (2,118.11) 39,320.00 248,685.12 - (248,685.12) 2,531.30 262,704.67 35,000.00 11,513.36 7,500.00 (35,000.00) 545,100.00 3,076,200.24 2,779,800.00 (4,013.36) (296,400.24) 5,361.35 7,873,990.63 35,679.41 484,589.58 39,055.00 463,680.00 3,375.59 31,521.42 113,908.73 105,230.00 (20,909.58) (8,678.73) 438,782.21 151,056.85 141,350.00 (9,706.85) 96,300.71 125,918.49 215,923.59 223,470.00 7,546.41 198,703.97 368,735.53 349,590.00 (19,145.53) 307,300.42 373,253.52 431,775.00 58,521.48 338,330.58 361,915.38 385,795.00 23,879.62 227,967.38 11000.00 11000.00 - 4,328,184.01 471,000.00 454,500.00 (16,500.00) 403,000.00 18,045.89 - (18,045.89) 8,430.65 810,590.15 260,000.00 (550,590.15) 1,854,562.65 23,761.47 60,000.00 36,238.53 42,156.52 65,815.99 -27- CITY OF SALINA Salina, Kansas ENTERPR Exhibit B -5 (Contd.) ISE FUNDS WATER AND SEWERAGE (CONTD.) LSTATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 ith comparative figures for the preceding year) 1979 (Over) Under 1978 Expenditures (Contd ) Actual Budget Budget Actual Customer deposit refunds $ 45,240.00 $ 50,000.00 Sinking fund expenses 720.96 $ 4,760.00 $ 24,605.00 Transfer to debt ser- vice - (720.96) _ fund 12,000.00 _ Total Expenditures 3,487,421.06 2,965, (12,000.00) 12,000.00 445.00 (521,976.06) 8,503,580.00 Revenues Over (Under) Expenditures (411,220.82;($ 185,645.00) X225,5_ 75.g2 (629,589.37) Fund Balance, January 1 3,543,572.48 Adjustment of prior year 4,169,909.30 encumbrances 1,301.13 3,252.55 Fund Balance, Decemb r 31-$-3,133.6,52.79 $3,543,572.48 I� Cash Encumbrances outs Fund balance Total Liabilit: CITY OF SALINA Salina, Kansas ENTERPRISE FUNDS Exhibit B -5 (Contd.) GOLF COURSE BALANCE SHEET December 31, 1979 With comparative figures for the preceding year) 1979 ASSETS _6 218. 94 Zding LIABILITIES AND FUND BALANCE 2,853.25 3,365.69 :es and Fund Balance -$6,218.94 GOLF COURSE ATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 th comparative figures for the preceding year) Revenues Membership and gre n fees Cart rental Cart storage Cart user fees Oil well lease Total Revenues Expenditures Personal services Contractual services Materials and supplies Transfer to Debt S rvice Fund Sundry expenditures Capital outlay Total Expenditur s Revenues Over (Under) Expenditures Fund Balance, January'' 1 Fund Balance, December 31 1979 1978 -$-6,8 aL. 6 4 6,881-64 $6,881.64 (Over) Under 1978 Actual Budget Budget Actual $81,061.20 $ 94,240.00 $13,178.80 $67,625.47 718.20 3,135.00 2,416.80 2,369.73 3,190.50 3,180.00 (10.50) 2,211.84 4,537.50 3,550.00 (987.50) 5,110.50 5,401.17 4,000.00 (1,401.17) 4,171.10 94,908.57 108,105.00 13,196.43 819488.64 48,161.88 44,160.00 (4,001.88) 40,838.14 23,129.76 24,895.00 1,765.24 23,857.00 8,877.88 9,665.00 787.12 8,632.79 14,000.00 14,000.00 - 10,235.00 - 749.97 4,255.00 6,000.00 1,745_00 5,500.95 98,424052 98,720.00 295.48 89,813.85 (3,515.95)$ 9.385 00 X12.900 95 (8,325.21) 6,881.64 15,206.85 $ 3.365 69 -$-6 881.64 -29- i 1 ' CITY OF SALINA Salina, Kansas ENTERPRISE FUNDS Exhibit B -5 (Contd.) SANITATION BALANCE SHEET December 31, 1979 ith comparative figures for the preceding year) 1979 1978 Cash ASSETS Investments $ 26,430.27 $ 51,307.25 80,000.00 80,000.00 Total Assets 106.43Q.27 131.307 25 LIABILITIES AND FUND BALANCE Fund Balance .$106.430.2Z $131,307.25 SANITATION TATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 ith comparative figures for the preceding year) 1979 Actual Budget (Over) Under 1978 Revenues I Bud get Actual Interest from inve tments $ 4,328.66 Miscellaneous sale and $ 3,200.00 ($ 1,128.66) $ 4,227.32 services - 100.00 Service fees 1 471,000.00 454,500.00 Reimbursement of expenditures 904.67 - Total Revenues 476,233.33 457,800.00 Expenditures Personal services Contractual services Materials and supplies Capital outlay Total Expenditures Revenues Over (Under) Expen- ditures Fund Balance, January 1 Fund Balance, December 31 100.00 107.96 (16,500.00) 403,000.00 (904.67) 443.96 (18,433.33) 407,779.24 258,337.52 270,355.00 12,017.48 244,460.84 148,204.09 148,835.00 630.91 136,724.36 31,355.70 24,320.00 (7,035.70) 23,085.97 63,213.00 61,365.00 (1,848.00) 9,047.00 501,110.31 504,875.00 3,764.69 4133318.17 (24,876.98)(1_47.,07_5.00) (122.198,02) (5,538.93) 131,307.25 $106.A30.27 136,846.18 1 1 30 7_25 -30- CITY OF SALINA Salina, Kansas ENTERPRISE FUNDS Exhibit B -5 (Contd.) PAPER RECYCLING BALANCE SHEET December 31, 1979 With comparative figures for the preceding year) 1979 1978 ASSETS Cash 12 25.60 $19,274 52 LIABILITIES AND FUND BALANCE Fund Balance .$12,425.60 $19.2Z4.52 PAPER RECYCLING STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 (ith comparative figures for the preceding year) 1979, Fund Balance, Decemb�r 31 $12.425.60 20,542.12 119.274.52 -31- kuver) Under 1978 Revenues Actual Budget Budget Actual Sale of commodities Transfer from other funds $ 5,098.76 $ 6,000.00 $ 901. $15,553.01 Total Revenues - 5,000.00 5,000.00 00 5,098.76 11,000.00 5,901.24 15,553 O1 Expenditures Personal services Contractual 8,948.34 9,030.00 81.66 7,238.75 servic Materials and s 2,672.90 3,460.00 787.10 2,665.73 supplies Sundry expenditure 326.44 800.00 473.56 916.13 Total Expenditures - 11,947.68 6,000.00 6,000.00 6,000.00 19,290.00 7,342.32 16,820.61 Revenues Over (Under) Expenditures (6,848.92)(,L8.290, 00) (!1 441.08) (1,267.60) Fund Balance, Januar 1 io 77A zq Fund Balance, Decemb�r 31 $12.425.60 20,542.12 119.274.52 -31- I' CITY OF SALINA Salina, Kansas ENTERPRISE FUNDS Exhibit B -5 (Contd.) PARKING METERS BALANCE SHEET December 31, 1979 With comparative figures for the preceding year) 1979 Cash ASSETS Effiff-0390M Encumbrances outstanding LIABILITIES AND FUND BALANCE Fund balance 5,049.87 Total Liabilities and Fund Balance $5,049 87 PARKING METERS TATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 ith comparative figures for the preceding year) Revenues Parking meter reve�ue Interest from investments Parking meter permits Reimbursement of expenditures Total Revenues Expenditures Personal services Contractual services Materials and supplies Transfers to Debt Service Fund Capital outlay Total Expenditurles Revenue Over (Under) Expenditures Fund Balance, January l Adjustment for prior year encum- brances Fund Balance, December 31 1978 $14.112 75 6,763.41 7,349.34 114,112.75 1979 (Over) Under 1978 Actual Budget Budget Actual $74,802.17 $116,400.00 $41,597.83 $61,206.18 - 600.00 600.00 732.60 14,820.00 35,000.00 20,180.00 19,097.58 1,031.66 - (1,031.66) 90,653.83 152,000.00 61,346.17 81,036.36 33,482.76 34,005.00 15,976.22 15,905.00 5,974.26 17,055.00 35,000.00 39,000.00 2,520.06 25,000.00 92,953.30 130,965.00 (2,299.47)$ 21_,_03 .00 7,349.34 522.24 (71.22) 11,080.74 4,000.00 22,479.94 38,011.70 I23.334 47 31,822.72 11,737.47 2,546.35 39,000.00 6,177.00 91,283.54 (10,247.18) 17,567.72 28.80 5,049 87 -32- �j Cash Encumbrances outst Fund balance CITY OF SALINA Salina, Kansas ENTERPRISE FUNDS Exhibit B -5 (Contd.) SOLID WASTE DISPOSAL BALANCE SHEET December 31, 1979 With comparative figures for the preceding year) 1979 ASSETS $54,19-4 92 ing LIABILITIES AND FUND BALANCE Total Liabilities and Fund Balance 54,194.92 0-4,11-9-4. . 2 SOLID WASTE DISPOSAL ATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 th comparative figures for the preceding year) 1978 113,18 . 42 256.00 12,931.42 .$13.18 Revenues Over (Under) Expenditures 41,263.50 3-2-1,570.09= ( 693, 0) 4,028.16 Fund Balance, January 1 12,931-42 8,903.26 Fund Balance, December 31 1-5-4,1-9-4-.92 $ 12,931_42 See accompanying notes to financial statements which are an integral part hereof. -33- 1979 Revenues Actual Budget (Over) Under Budget 1978 Actual Income from leased Service fees land $ 27,739.25 $ 10,000.00 ($17,739.25) $ 12,520.64 Total Revenues 139,936.25 167,675.50 140,000.00 63.75 131,472.51 150,000.00 (17,675_50) 143,993.15 Expenditures Personal services Contractual servic 61,631.30 64,460.00 2,828.70 57,857.26 Materials and supp�ies s 44,037.08 12,928.90 40,305.00 10,940.00 (3,732.08) 54,655.66 Sundry expenditures) (1,988.90) 9,452.07 Capital outlay - 7,814.72 10,000.00 10,000.00 18,000.00 Total Expenditures 126,412.00 725.00 126,430.00 (7,089.72) 18.00 139, 964.99 Revenues Over (Under) Expenditures 41,263.50 3-2-1,570.09= ( 693, 0) 4,028.16 Fund Balance, January 1 12,931-42 8,903.26 Fund Balance, December 31 1-5-4,1-9-4-.92 $ 12,931_42 See accompanying notes to financial statements which are an integral part hereof. -33- II CITY OF SALINA Salina, Kansas Exhibit B -6 INTRAGOVERNMENTAL FUND CENTRAL GARAGE BALANCE SHEET December 31, 1979 (With comparative figures for the preceding year) 1979 1978 ASSETS Cash $26,385.10 36,856.E LIABILITIES AND FUND BALANCE Encumbrances outstanding Fund balance Total Liabilities and Fund Balance 3,846. 34 - 00 coo �e $26,385.10 $36,856.24 CENTRAL GARAGE STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 ([kith comparative figures for the preceding year) I 1979 Revenues Reimbursement of expenditures Expenditures Personal services Contractual services Materials and supp'llies Sundry expenditures Capital outlay Total Expenditures Revenues Over (Under) Expenditures (Over) Under 1978 Actual Budget Budget Actual $429,228.64 $ - ($429,228.64) $365,996.48 75,958.66 - (75,958.66) 67,432.69 289991.51 - (28,991.51) 249640.23 321,602.88 - (321,602.88) 263,492.75 9,437.80 - (9,437.80) 7,221.92 7,555.27 - (7,555.27) 4,230.11 443,546.12 - (443,546.12) 367,017.70 (14,317.48),x= 14,317.48 (1,021.22) Fund Balance, January 1 365856.24 375877.46 ' Fund Balance, December 31 22,538.76 $ 36,856.24 ' See accompanying notes to financial statements which are an integral part hereof. 1 -34- CITY OF SALINA Salina, Kansas Exhibit B -7 TRUST AND AGENCY FUNDS CITIZENSHIP TRUST BALANCE SHEET December 31, 1979 th comparative figures for the preceding year) 1979 1978 ASSETS Cash $ 1,700.00 $ 975.00 Investments 10,000.00 10,000.00 Total Assets i 11,700.00 10.975.00 LIABILITIES AND FUND BALANCE Fund Balance $11,700.00 $10,975.00 -35- CITIZENSHIP TRUST STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 ([ith comparative figures for the preceding year) 1979 (Over) Under 1978 Revenues Actual Budget Budget Actual Interest from investments $ 725.00 $ - ($725.00) $ 725.00 Expenditures Awards Revenues Over (Underp Expenditures 725.00 $ 725.0 725.00 Fund Balance, Januar 1 10,975.00 10,250.00 Fund Balance, December 31 $11,700.00 $10,975.00 -35- CITY OF SALINA Salina, Kansas Exhibit B -7 (Contd.) TRUST AND AGENCY FUNDS HUD COMMUNITY DEVELOPMENT BALANCE SHEET December 31, 1979 (With comparative figures for the preceding year) 1979 ASSETS Cash ($ 23,605.83) Investments 166,641.07 Total Assets 143.035.24 LIABILITIES AND FUND BALANCE Encumbrances outstanding Fund balance Total Liabilities and Fund Balance 1978 ($ 33,100.21) 171,384.04 138,283.83 1,626.38 993.23 141,408.86 137,290.60 $143,035.24 $138,283.83 HUD COMMUNITY DEVELOPMENT STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 (With comparative figures for the preceding year) 1979 (Over) Under 1978 Actual Budget Budget Actual Revenues Grants from Federal government $282,632.28 $ - ($282,632.28) $1,060,154.50 Other appropriations and grants 79,540.50 - (79,540.50) 35,209.00 Sale of real estate 14,625.00 - (14,625.00) 46,626.00 Interest from investments 8,925.96 - (8,925.96) 9,542.07 Collection of hou ing and win- terization loans? - Principal and interest 7,966.76 - (7,966.76) 3,631.32 Reimbursement of d xpenditures 97,579.96 - (97,579.96) 5,243.00 Total Revenues, 491,270.46 - (491,270.46) 1,160,405.89 Expenditures Personal services 61,759.53 - (61,759.53) 37,734.14 Contractual services 145,044.52 - (145,044.52) 240,460.73 Materials and supplies 2,259.28 - (2,259.28) 2,650.44 Housing and winterization loans 80,151.79 - (80,151.79) 31,313.18 Capital outlay 197,937.08 - (197,937.08) 865,404.57 Total Expenditures 487,152.20 - (487,152.20) 1,177,563.06 -36- CITY OF SALINA Salina, Kansas TRUST AND AGENCY FUNDS Exhibit B -7 (Contd.) HUD COMMUNITY DEVELOPMENT (CONTD.) STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 (With comparative figures for the preceding year) i Revenues Over (Undejr) Expendi- tures Fund Balance, January 1 Adjustment for prior year encum- brances Fund Balance, December 31 1979 (Over) Under 1978 Actual Budget Budget Actual $ 4,118.26_ ($ 4,118.26)($ 17,157.17) 137,290.60 152 941 19 $141,408.86 1,506.58 $ 137,290.60 -37- CITY OF SALINA Salina, Kansas Exhibit B -7 (Contd.) TRUST AND AGENCY FUNDS CEMETERY ENDOWMENT BALANCE SHEET December 31, 1979 With comparative figures for the preceding year) 1979 1978 ASSETS Cash $ 1,249.41 $ 1,688.06 Investments 42,000.00 35,000.00 Total Assets 43,249.41 36,688.06 LIABILITIES AND FUND BALANCE Fund Balance $43.!49.41 . $3.6 688.06 I I^ CEMETERY ENDOWMENT STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 (With comparative figures for the preceding year) Revenues Interest from investments Perpetual care deposits Total Revenues) Expenditures Revenues Over (Unde$) Expenditures Fund Balance, Janua�y 1 i Fund Balance, December 31 1979 (Over) Under Actual Budget Budget $ 2,856.35 $ - ($2,856.35) 3,705.00 - (3,705.00) 6,561.35 - (6,561.35) 6,561.35 X6,561.35 36,688.06 $43,249.41 1978 Actual $ 1,832.40 2,587.50 4,419.90 4,419.90 32,268.16 $36,688.06 -38- CITY OF SALINA Salina, Kansas Exhibit B -7 (Contd.) TRUST AND AGENCY FUNDS MAUSOLEUM TRUST BALANCE SHEET December 31, 1979 (,With comparative figures for the preceding year) 1979 1978 ASSETS Cash - $1,330.00 LIABILITIES AND FUND BALANCE Fund Balance_ $1,330.00 Il MAUSOLEUM TRUST ,STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 With comparative figures for the preceding year) 1979 (Over) Under 1978 Actual Budget Budget Actual Revenues Sale of mausoleum space $ - $ - $ - $2,065.00 Expenditures Sales proceeds remitted to District Court 1,330.00 - - 735.00 Revenues Over (Under) Expenditures (1,330.00).x= ,S - 1,330.00 i Fund Balance, January 1 1,330.00 - Fund Balance, December 31 $ - $1,330.00 I -39- CITY OF SALINA Salina, Kansas Exhibit B -7 (Contd.) TRUST AND AGENCY FUNDS MAUSOLEUM ENDOWMENT BALANCE SHEET December 31, 1979 (With comparative figures for the preceding year) 1979 ASSETS Cash $ 90.17 Investments 17,300.00 Total Assets --L7-,3 90—.--1-7 LIABILITIES AND FUND BALANCE Fund Balance $17,390.17 MAUSOLEUM ENDOWMENT (STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 (�ith comparative figures for the preceding year) i Revenues Sale of mausoleum's space Expenditures Revenues Over (Under) Expenditures I Fund Balance, January 1 Fund Balance, December 31 1978 $ 190.17 17,200.00 17,390.17 $17,390.17 1979 (Over) Under 1978 Actual Budget Budget Actual $ - $ - $ - $ 295.00 $17,390.17 295.00 17 ,095.17 17 3 0.17 -40- CITY OF SALINA Salina, Kansas Exhibit B -7 (Contd.) TRUST AND AGENCY FUNDS STATE WITHHOLDING TAX BALANCE SHEET December 31, 1979 (With comparative figures for the preceding year) 1979 1978 ASSETS Cash LIABILITIES AND FUND BALANCE Fund Balance STATE WITHHOLDING TAX STATEMENT OF REVENUES AND EXPENDITURES COMPARED WITH BUDGET AND CHANGES IN FUND BALANCE Year Ended December 31, 1979 (With comparative figures for the preceding year) -41- 1979 (Over) Under 1978 Actual Budget Budget Actual Revenues State withholdingl, tax deductions $83,723.41 $ - ($83,723.41) $79,689.34 Expenditures State withholding tax deductions remitted I 83,723.41 - (83,723.41) 79,689.34 Revenues Over (Under) Expenditures -__ $ - - Fund Balance, January 1 Fund Balance, December 31 $ - $ See accompanying notes to financial statements which are an integral part hereof. -41- 1 J LJ I CITY OF SALINA Salina, Kansas NOTES TO FINANCIAL STATEMENTS 1. Significant accounting policies: a. The accounting records of the City are maintained on the cash basis as to revenues and the encumbrances method as to expenditures to reflect compliance '',with the applicable laws of the State of Kansas, however, the method !is not in accordance with generally accepted accounting principles for municipalities. The principal differences between the method of accounting utilized and generally accepted accounting prin- ciples are ',as follows: • Fixed asset records are not maintained and depreciation is not recorded in enterprise funds, nor is a statement of general fixed assets included in the accompanying financial statements. • Receivables are not recognized until collected. • A generals long -term debt group of accounts is not maintained to account: for the amount of unmatured long -term indebtedness. • General Fund revenues collected in advance are accounted for as revenues of a special revenue fund when received and not as deferred revenues of the General Fund. • Inventories of enterprise and intragovernmental service funds are no recorded. • Bonded indebtedness and the accrued interest thereon are not recorded in the Water and Sewerage Fund. • Special - assessments are accounted for in the Debt Service Fund rather than a special assessment fund. • Reserves have been established in the Capital Projects Fund for the pu chase of solid waste equipment and computer equipment and re ated software. • Customers' meter deposits collected by the Water and Sewerage Fund are recorded as revenues when received and expenditures when deposits are refunded. b. The City utilizes "fund" accounting which segregates assets for the pur- pose of ca rying on special activities or attaining certain objectives in accorda ce with special Kansas statutes, restrictions, or other limi- tations. C. Investments) are recorded at cost and revenues from investments are re- corded when received. d. Transfers between funds are recorded as expenditures of the fund making the transfer and revenues of the fund receiving the transfer. 2. The City participates in the Kansas Public Employees Retirement System, es- tablished under the following statutory authority. • Policemen's and Firemen's Retirement Fund - K.S.A. 74 -4951 • Other employees' retirement fund - K.S.A. 74 -4901 and following -42- ' These retirement programs are administered by the State of Kansas, which receives premiums withheld from employees wages and contributed by the employer and provides applicable benefits directly to covered employees. ' Expenditures for both programs are recorded in the Employee Benefit Fund. 3. The City has outstanding an issue of Combined Water and Sewer System Revenue ' Bonds, Series of 1961, of which the principal amount of $1,355,000 remains out- standing at December 31, 1979, and an issue of Combined Water and Sewer System Revenue Bonds,!Series of 1977, of which the principal amount of $3,000,000 remains outstanding at December 31, 1979. The City has provided for the payment ' of all principal and interest on the bonds by depositing United States government obligations with an escrow agent, as explained in Note 3, on page 50. Neither the as�ets deposited with the escrow agent for retirement of the 1961 and 1977 bonds 'issues, nor the outstanding 1961 and 1977 obligations, are reflec- ted in the accompanying financial statements. The amounts re wired to be maintained in the reserve accounts established by the bond ordin nce authorizing issuance of the Waterworks and Sewage System Refunding Reve ue Bonds, Series of 1978, explained in Note 2, on page 50, have been provided td the net operating income of the water and sewerage system ' appears sufficient to meet the requirements of the ordinance. ' 4. The accompanyi g financial statements contain several funds for which budgets were not prepa ed. The reasons for omitting certain budget comparisons are shown below. 11 C • Central Garage - The fund is an intragovernmental fund whose expendi- tures arE reimbursable by other funds. • Trust and gency Funds - The individual trust and agency funds are not subject to the budget law since the assets do not belong to the City of Salina. • Special Re enue Funds - Certain of the special revenue funds are not budgeted since their revenues are designated for a special purpose or the f nd represents a clearing account. • Capital Projects Fund - The capital projects fund is not budgeted since provision for payment of expenditures is from the issuance of bonds, temporary notes, and special assessments and charges. 5. Interest on cu tomers meter deposits collected by the Water and Sewerage Department is credited annually to the customers account as required by K.S.A. 12 -822, lot but is paid upon withdrawal of the deposit by the customer. In addition, uncl imed deposits are placed in the operating fund of the utility without meetin all the conditions imposed by K.S.A. 12 -822. 6. The City has ot�tained a waiver until January 1, 1982, of the Kansas statutory requirement to maintain fixed asset records. 7. A summary of future principal and interest payments on the City's outstanding indebtedness at December 31, 1979 is shown below. General Obligation Bonds Year Principal Interest Revenue Bonds Principal Interest 1980 $ 574,000 $ 350,070 $ 1,000 $ 277,890 1981 560,000 318,238 1,000 277,828 1982 495,000 294,274 1,000 277,765 -43- ' General Obligation Bonds Revenue Bonds Year Principal Interest Principal Interest ' 1983! $ 495,000 $ 272,308 $ 1,000 $ 277,702 1984' 495,000 250,326 1,000 277,640 1985 and after 4,699,000 1,548,266 4,388,000 4,984,447 'Totals $7,318,000 $3,033,482 $4,393,000 $6,373,272 In addition to the foregoing indebtedness, the City is obligated in the amount ' of $762,795 on temporary notes due August 1, 1980, which will be retired upon issuance of general obligation bonds for certain improvements, The City has a contingent liability of $4,112,000 on special assessment bonds ' to the extent that liens foreclosed against properties involved in the special assessment districts are insufficient to retire the bonds. 8. The Salina Bicentennial Center Authority was established in 1978 to operate, maintain, develop, and promote the Bicentennial Building. The authority was dissolved in August, 1979, and the operations absorbed by the City of Salina. The revenues arid expenditures of the building for the period August 15 to December 31, 1S79, have been included in the operations of the General Fund for the year I 79, resulting in an apparent violation of K.S.A. 79 -2935, which prohibits expenditures in excess of the adopted budget of expenditures. Proforma information applicable to the General Fund prior to inclusion of the Bicentennial Center is shown below for 1979. Totals Bicentennial Proforma Exhibit B -1 Center Totals ' Revenues $4,157,503.48 $173,089.13 $3,984,414.35 Expenditures 4,153,957,70 198,714,30 3,955,243.40 Revenues Over (Under) 'Expenditures $ 3,545.78 ($ 25,625.17) $ 29,170.95 Actual expenditures of the General Fund for 1979 were $69,007 less than the budgeted expenditures of $4,024,250, after exclusion of the Bicentennial Center as shown in the schedule above. 9. Capital expenditures financed by the issuance of bonded indebtedness resulted in an excess of actual over budgeted expenditures in the Water and Sewerage Fund on Exhibit B -5. 10. The fund balanc deficit in the Emergency Jobs Act Fund, shown on Exhibit B -2, is a result of he City not recognizing reimbursements from the Federal govern- ment as a recei able in accordance with the method of accounting described in Note 1. -44- 1 u SEPARATE FINANCIAL STATEMENTS WATER AND SEWERAGE DEPARTMENT i C u if I KENNEDY AND COE MEMBERS CERTIFIED PUBLIC ACCOUNTANTS OF OFFICES IN KANSAS AMERICAN INSTITUTE SALINA OF CONCORDIA CERTIFIED GREAT BEND PUBLIC ACCOUNTANTS COLBY GOODLAND WICHITA To the Mayor and The Board of City Commissioners; We have examined tha balance sheet of the City of Salina Water and Sewerage Depart- ment, Salina, Kansa , as of December 31, 1979 and 1978, and the related statements of income, contribu ions and retained earnings, and changes in financial position for the years then ended. Our examination was made in accordance with the provisions of the Minimum Standard Audit Program approved by the State Municipal Accounting Board and generally accepted auditing standards and, accordingly, included such tests of the accounting records and such other auditing procedures as we considered necessary in the circumstances, except as explained in the following paragraph. We did not satisfy ourselves as to the cost and carrying value of Utility Plant in Service. A meaning ul listing of property in use, with related cost information, was not available, Generally accepted accounting principles require periodic charges to expense for the depreciation of fixed assets over their estimated useful life. Depreciation has not been recorded in the accompanying financial statements and therefore, to that extent, the accompanying financial statements for 1979 and 1978 are not presented in accor- dance with generally accepted accounting principles. Due to the limitatio graph above, we are statements. Salina, Kansas July 14, 1980 Certified Public Accc of an actively engagE on the scope of our engagement as explained in the second para- able to express an opinion on either the 1979 or 1978 financial tant in charge on this audit. Respectfully submitted, -11 "Z'� (""' C.P.A. -45- (Wi CITY OF SALINA ' Salina, Kansas WATER AND SEWERAGE DEPARTMENT BALANCE SHEET ' December 31, 1979 th comparative figures for the preceding year) ASSETS 1979 1978 Current Assets ' Cash Accounts receivable $ 419,066.11 $ 559,696.33 Inventories 149,312.39 165,416.40 Total Current Assets 106,662.50 101,650,89 675,041.00 826,763.62 Restricted Assets Construction fund Cash Investments 39,947.18 (14,913.56) System sinking fund 450,000.00 1,200,000.00 Investments Plant reserve fund 561,463.79 500,718.42 Cash Investments 2,534.84 453.28 System reserve fund 436,000.00 419,000.00 Cash Investments 7,877.44 934 .27 ' Total Restrict d Assets 1,239,000.00 967,000.00 2,736,823.25 3,073,192.41 Utility Plant in Service Furniture and fixtures Plants, mains, equipment and other property P P 107,679.56 y 12,948,849.25 105,708.64 Total Utility Plant in Service 13,056,528.81 12,128,230.02 12,233,938.66 Other Assets Deferred issuance costs 62,469.43 64,700.47 Total Assets $16,530 862.49 X16,198 595 16 See accompanying notes to financial statements on pages 50 and 51 which are an integral part hereof. LIABILITIES, Current Liabilities RESERVES, CONTRIBUTIONS AND RETAINED EARNINGS Accounts payable Customers' meter deposits $ 20,031.56 $ Accrued interest payable 71,779.37 Accrued wages payable 104,220.46 Accrued payroll taxes 18,518.80 Accrued employees' retirement 12,518.54 Long -term obligations due within one 10,372.58 Total Current Iiabilities year 1,000.00 _ 238,441.31 Long -Term Liabilitie Revenue bonds due after one year Reserves System sinking fun Plant reserve fund System reserve fun Total Reserves Contributions and ret fined earnings (Exhibit C) Total Liabilities 4,392,000.00 Exhibit A 1978 89,316.26 73,595.00 187,445.29 12,746.04 11,053.58 9,231.61 1,000.00 384,387.78 4,393,000.00 561,463.79 500,718.42 438,534.84 419,453.28 1,246,877.44 967,934.27 2,246,876.07 1,888,105.97 9,653,545.11 9,533,101.41 X16,530 862 49 X16,198 595.16 -46- II 1 CITY OF SALINA Salina, Kansas WATER AND SEWERAGE DEPARTMENT INCOME STATEMENT Year Ended December 31, 1979 (W - th comparative figures for the preceding year) Operating Revenues Water revenue Sewage revenue Tapping service aid frontage Service charge - Sanitation department Contributions from customers Miscellaneous income Total Operating Revenues Operating Expenses ISchedule 1) Operating Income Other Income Inter est on invest ents Grant - Environmen al Protection Agency Total Other Inc me Other Expenses Interest on revenue bonds Amortization of deferred issuance costs Sinking fund expenses Total Other Expenses Net Income before Extraordinary Items Extraordinary Items Gain on advance refunding of revenue bonds (Note 3) Net Income 1979 $1,528,903.04 640,383.92 23,703,71 6,345.95 9,329.40 11,513.36 2,220,179.38 1,744,309.28 475,870.10 248,685.12 35,000.00 283,685.12 Exhibit B 1978 $1,530,515.77 602,657.87 19,745.19 6,633.41 33,701.41 5,361.35 2,198,615,00 1,530,473.69 668,141.31 262,704.67 545,100.00 807,804.67 (278,690.55) (274,143.29) (2,231,04) (1,115.52) (720.96) (281,642.55) _(275,258._8_1) 477,912.67 1,200,687.17 $ 477 912 67 See accompanying notes to financial statements on pages 50 and 51 which are an integral part hereof. 341,815.99 $1,542 503 16 -47- CITY OF SALINA Salina, Kansas WATER AND SEWERAGE DEPARTMENT STA EMENT OF CONTRIBUTIONS AND RETAINED EARNINGS Year Ended December 31, 1979 (Wi h comparative figures for the preceding year) Exhibit C -48- 1979 1978 Balance, Beginning of Year _$9,533,101.41 $8,981,902.13 Additions Net income for the year (Exhibit B) Adjustment for prior year encumbrances 477,912.67 1,542,503.16 Total Additions 1,301.13 3,252.55 479,213.80 1,545,755.71 Deductions - - -- Transfers to restricted reserves - Net 358,770.10 994,556.43 Balance, End of Year 19,653 545 11 -$9,533.101.41 Se accompanying notes to financial statements on pa es 50 and 51 which are an integral part hereof. -48- ' CITY OF SALINA Salina, Kansas WATER AND SEWERAGE DEPARTMENT ',STATEMENT OF CHANGES IN FINANCIAL POSITION Year Ended December 31, 1979 (W$th comparative figures for the preceding year) Financial Resources were Provided by; Operations Net income (Exhibit B) Amortization of deferred issuance costs Adjustment for rior years encumbrances Total from Operations Decrease in contt uction fund assets Issuance of water and sewerage revenue bonds Totals Financial Resources were Used for; Additions to utility plant in service Decrease in long -term debt Refunding of long -term debt Recognition of def rred issuance costs Increase in resery account assets Totals Increase (Decrease) n Working Capital Analysis of Change ill Working Capital Increase (Decrease) in Current Assets Cash Accounts receivable Inventories Totals (Increase) Decrease Accounts payable Customers' meter Revenue bonds due Accrued expenses Totals Increase (Decrease) i in Current Liabilities epos its currently Working Capital 1979 $ 477,912.67 2,231.04 1,301.13 481,444.84 695,139.26 1,176,584.10 822,590.15 1,000.00 358,770.10 1,182,360.25 (5,776.15) (140,630.22) (16,104.01) 5,011.61 (151,722 62) 69,284.70 1,815.63 74,846.14 145,946.47 ($ 5,7 15) See accompanying notes to financial statements on page s 50 and 51 which are an integral part hereof. Exhibit D 1978 $1,542,503.16 1,115.52 3,252.55 1, 546,871.23 1,574,031.96 4,394,000.00 7,514,903.19 1,773,094.45 1,000.00 4,515,000.00 65,815.99 994,556.43 7,349,466.87 165 436.32 (10,767.22) 19,806.21 8— 448.79 17,487.78 57,374.13 (15,185.00) 154,000.00 (48,240.59) 147,948.54 1 165 436 32 -49- ' CITY OF SALINA Salina, Kansas ' WATER AND SEWERAGE DEPARTMENT NOTES TO FINANCIAL STATEMENTS Significant accounting policies; II (a) The accrual method of accounting is used in the preparation of these financial tatements. Income is recorded as earned and expenses as incurred. (b) Inventories are stated at original cost and consist primarily of utility Plant supplies and equipment not placed in service. (c) Utility Plant and other fixed assets are recorded as assets when acquired; owever, depreciation is not recorded in the financial statements. (d) Investmen I (e) The direct receivable. are stated at cost, which approximates market. to -off method is used to record uncollectible accounts (f) Grants from governmental agencies are recorded as non - operating income. 2. The City issued its Waterworks and Sewage System Refunding Revenue Bonds, of 1978, on May 1, 1978, for the purpose of refunding its Combined Water andries ' Sewage System Revenue Bonds of 1961 and 1977 in the respective amounts of $1,670,000 and $3,000,000 at May 1 The new bond issue in the original amount of $4,394,�0001 matures oseriall bet February 15, 1979, and February 15, 2007, and bears interest at rates varying 3. ' from 6 1/4 to 6 3/8 percent Per annum, y weep p The City has established certain reserve accounts pursuant to the bond ordinance to provide funds for the retirement of the bonds and payment of interest thereon and for making replacements to the ' system in the event other funds are not available. The gross revenues of the water and sewerage department are pledged to secure payment of the bonds; how- ever, the pledge s subordinate to a similar pledge to secure payment of the 1961 and 1977 bon s. The amounts required to be maintained in the reserve accounts established by the 1978 bond ordinance have been provided and the net operating income of the system for 1979 appears sufficient to meet the requirements of the ordinance. 3. The City has provi ed for the payment of the 1961 and 1977 bond issues as gations with Planters State Ba explained in the preceding Note 2, by depositing United States government obli- nk and Trust Company, Salina, Kansas an escrow trust agreement dated May 1, 1978. Total funds deposited and pursuant earned on such funds will be sufficient to pay all principal and interest on the bonds as they become due. The gain on early extinguishment of the debt has been accounted for in t e 1978 financial statements presented for the water and sew- erage department a� an extraordinary item as shown in th i e following schedule. -50- Carrying amount of old debt Reacquisition price $4,670,000.00 Issuance of refunding bonds Issuance cost 4,394,000.00 Presentivalue of new debt (65,815 99) 4,328,184.01 Gain on advance refunding $ 341 815 99 The separate 1978 financial statements of the City flect the above transaction as revenue from the issuance prepared in cash of $4,394,000.OD and expenditures in the amounts of $4,328,184.01 for the deposit to the bond escrow account and $65,815.99 for the issuance cost on Exhibit B -5. Neither the ass is deposited with the escrow agent for retirement of the 1961 and 1977 bond i sues, nor the outstanding 1961 and 1977 obligations, are reflec- ted in the acco panying financial statements. -51- CITY OF SALINA Salina, Kansas ' WATER AND SEWERAGE DEPARTMENT OPERATING EXPENSES Year Ended December 31, 1979 (Tith comparative figures for the preceding year) Water Supply Expenses Maintenance - Well pumps and equipment Well power Well house signal River intake powe Maintenance - Building and grounds Maintenance - River basin Totals Softening and Treatment Expenses Supervision Salaries Electric power Gas service Building operating supplies Chemicals Maintenance - Equipment Maintenance - Buildings Electric power - C lcinin Gas service Plant - Calcining plant Supplies - Ca lcini g plant Electric service - Sludge line Maintenance - Sludg line Totals Pumping Expenses Supervision Salaries Electric power Gas service Building operating upplies Maintenance - Electrical equipment and pumps Maintenance - Station building and grounds Wearing apparel Totals Distribution Expenses Supervision Salaries Meter maintenance salaries Meter maintenance supplies Vehicles and equipment expense Tapping supplies 1979 $ 5,735.56 16, 928.96 6,049.59 6,517.24 148.97 299.09 35,679.41 28,943.34 109,736.44 47,841.49 18,916.71 962.85 224,026.83 16,351.22 1,852.00 9,681.14 28,920.54 1,520.11 1,580.36 4,252.86 494,585.89 28,260.79 44,993.15 31,860.17 959.72 531.30 5,593.96 281.20 1,471.15 113 4 14,217.51 69,840.84 10,901.61 3,601.22 12,335.65 12,442.74 Schedule 1 1978 $ 1,509.49 17,028.15 6,597.15 5,803.76 291.38 453.09 31,683.02 26,970.24 87,481.57 49,873.88 17,238.22 322.56 185,375.53 9,107.68 631.40 11,116.69 32,247.18 6,790.29 3,424.98 1,110.50 431,690.72 26,132.75 43,839.46 23,309.18 853.47 353.30 543.41 727.89 905.19 96,664.65 12,626.61 64,682.50 10,863.49 3,755.13 10,449.27 11,891.15 -52- (Wj CITY OF SALINA Salina, Kansas WATER AND SEWERAGE DEPARTMENT Schedule 1 (Contd.) OPERATING EXPENSES Year Ended December 31, 1979 th comparative figures for the preceding year) Distribution Expenses (Contd.) Maintenance - Distribution mains Maintenance - Storage tanks Maintenance - Hydrants Totals Customers' Accounti g and Collection Expenses Office salaries Servicemen and me er readers salaries Servicemen and meter readers supplies Collection stations Maintenance - Office equipment Office supplies Vehicle expense Postage Lease, electronic data processing equipment Wearing apparel Totals ' Administrative and General Expenses Supervision Salaries ' Telephone expense Office supplies Special engineering Social Security ' Insurance - Buildings Sales tax Property taxes 1 Accounts charged off Long and short cash E 1 ' mp oyees retirement Workman's compensation and liability insurance Grou F insurance Unemployment insura ce Auditing expense Contracting service Organizational dues and memberships Maintenance - Gover ment Center Service performed - iOther departments Car mileage and travel expenses Totals i 1979 $ 21,860.94 682.48 5,803.89 151,686.88 74,962.50 82,020.67 433.23 1,803.95 1,097.35 7,221.51 8,461.40 24,869.66 15,131.84 587.85 216,589.96 28,112.70 12,366.42 3,741.32 1,359.67 250.00 54,435.96 24,438.34 1,623.24 67,500.00 3,300.65 114.41 45,570.30 28,829.00 32,159.48 2,103.12 8,129.33 2,295.39 926.27 12,487.50 25,625.42 1,173.78 356,542.30 1978 $ 6,675.71 2,387.03 2,141.52 _125,472.41 68,274.97 75,666.88 187.21 1,833.90 1,879.28 5,837.04 6,141.57 25,772.61 13,103.50 445.05 199,142,01 21,287.20 9,904.33 4,000.83 1,429.84 1,862.00 38,033.30 25,790.34 445.33 65,000.00 1,487.43 19.59 30,638.90 30,965.75 25,917.21 1,760.93 5,650.00 5,161.45 599.17 10,220.49 26,625.00 433.78 307,232.87 -53- r CITY OF SALINA Salina, Kansas WATER AND SEWERAGE DEPARTMENT Schedule 1 (Contd.) OPERATING EXPENSES ' Year Ended December 31, 1979 (With comparative figures for the preceding year) 1 11 Sewage Treatment and Collection Expenses Supervision Salaries Electric power Gas service Plant operating supplies Maintenance - Equipment Maintenance - Buildings and grounds Maintenance - Pumping stations Maintenance - Sanitary sewers Vehicle expense Wearing apparel Q's TV expenses Pump station monitor Totals 1979 $ 55,419.93 147,285.78 92,820,44 12,303.98 1,891.24 15,285.63 1,219.44 14,120.73 4,435.99 25,413.03 769.59 546.70 3,760.92 375,273.40 1978 $ 51,066.40 137,360.36 82,856,68 11,070.62 1,799.21 10,529.42 4,433.63 11,898.87 3,780.01 20,369.87 729.17 601.62 2,092,15 338,588.01 Total Operating Expenses -$1,744.309.28 -$1.530,473.69 See accompanying notes to financial statements on pages 50 and 51 which are an integral part hereof. -54- • '~ STATE OF KANSAS • ad Ia DEPARTMENT OF ADMINISTRATION DIVISION OF ACCOUNTS AND REPORTS JOHN CARLIN State Office Building Governor Topeka, Kansas 66612 JAMES R. COBLER September 9, 1980 (93) 296-231i Director of Accounts and Reports To the Governing Body : City of Salina • Salina , Kansas The following described audit report has been filed as a public record in the affioe of the Diiector of Accounts and-Reports-as — - required by K.S.A. 75-1124. Date of Audit Report: July 14, 1980 Municipality Audited: City of Salina Date Received in This Office: , September 9, 1980 • Audit Report Covering Audit Period Financial Statements Year Ended: 12-31-79 ' 4 Report by: Kennedy and Coe Salina Licensed Municipal Public Accountant in charge of audit: License No. Certified Public Accountant Eugene .J. Guerrant, Jr. in charge of audit: Permit No. 1616 ' Very truly yours, • James R. Cobler, Director Division of Accounts and Reports >etby 'tCe"-"`"1 Original to be attached to voucher and filed with Clerk of Municipality. Blue Copy for Accountant's File. AR-IO2 (7-29-76) • • M. J. KENNEDY. C.P.A. IR ETIREDI MEMBERS OF AMERICAN INSTITUTE OF CERTIFIED PUBLIC ACCOUNTANTS SALINA OFFICE KENNEDY A N D C O E WICHITA OFFICE RALPH E. REITL, C.P.A. RANDALL P. ANDERSON.C.P.A. C E R T I F I E D P U B L I C ACCOUNTANTS JOHN W. PODS. GERALD V. HARMON. C v A. C.P A_ LESTER M. MEIM, C.P.A. UNITED BUILDING GARY L POORE, C.P.A. ADLEY E- JOHNSON.C.P.A. SAUNA. KANSAS 67401 WILLIAM W. EDWARD. C.P.A. DON P. DIEDERICH. CP.A. 913 - 625.1561 TOM G.JOHNSON.C.P.A. PA VL A. MOR. CPA. CHRISTOPHER W. MERCHANT. C.P.A. ALLEN WEBBER. C.P.A. GERALD L. HUNTER,EATTT CPA. GREAT BEND OFFICE R. MICHAEL ARLSO. C.P.•. GEORGE G. DRAKE, C.P.A. BERT W. EflWIN,C.P w. J WALTON P ROCE.DN, C.P.A. December 13, 1979 LAYNE C. SHIRK C.P.A. JAMES R. CRUCE CPA. > KURDS G. SIEMENS, C.P.A. GOOOLAND OFFICE CO C.ER OIA OFFICE ROBERT D. WILBUR C.P.A. C E. ftOB ERR, QP.A. WILLIAM H. JENKINS. C.P.A. E. WAYNE HILTON, C.P.A. MARYSVILLE OFFICE SCOTT CITY RICHARD D. MILLER, C.P.A. ROBERT BROOKS.C.P.A. COLBY OFFICE MANAGER B. EUGENE CR155, C.P.A. The Honorable Mayor Karen Graves and The City Commissioners City of Salina P.O. Box 746 Salina, Kansas 67401 We submit herewith our proposal for the audit of the City of Salina, Kansas, for the year 1979. We will perform the audit of the City of Salina, Kansas, and its related departments in accordance with generally accepted auditing standards and the minimum standard audit program for municipalities of the State of Kansas, under the following terms and conditions : 1. The scope of our examination will not include the Public Library Board, the Public Health Board, the Firemen' s Relief Association, the Salina Airport Authority, and the Municipal Band Board for the year 1979, and the Salina Bicentennial Authority for the period January 1, 1979, until its dissolution in August, 1979. In addition, the Salina Bicentennial Center operations and accounts for the period operated in 1979 by the City (August, 1979 to year end) is covered by a separate audit contract submitted con- currently. 2. The audit shall be performed under the supervision of accountants qualified under regulations of the State Municipal Accounting Board. 3. In the event Kansas statutes and/or the State Municipal Accounting Board change the audit requirements for Kansas Municipalities or substantial additional audit procedures will be required, we will notify the City Commission promptly before continuing and request the right to renegotiate with the commissioners the maximum fee. . � The Honorable Mayor Karen Graves and the City Commissioners December 13, 1979 Page 2 4. The audit will be performed in part after April 15, 1980, and it is anticipated the report can be issued by July 31, 1980. Certain interim audit procedures may be performed prior to the year ended December 31, 1979. 5. The audit contract shall include general services regarding advice or counsel pertaining to general fiscal, accounting, and procedural problems the City may request during the year. Additional services beyond the scope of the regular audit, including general appli- cations thereto, will be billed at our regular hourly rates. 6. Our fee for services rendered in connection with the examination shall be computed according to our regular rates for municipalities; however, our fees for examination shall not exceed $9,765.00. We will be happy to discuss any aspect of this proposal with you at your convenience. If this meets with your approval, please sign in the spaces indicated below. The duplicate copy is for your file. Very truly yours, G s F_1 Certified Public Accountants Accepted this /7ti day of Ly �-c , 19 7/ Mayor - City of Salina, Kansas City Clerk - City of Salina, Kansas • KENNEDY AND COE CERTIFIED PUBLIC ACCOUNTANTS x - 321 FIRST NATIONAL BANK BUILDING UNITED 3UIL0ING. a O. 0x 1179 — 1910 16TH STREET. P. 0. 304 929 WICHITA, KANSAS NSS 67202 SAUNA. KANSAS 674401 GREAT BEND. KANSAS 67530 316 - 263-6202 913 - 625-1561 316 - 792.5275 - 215 -NEST SEVENTH. 0. 0. 6Ox 625 — 1002 3RO•OW•Y. P. 0. BOX 167 C.ONCORDIA. KANSAS 66901 1980 GOOOLAND. KANSAS 67735 913 - 243.1616 September 19, 1980 913 ' 899.3676 - 109 SOUTH NINTH. • 0. BOx 33 — 1650 WEST FOURTH. 9. 0. 301 a26 MARYSVILLE. KANSAS 66306 COLBY. KANSAS 67701 213 - 562'5313 913 - •62.3919 - TE••LE SUN-DING: P. 0. BOX 604 — 606 SOUTH MAIN. P. 0. 301 631 MCCOOK. NEBRASKA 69001 SCOTT CITY. KANSAS 67671 306 - 345-5717 316 - 672'5319 City of Salina City Hall Building Salina, Kansas 67401 Barance.-shown by statement previously rendered $_5-;000.00 Professional 'ces through August 31 , 1980„�in� connection with .the following: Examination of the separate records`of�the Salina . Bicentennial Center-for'the period August 15.-to December 31 ,..19i9—rincluding information required to develop fixed asset schedule and depreciation eense calculation 4,800.00 j Examination of records of the City for the year E �(�y I� ended- December 31 , 1979, and preparation of report rig, on examination 9,765.00 $4.9,51)5-.04 CITY V 1L� 7� p A 1�� 7p , 5 'm C iii S •C I T H 0 S A L I 1 V A Y BG}. 1J 11 ,::Iwrf¢�Is�I Ija �7Y I L.0. BENGTSON,CITY ATTORNEY DANIEL L. HEBERT,ASSISTANT CITY ATTORNEY 114 EAST IRON PE BANK ARCADE.SUITE C P 0 BOX 903 AREA CODE 913825-5 2 AREA CODE 913 8?12244 June 26 , 1980 • Kennedy & Coe Certified Public Accountants P.O. Box 1179 Salina, Kansas 67401 Re : City of Salina, Kansas Gentlemen: In regards to your examination and audit of the financial statement of the City of Salina , Kansas, as of December 31, 1979 , I wish to submit the following in regards to my involvement and representation of the City of Salina, Kansas, as City Attorney. As of this date the City of Salina , Kansas , is not involved in any litigation. The undersigned has no knowledge, as of the date of this letter, of any unasserted possible claims against the City or of any pending or threatened litigation, claims or contingent liability which might result in significant judgment being assessed behalf of or against the City of Salina, or which resulted for noncompliance with federal of Kansas statutes or other regulations . Respectfully submitted, L. 0. Bengtson City Attorney LOB/ja cc: City Clerk MEMBER . . . KANSAS LEAGUE OF MUNICIPALITIES - NATIONAL LEAGUE OF CITIES CI ;IF` 7""" - TY OF SAUNA lit': ><-trstiff: ate 1: 'v '' irriR AREA CODE 913 827.9433 CITY CLERK'S OFFICE CITY COUNTY BUILDING O.L HARRISON,CMG JOB WEST ASH M.E ABBOTT P.O.BOX 746 SAMNA.KANSAS 67401 July 22, 1980 Kennedy and Coe Certified Public Accountants P. 0. Box 1179 Salina , Kansas 67401 Gentlemen: In connection with your examination of the various funds and account groups of the City of Salina for the year ended December 31 , 1979, for the purpose of expressing an opinion as to whether the financial statements present fairly the financial position on the various funds and account groups at December 31 , 1979; and the results of operations and changes in financial position of the Water and Sewerage Department for the year then ended in conformity with generally accepted accounting principles , we confirm to the best of our knowledge and belief, the following recommendations made to you during your examination: 1 . We understand that we are responsible for the fair presentation in the financial statements of the financial position, results of operations, and changes in financial position, in conformity with generally accepted accounting principles . 2. We have made available to you all financial records and related data, including all minutes of the City Commissioners. 3. We are not aware of any irregularities involving management or employees that could have an effect on either your evaluation of internal control or the financial statements. 4. There are no material transactions that have not been properly recorded in the accounting records underlying the financial statements . 5. We have complied, to the best of our knowledge, with all aspects of regulations , contractual agreements, and bond ordinances , that would have a material effect on the financial statements in the event of noncompliance. MEMBER . . . KANSAS LEAGUE OF MUNICIPALITIES - NATIONAL LEAGUE OF CITIES r , Kennedy and Coe July 22, 1980 Page 2 6. We have complied, to the best of our knowledge, with all applicable Kansas Statutes which, in the event of noncompliance, might require disclosure in the financial statements in accordance with requirements of the State Municipal Accounting Board. 7. No events have occurred subsequent to December 31 , 1979, which, had they been known at that date,. would have required adjustment to, or disclosure in, the financial statements. Respectfully submitted, Rufus. L. Nye, City Manager By W. E. Harris, Assistant City Manager O1 D. L. Harrison, City Clerk __ M. E. Abbott, City Treasurer Ir'r y .r. � 1 _} .+"O 7�lr ry' F rti :7 `L i 1 y. `� LZ.w� .1 1 ��..J 1'� :i��-� it � 1 `3 �:] ti -�—•�1 li.- ;i tf 'I t d 1 I.a t ' � ' '.=l `. Lam-' F_ SALINA CITIZENS ADVISORY COMMITTEE arr -coUOry =0f5 0:nG-9cc141C3 :CA aE_r DEPARTMENT OF COMMUNITY DEVELOPMENT ° O BO/ ::6 SALINA :Au c AS uJWI TELE?nC::E +1, D2`-;261 May 30, 1980 Kennedy and Coe Certified Public Accountants P.O. Box 1179 Salina, Kansas 67401 Gentlemen: In connection with your examination of the Community Development Block Grant Funds of the City of Salina, Kansas for the period ended December 31, 1979, we confirm, to the best of our knowledge and belief, the following representations made to you during your examinations : 1. We are responsible for the presentation of the . disposition and status of the Community Development funds at December 31 , 1979, in conformity with generally accepted accounting principles and the requirements of HUD. 2. We have made available to you all financial records and related data. 3. There have been no irregularities involving City employees who have significant roles in the system of internal control that could have a material effect on either the presentation of the CD funds or compliance with applicable HUD regulations. 4. There have been no communications from regulatory agencies concerning non-compliance with, or deficiencies in, HUD reporting practices that could have a material effect on the disposition and status of the CD funds. MEMBER . . . KANSAS LEAGUE OF MUNICIPALITIES - NATIONAL LEAGUE OF CITIES J Kennedy and Coe Certified Public Accountants P.O. Box 1179 Salina, Kansas 67401 May 30, 1980 Page Two ' 5. We have complied with all applicable regulations in the administration of funds received under the CDBG program. Sincerely, CITY OF SALINA La I Don Harrison City Clerk/Director of Finance Keith F. Rawlings Director of Planning/Commun ty Development J c Gebhart Housing Conservation Specialist DH:KFR:JG:mlp • • HOME OFFICE M.J.KENNEDY,C.P.A.(RETIRED) P.O.BOX 1179,SAUNA,KS.67401 E T.SHEA,CPA,(RETIRED) MEMBERS OF AMERICAN INSTITUTE OF CERTIFIED PUBLIC ACCOUNTANTS L v.MERTI.CPA.(RETIRED) OFFICES W.H MONROE,C PA.(RETIRED) KANSAS: PRATT RALPH E.RErtT.C P a. ANTHONY SA. JOHN K E N N E D Y A N D C O E JOHN W.POO-,C PA_ BELLEVILLE SAUNA A ROBERT D.WILBUR,C.P.A. COLBY SCOTT CITY CERTIFIED PUBLIC ACCOUNTANTS •DLEY E.JOHNSON,C.P.A. CONCOROIw SMITH CENTER UNITED BUILDING,BOX 1 179 DON P.p OTT.CPA_ _CPA. GRE DLw ND WICHR" PAUL GREAT intro NEBRASKA: SALINA, KANSAS 67401 ALLEN A.won.aPA ALLEN WEBBER.C.P.A. Hurc NINSON MCCOOK 913-625-IS61 GERALD L HUNTER,C.P.A. MARYSVILLE OKLAHOMA: R.MICHAEL BEATTY,CPA. °" October 28, 1980 WALTON F.CARSON.CPA JAMES R.CRUCE.C.P.A. TOM G.JOHNSON,CPA. FURTIS G.SIEMERS.C PA, The Honorable Mayor Dan Geis and The City Commissioners City of Salina P.O. Box 746 Salina, Kansas 67401 We submit herewith our proposal for the audit of the City of Salina, Kansas, for the year 1980. We will perform the audit of the City of Salina, Kansas, and its related departments in accordance with generally accepted auditing standards and the minimum standard audit program for municipalities of the State of Kansas, under the following terms and conditions: 1. The scope of our examination will not include the Public Library Board, the Public Health Board, the Firemen's Relief Association, the Salina Airport Authority, and the Municipal Band Board for the year 1980. The operations of the Salina Bicentennial Center will be included in the scope of our examination. 2. The audit shall be performed under the supervision of accountants qualified under regulations of the State Municipal Accounting Board. 3. In the event Kansas statutes and/or the State Municipal Accounting Board change the audit requirements for Kansas Municipalities or substantial additional audit procedures will be required, we will notify the City Commission promptly before continuing and request the right to renegotiate with the commissioners the maximum fee. 4. The audit will be performed in part after April 15, 1981, and it is anticipated the report can be issued by July 31, 1981. Certain interim audit procedures may be performed prior to the year ended December 31, 1980. 5. The audit contract shall include general services regarding advice or counsel pertaining to general fiscal, accounting, and procedural problems the City may request during the year. Additional services beyond the scope of the regular audit, including general appli- cations thereto, will be billed at our regular hourly rates. . ' The Honorable Mayor Dan Geis and The City Commissioners October 28, 1980 Page 2 6. Our fee for services rendered in connection with.the examination, including the Salina Bicentennial Center shall be computed according to our regular rates for municipalities; however, our fees for examination shall not exceed the following: City of Salina $10,750 Salina Bicentennial Center $ 5,250 We will be happy to discuss any aspect of this proposal with you at your convenience. If this meets with your approval, please sign in the spaces indicated below. The duplicate copy is for your file. Very truly yours, • Certified ublic Accountants Accepte this 164 day of , 19 fl . Mayor - City of Salina, Kansas / City Clerk - City of Salina, Kansas • • HOME OFFICE M.J.KENNEDY.C.P.A.(RETIRED) PO.BOX 1179,SAUNA,KS.67401 MEMBERS OF AMERICAN INSTITUTE OF CERTIFIED PUBLIC ACCOUNTANTS E T.sHEA,C PA(RETIRED) UT L.M.MERTI,CPA.(RETIRED) OFFICES w.H MONROC CPA.(RETIRED) - KANSAS: P RALPH E.PERZ,C PA. • SA. JOHN BELLEVILLE SALINA K E N N E D Y A N D C O E JOHN W.PODS,CPA. C PA. CONC. SCOTT CITY C E R T I F I E D P U B L I C ACCOUNTANTS ROBEPT O.W ILBUR, ADLEr E.JOHNSON.C.P.A. CONCORDIA SMI TH CENTER UNITED BUILDING,BOX 1179 DON P.OIEOER,C11,C. . GWBIANO WICHITA GREAT BEND NEBRASKA: SALINA, KANSAS 67401 PAUL A.MOTT.CPA. HUTCHINSON MCCOOR 913-825-1561 ALLEN WEBBER.CPA_ MARYSNLLE OKLAHOMA: GERALD L HUNTER,CPA. •LVA R.MICHAEL BEATTY,CPA October 28, 1980 . WALTON F.CARLSON.CP.. JAMES R.CRUCE.CPA. TOM G.JOHNSON,CPA. KURTIS G.SIEMERS,C.P.A. The Honorable Mayor Dan Geis and the City Commissioners City of Salina P.O. Box 746 Salina, Kansas 67401 We submit herewith our proposal for a compliance examination of the Community Development Block Grant Funds and General Revenue Sharing Funds received by the City of Salina, Kansas, as a primary recipient. Our examination will include the performance of those procedures necessary to meet the requirements of the Federal Audit Guides and Standards for the Community Develop- ment Block Grant Funds and the General Revenue Sharing Funds, under the following terms and conditions: 1. The issuance of a separate compliance report on Community Development Block Grant Funds and General Revenue Sharing Funds is required at least once out of every two years for the Community Development Block Grant Funds and once out of every three years for the General Revenue Sharing Funds. The next required compliance examinations would be •for the years 1981 and 1982 for the Community Development Block Grant Funds and General Revenue Sharing Funds respectively; however, annual examinations of both funds offer certain advantages. We are submitting our proposal for such reports in the event the City desires separate compliance reports for 1980. 2. We will make our records available for audit by authorized Govern- ment personnel or representatives in our office during normal business hours for a period of three years after issuance of our report on examination. 3. Our report on the Community Development Block Grant Funds will be completed within 150 days after December 31, 1980, as required by the applicable Federal Audit Guide. Our report on the General Revenue Sharing Funds will be issued no later than March 1, 1981, in accordance with the requirements of the Office of Revenue Sharing. • - The Honorable Mayor Dan Geis and the City Commissioners October 28, 1980 Page 2 4. Our fee for services rendered in connection with the compliance examination shall be based on our normal rate schedule for the persons engaged on the work; however, our fees for the exami- nations shall not exceed: General Revenue Sharing Funds $3,500 Community Development Block Grant Funds $1.800 In the event additional procedures are required to audit secon- dary recipients receiving $25,000 or more in General Revenue Sharing Funds, we will meet with the proper City officials and determine whether we will perform the required procedures or whether the City's personnel will be able to perform some or all of the procedures. If we are required to audit the General Revenue Sharing Funds of any secondary recipients, our fee will be at our regular rates for municipalities based upon the actual time required. We will be happy to discuss any aspect of this proposal with you at your convenience. If this meets with your approval, please sign in the spaces indicated below. The duplicate copy is for your file. - Very truly yours, Certified ublic Accountants Accepted this 2' day of G , 19 / for the examination of the 4 General Revenue Sharing - ^/1 Funds and the " Community Development Block Grant (:;/ Funds. C1.1 , /j A,- Mayor - City of Salina, Kansas 1 • City Clerk - City of Salina, Kansas -