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Audit - 1947 ;:}',::;, ;.,.' tl>tli:v'.;.,'\"';i\s.:::; ~':'1~'':;:_'::':'l'j~':..;~,j; ,...::.:.,'i-;,~;'-\~':~,I/.' ;.-;;..."W "_ ' ..--t ....~.::_..._, --.,;'.>.;..".-'.. '+.,,"',,. ,.', -- CITY OF SALINA. ~ ,< J'IlANCTlT. RER>RT Cover:B the jiiod trOll Janusi:-y 1. . 47 to . cemper 31. 1947 ,t ::~ ,i' )~';c ii, ::ti ;i~ .~ CERTIF~~goo~m ~&T.TtlJ., DNS~ fJ~ ),',: ~~ 7\ ~" '~:rl: , ~-' ,,- ~~ ~~f'! . "j,.:'''':'',.,:,.,.. :,. :.~,:,.",'",." <1:"t':>",~ ,.:c,'J~'io,:J;.:>..;-:.." <" <~~':, .3-"1,'., \\;. ,I.t" .'; .. ': "}'~" ~ ,;','<r~:;,: it ;". ~]~. ~, r-"....i",." ~.""'~"".:",~':. '.",,>. ..'~~' ~'i~ 91 ~;..'.l..,;u,~r~t~~ *-l..U~i -- ~ts 1. ~I 1 - 19 ~W.';,'.f... ~ ~Jto'Mrntm* at He.ipu. DblNr_ato. TraDatora and. Ba1Amwa of Cae:h and ID'f'811...... "0 ~.. of l.otual ;~p. ~ltil ~.., ~l ~a....t ot&)CJ;IUd1~. ad ~. ~ With 4ppt-Op1'latl.... and ~_ Ouh :a.le...t 0100e of 'feu' 22 Ouh in. Cws'OCb' fit Oily ~r aJ l__~U U'l ow.~ of 01_ ~u.rw 24 ~ an4 lle~1u..t1oa or 1'46 Tu nou GllOWlaa; \'a.aIM. -_ alld Col~ 'b.J the Oowl.W ~ and "11eotecl Bft1.tutMe 2S Me__.' or 'luM nit_ y1ll4 b-orI o.a., f.hIuW'el' ah~ Year of ~. fIa4 Di..i.t!_ . J\a.\U _ liluda ., ..,.'Flfllllut 26 Sxh1bl\ ;"Jalt &D.1 b1" ltClll Jbh1w., -l)1l Iahlbl' ; .j:;tf JbiblbJ.t ;.11'- lbdUbJ.' ,*0- BiIblW.' "WU. law.W.-' ;"i~. C1e.l'k of the 01'" 0c:Ml't .. tita..... of '..1>>_. Pl........ .a i.lrI1An.. or 0IUJh 1f7 ~ at JitoUoe ~. 1~1J 28 ~...". or the 1teoarr4e of the 01. Bu.:1141_ lDap.1Iol> 2tJ ~ri... of ~toI7 Baatl8 amd .1a... of' l1epoelM 30 I1deU1iV ~ :la :r__ 31 X~ in Farce 32. 33 .'1...... aeceivable ,It s.___., fit JloIaded Indeb...... 35 f:l"""." of ~~...... 36 ~l 1tmd .. Reoelpta. l'U~a. and .1eMa or IJb1bt" '.111- BaJd.bl' -.;r- &1dU.blt; .j!~. &rh1w.t i.M- lbbtbl' "If'" &ahlbl'.OIf ~1.Jd. ,_:ruf ~'1. UaPh :n &Jb.edul. "Wit ~ J\aM -Detail .01: HMGipti! .. lJ.oene_. FMe an4 PaW.u )8 -.;~>:t>'~;)"v."~:,:!~;,~';\.>2~+;~:;' .,'f;,' :' "7:; ..I";~<v:.~ '- Schedule '!l.-~' '" Schedule 'l..e' Schedule · J.,..D' 8ched1i.le .1....E. Schedule '1;;'']'' Schedule 'l-G' ~ ~ Sohedule 'l-Hf' .., Schedule '1-X' Schedule 'l-.T' Schedule '2' Schedule '3' SOhadule '3...&' Schedule '4' SChedule tl~' ;,:; ,i~ Schedule '6' 11>,: Schedule '7' Schedule '8' ~~ t Schedule '9' Schedule '10' ~';! ":,;~,,",".~~.~;,:;',,.:-,"'.! CITY OF SA~. KANSAS INDEX ( Continued) GeIl,aral Fund - Detail of Disbursell:Jents ... Admin1stratt1le and Finanoe Department General Fund - Detai 1 of D1sbur8eDJ!lnts _ C1 ty Court Department General Fund ... Detail of Disbursements... Police Department General Fund - Detail of Disbursen:ents _ Engineering Department General Fund - Detail of Disbursements ... Milk Inspections and Health Department General Fund - Detail of Disbursements - Legal Department General Fund - Detail of Disbursements - BUilding Department General Fund ... Detail of Disbursements ... Garbage and Rubbish Removal Department General Fund - netail of Disburse_nts - Parking lIIeter Department l!'ire Depar_nt Fund - Receipts, Disbursements- and Balances of Cash Park Department FUnd - Receipts, Disbursements and Balances of Cash Park Department Fund . Rece~pts, Disbursements and Balanoes of Gash... Swilmning Pool Memorial Hall Fund ... Receipts, Disbursements and Balanoes of Cash Sewage Disposal Fund - Reeeipts, Disbursement s and Balanoes at Cash General Iinprovement Fund ... Reoeipts, Disbursements- and Balances of Cash Water" Light. Heat and Power Fund - Receipts. Disbursenents and Balances of Cash A1rport Fund ... Receipts, Disbursements and Balances ot Cash Genetery Fund ... Reoe~pts, Disburs$ments and Balances of Cash Street, Alley and Sewer Fund ... Receipts, Disbursements and Balances of Cash Page Numbers 39 40 41 42 43 44- 45 46 47 48 49 50 51 52 53 54 55 56 57 ."'. ,.,...",>_..~..,'''' 'U.<"",;:',,, '~,,'1~' ~f'.';;:". \.\',' ~;.~",~ii"'"",,~,.r ",;:I~.'.:.,~.. #. '.l,' ~',':!,.Jt,:.'-' ~,__.~t,""~' '"'~l'~:',. ".:~W;':~"'C :~1;-., -, "u"'l, ,,=!;,:{,_, "'-'C-,.,,,t ",', >"~ ,', - ,..' ,\ :/<,",,:.. ~"",~ '~,,' ",':..;%. f CITY OF SA.LINA. KANSAS INDEX (Continued) - Schedule 'U' SChedule '12' ~ - Schedule '13' Schedule '14' Schedu.le 'lS' SChedu.le 'lS...&' Schedule '15-B' ocuedW,a Jllb:' ~chedule -17>1 Sohedu.le -18- Schedule w19w Schedule '20' Schedule '21' ..., Schedule '22' Schedule '23' Schedule .~24' Schedule '2S' Schedule '26' Page NUmbers Public Health Nursing Fund .. Rece::Lpts, Disbursements and Balances of Cash 58 Band Fund - Receipts, Disbursements and Balances. of Cash 59 Library Fund - Receipts, Disbursemen'ts and Balances of Cash 60 Bindweed Control Fund .. Receipts, Disburaements- and Balances of Cash 61 Trust and Agency Funds .. Receipts, Disbursements and Balances of Cash 62 Firemen' s Pension Fund tiIo Receipts, Disbursements and Balances of Cash 63 Police Relief and Pension Fund - Receipts, Disbursements and halane~s of vash 64 J.ndustrial Deve1opmen.t .I!\md - Heceip"ts, lJisbursements and .balances of uash 65 Special Fund 111 Lieu of Banda _. Receipts, Disbursemen'ts. and Balan~es of Cash 66 Jaond and Interest Fund - Receipts, Disbursements and Balances of Cash 67 Waterworks Departmant Fund - Receipts, Disbur~nts and Balances of Cash 68 Condemnation Funds - Receipts, Disbursements and Balances ot Cash 69 Construction Fund .. Receipts, Disbursements and Balances of Cash 70 Income Tax Fund - Receipts~ Disbursements and Balances of Cash 71 Bridge ~ Street ~ld1ng:Machinery and Equi:plD3nt Fund .. Receipts. Diabursements and Balances of Cash 72 State and Federal Tax (Swimming Pool) - Receipts, Disbursements and Balances of Cash 73 Parking Meter Receipts Fund .. Receipts, Dis~sement8 and Balances of Cash 74 General Fund Receipts Paid in Advance - Receipts, Disbursements and Balances of Cash 7S >.l"F"'~!/;.":~~.,,.S:~~, l~"'*\t._::."j>.}n::.~"I' '~!~." i':.,', ;:;~:' f;';~/.~~,..iJ;."';f~;'", ~;.,;,/_;~i:i, '~;::":f".~{'-,>.;f:"\< ' .' ;;J''-':''';J..~;;~;~c_ .'!:~+~~:j;'-':~ "';~~~ .;':.~, ~:;~i.c ."~' ~ '".~fr:.._ ,~- - .,/;.-,'_;' b!i';.~~ ~.' ,'<<l~.l'- '-- Schedule "Zl" Schedule "28" Schedule "2911 Schedule D29-A" Schedule ft301t Schedule "31" Schedule "32" Exhibit "A" Exhib it lIB It Exhibit IIB-1" Schedule "1" Schedule It 2" .''''\~J.::l'!J\''' ~t../,':..~'~'< \*(J~~?":~':,,,,-:,:;,;; ~, CITY OF a~t:IBA:. KANSAS INDEX ( Continued) Pege Numbers Veterants Housing - Receipts, Disbursements and Balances of Cash 76 Stores Account.. Receipts, Disbursements and Balances of Cash 77 Cash in the Custody of the City Treasurer and Reconciliation of Bank Balances .. December 31, 1947 78 Outstanding Checks.. December 31, 1947 79 Gash in the Custod1of the City Court .. December 31, 1947 80 aeconciliationof Salina Fiscal Agency Accounts .. Out_tanding Bonds and Coupons 81 Water Department.. Receipts, Disbursements and Balances of OaBh 82 WATER DEPARTMENT FUND Comments 8' .. 8$ 89 99 91 91 9~ Balance Sheet Profit and Loss statement Operating and General Administration Expenses Plant and Property Accounts Insurance as in Force December 31, 1947 '.".' ." >:.~, .; lfi,~... ",;';~',;;,';"f.:::,k.. ' ~ ,.' ' '";j '. _<,,,'~~.':,t..~'jl!f .1"';,:\ '. '-t.., 1 -- To The Mayer and The Board ot City Co_issioners, SaliDa, I8.Dsas. Gentlemen: Pursuant to your instruotions we have made an audit of the books and records of the City et SUina, lansas ooyerlne the year ended DeC8llber 31, 1947 and DOW submit our report thereon. .1 separate section at the back of this report presents CCIlIIents, exhibits and schedules coyering the operating results of the Waterworks Depar'taent during the year UDder review. soon OF THE .QJD}:'J; The audit was pereo1'l1ed iB accordance with the general and specific requirements of the MinDUIl Standard Audit Progress approved by tbeState Municipal AeoountiDg Board, NOT_ber 31, 1935, and as rwi.ed October 25, 1940, and included an 8X8D1ination ot the records of all City ottices and otticers except the Municipal Band Board, the Public Library Board and the Public Health Nursing Association, which Boards receive money appropriated by the City but have exclusive control over the disbursements of both the amounts appl"opl"iated to them by the City and other money whieh theyllaY receive. We were not authorized to audit their activities and DO report 1s being rendered OD thu. .it;l,)\":-;::,\",,J.;:_;; ../~...!'-:'~~~' ",w;::~;~~";',;;~ - _ ..,':<':;j'~:r- __,' , ti;-.\i.jl".~ ;';"'):':;-':i '~',.~.4.- ",~ .'"l,'_V.," ",':':<~;j'.,.>~"_l:^:'~~.'4...),,..';\J,' ...._ ';-",.~:'<... '.~" ~i ..., .,,!."1._' ,.,,--It,<, . 2 ~NT~ The following comments are presented for your information. SUMMARY STATEMENT OF RECEn,:S. DISBURStFlfENTS. TRAN~S AND BALANCES OF CASH AND INVESTMENTS - EXHIBIT "A" This exh1bi" shows fund balances at the beginning and end of the year together with receipts, disbursements and inter-fund transfers during the year, the composition of the total funds in the hands of the City Treasurer are presented at the fooa of the exhibit. The cash receipts and disbursements together with the Dece.ber 31, 1947 bank balances are shown in Exhibit 11])11. The detail of increases and deerea.es i. the Fund Inwstment Accounts are given in Exhibit liE". Reference is made on Exhibit 1I!1t to the eEdbits and schedules showing a detailed analysis of the various fund receipts and disbursements. COMPARISON OF ACTUAL RECEIPTS WITH BUDGET - EXHIBIT liD" This exhibit presents a comparison of actual receipts with the anticipated receipts for each fund together with amounts of excess or deficiency in receipts as compared with the Budget. Actual receipts exceeded anticipated receipts by $50,224.80. STATEMENT OF EXPENDI1URES AND ENCUMBERANCES cx:>>fPARED -.JTH jPPaOPRTA'I'IOIlS AND UNENCUMBERED 9ASH Bl,.lTiCES .ALClDSI OF YEAR - EXHIBIT .~ This statement sets forth the cash disbursements charged against each tund together with the adjustments for beginning and ending period enCUJllbrances thus arriving at the aaaunt chargeable to the Budget. This letter amount is c~pared with the actual 1947 Budget figures. This exhibit also shows the funds balances at ])ecember 31, 1947 together with the enCUllbranees and unencumbered fund balances at that same date. SCHEDULES 1 .11 ..is INCLUSIVE These schedules set forth the detailed. receipts, disburs_ents and beginning and eDding balances by funds for the year under audit. A OOIIparison "il;io:;' "";-i~:- ',' ":;"~.;i.~'t:t:, H; ,_i'~, :,,~\, ~'-{, ~',' .;:~ '::,,~..>;.- i;~":~i:"f,';:'" .:." '"hi;; n".--,"''"' ",:"",/~,;.".j;-;~ 'Y'''c, ,"", ',?"...,': ,4 ,,.~; ....'j;"k',-_~ _ ,~~,;"",,; .:::..'j,_{'*.:~ .3 .r actual receipts and disbursements with budgeta.ry aIlounts is shown for all funds incJ.uded in the budget. - Salaries paid to officers and regular employees durjJ:)g the year 1947 were found to be in accordaneewith the rates specified by ordinances and the limitations prescribed by the statutes. GENERAL WND - Schedul.e n;rn Receipts or the General Fund ex.ed those of the preeeeding ye~ by $9,488.29 and disbursements increased by 119,808.51 as shown by the following tabulation. Balance, January 1 Receipts Sub-Totel Disbursements Balance, December 31 1946 -"'- $ 77,770.30 149.l.45.l4 i 226,915 J.4 ~i~~:: 1947 . 84,155.64 J58.6~.43 . 242,7. .fY1 162.568.31 $ 80.220.76 Inc..(Deareased) $ 6,.385.34 9.488.22 . 15,873.63 12 808 ~1 .~~:9]~8~) The 1947 General Fund receipta were not classified under the various depe.ll1iaeate used in 1947. Consequently DO analtsls of the increase in receipts WaS Ila.de. The following SUIIIIlary comparea the various General Fund departmental disbursements for the year 1947 with tlaose tor the preeeeding years DePartment Administration &: Fina&ce City Court Police Eng:b1eering Milk Inspe ctioD &: Health Legal BllUding Garbage &: Rubbish Removal ParldDg Meter 1'46 ~ . 25,242.78 5,379.-25 57,044.50 9,465.10 6,256.26 3,382.65 3,290.45 3O,m.95 2,506.86 Total $ 142.759.8Q Acwv. ~i8bur8e_Dts ~947. Indr8ase $ 28,690.77 6,000.39 59,490.20 1l,J.P1.92 7, 'Zl'J...o5 5,709.05 3,376.41 37,2$7.15 3,334.37 . 162.568.31 . 3,447.99 621.l4 2,445.70 1,942.82 1,015.79 2,326.40 85.96 '1,095.20 , 8'it1.51 $ 19.808.51 't.;:\'",,':1' o,:~t;r,;...l'l_': ,~~ii,.\I!<~~ ~"~-; ~.;;,;.,;t._,::'lk>;\:.! ,y' -':~; .~:",),:::'-<~-;:';';'.~;~,': ',::,rQ..';":".~'i'-':, ,;~<,,;:,\'-,;~':;,~;< :\,~-~' .,,:!. ,~l ,,~ : - ;~'J;'" ,~~'~ " ;,'t;~,,:., _ ,'~~, ,,'\'..i>,.,' ,"':'i";'~"'C,, .>~~~~:. '"it>:'. :'N;-, ';, .tif".(< !,;-bl;,-;' 4 During the year the City collected $26,6'79.40 t.rom licenses, tees and permits, a'l1 increase of $6,468.70 over that collected in 1946. Schedule -.1- presents thec1.ass1ficatioD of the various fees, licenses and permits and '- ooapares tham to the budgetary estillates. Franchise Ord1nances in effect during the lear were eX8ll1ned. In each case receipts were found to be in accordance with the ordinance and franchise agreements. The amount due from the GaB Company tor the last half' of 1947 amountbg to $1,336.96, was received by the City in the early part of 1948. Th:1s receivable is shown :In Exhibit -P. 81ie. court fines and forfeitures in the 8I1Ount or $31,526.00 were 1mposed during the period. This re}'resents all increase of $4, 234.50 over the preceecliDg year. J. statement prepared frOIl. the police court records 1s subm.1tted in Exhibit nI.~ all but $763.00 of 1947 assessments were settled during the year. Distribution of the C1aarette Tax was checked to the County Clerk's records. Cigarette Tax Distributions for the last four months had not been drawn. Receipts of city Cclmrt costs and tees amounted to $2,147.06 and were traced to the records of the City Court as sho1l11 in Exhibit IIHIt. ~~ FUND DEPARTMENTAL DTSJUlRSiENTI The detailed departmental expenses are compared with the budget estjates in the scheduJ.es listed below' ldJII'nistrative & Finance Department Ci1;y Court Depertalent Police Department EDgineer1Dg Department 1I1lk !nape otion & Health Department Legal Department BuUding Department Garbage & Rubbish Removal DepartJaent Parking Meter Department Schedule -l-B II Schedule -l-C" Schedule III-D" ScheduJ.e "l-E It Schedule -l-F" Schedule 111..0- Schedule "l-HII Schedule "I-lit Schedule nl-J1' .. :, ".':'~'?";"''i'l... ': ,'_ ,. !',,"~::..~;," ""'<;;[.!"~:'-\'~.J.. .'~_" ,j. :i.':,;"i,.~'.:_. "'.:.~t; ;--.'",. ",.,..w>c .:'..',:I",,,!. ,~,-_'"'L~:;'.;",,,-,f ,,~:.,;.?.' t __', 5 J.ll payments were traced to the related warrant aDd over .30% of the disbursements were compared with the vouchers. Ito irregularities were found. - FIRE DEPAR.TMENT NND - SCEE~ a,2D No attempt was llade to make any reclassification of the items llharged to materials and supplies. Nothing worthy of cOIlJDent was discovered. FARK DEPAR1JLENT ;UND - SCHEDULE a.3. Schedule a.3-A- shows the detail of receipts and disbursements tor the swi--t"g pool aDd is COIlpared in totaJ.s with the preeeeding ,-ear as follows: Year 1946 . 7,48.44 5.4~S.82 $ 1.959.6.2 1947 $ 7,69.3.62 4. 572.51 $ ~.12l.lf Increase (Decreased) . 275.18 JeS6.~l ) $1,161.49 .' Receipts Disbursements IncCllle JF.MllRTlT. IIIU. FUND - SCHEDULE a4. A coaparison of the 1946 Rental and Conoession receipts with those of 1941 is shown below: 1946 Rental and Concession 1947 Rental aDd Concession 1947 Decrease 1lDQer 1946 $ 3,290.08 $ ~.t~:~ SEWAGB D~SAL PUND - SCBJl;1:!JTR -,~.:: Bothing worthy of . ot8Ient found 1n this fund. GENJRAL lIIPROVTamNTS :reND - SCHEDULE a6- The incOJlle trOll this fund conaistsmaiDly of ta:x:es including ad valorem aJ1d special dse.Sllents for weed cutting. All tax receipts were conf'1r_d by iBspection of Saline county's records. W6fER. LIGHT, RR~T AlfD roWER FUND - SCHEDULE .7. JJ.1 transactions in this fund were found to be 1n order. & TRPORT FWD - ~CEDULE -e- Receipts 1n this' tand consisted of taxes and rents. .&l1 disbursements were found to be properly apprOTed. ':\j:'~~>,:.':,!.':'_.~ ;.".(" ;_:\w"..:~:',. ..0;';' , ""'~'" ~>!."ti-\'~:;~ "/.,, 0;:_'0" -,m< ' ",;.I,;.~~, .:,-,..,:,,<~::;.;' ~.~,; '.~', ,i.~~,';:'" '~S;" --. ,~~.< ;! ."",J ~IlfJ;"'::'~I~;I;. ',r:!;, :'t>;lc/";' J~,'-/1. ;.'~ "~'Yi~:'.':/ _.i:..:;,i,t. ,-~:':"~;,~,fiK',,'i, ";i ''''-:,'-'1' ,')o::.;,t.'\. "f " , -~"fit..,., 6 <DETERY JroND - scgIEOOIiE "~It Verification of Lot and Space Sales was made from the Deed Stubs and checked to the receipts record. All transactions appeared to be in order. STREET, ALLEY IJID SEWER FUND - SCHEDULE "Ion No irregularities were found in the examination of this .fund. PUBLIC fmAT!rH NURSING FUND - SCHEDULE "U" All receipts in this fund are frOID. taBS and all disbursements were made to the Salina Public Health Nursing Association. YmLiUND - SCEEOOLE "12" TaDS are the onl,y receipts recorded :in this fund and all disbursements were made to the Sal:iDa Municipal Bank Board. LJl3RARY JroND - SCHEOOLB "1311 TaDS comprised the onJJ" receipts to this :fUnd and all disbursements were made to the Free Public LibrElJ':Y Board of Salina, Kansas. BINDWEED (9NTROL :roND - SCHEOOLE .~. All vaDSaetiohs in this fond. appeared to be in order. TRUST AND AGENCY WNW - SCHEDULE "15" statements of receipts, disbursements and balances of cash for all Trust and Agency Funds are included separately under the above schedule. Supporting Sehedu1es 11S-"A" and "lS-i31f set forth comparisons of cash receipts and dilbursements with budget estimates tor the Firements Pension Fund and the policemen's Relief and Pension Fund respectively. The balances shown to the credit of these Trust and J.8ency Funds on this schedule represent cash balances and do not include the investlPents owned by certain of the Funds. These:fUnd investment balances are shown in Exhibit "E". ,~~v'14~~_/;:', ,~~V'.:'~" i?%~. " >"~" 7 --- During 1947, the Firements reliet fund received ~ents in Insurance Refunds in the BIlaunts ot $2,48'7.11, $2,22.3.26 and $,4.211.54 tor the years 1944, 1945 and 1946 respeotivel1. fhe classification ot the various receipts aDd disbursements ot the Trust and .Agency Funds ~s ..t torth in a self-explanatory manner and it 18 telt no further OQIUII8tlts thereon are needed. . . ParticuJ.ar attention is called to the tact that the balances ot Firemen' s Pension Fund and Police Reliet and Pension Fund as shown on Schedule "15-A" are eaell over $10,000.00. IJIUSlRT iT. DEVELOPMENT lUND - RCHEllJLE -16" All receipts were rr_ Taxes and Disbursements oons18ted solely ot the aJlaunts due the Salina Chamber ot c...roe":at December 31. 1946. PEonT. PUND IN LIEU OF BONDS -SCHEDULE a17" This fUnd was created in 1946 with the pu-pose ot leT11ng ourrelltly tor the 01 tyt s sb.a.re ot IIlP:Gveaents aade instead ot 1asuiDg bonds theretor. All receipt. were tr_ c:nrrent Ad Valorem Taxes and all Disbursements were made by transter to the construction f\md. BOND AND INTEREST PUND - srnmooIE alsa Receipts ot this Fund include ad valore. taxes levied tor the pa.yaent of p:'inoipaJ. and interest on general bond issues and tor the payment ot principal aDd interest on the Gityts share ot Special Improvement boDd issues. The proceeds ot spec1al assessment taus assessed. against property oaers tor the retirement ot principal aDd P81Mnt ot interest on bonds issued to tinance ownerta share of tI:le coat of special :1aproveraents are also included in the receipts ot this fUnd. nTERlIORKS DEPARTMENT - SQHEDULE a19. This schedule shown a suaary ot the receipts and d1abursements of the waterworks J)epe.rtaent, which oleared through the CitY' Treasurer during the 78ar. The balance shown at the end ot the year consists ot :<;~~jj only and does not inelude ~" ",i; i.;f' :V~~~{i;;;;: ;~, ." :'j}'~\~'~-"it.,,~ ";s.~,';:~. 'J4,:~~' '.;; ~'.. ',.,:, "_' ',,;.. "' . <_: I ro;,.~ ,",'.'.'l',' _', , investments owned by the Waterworks Department. These investments are listed in detail on Exhibit wE". Add1tional cOJDments, exhibits and schedules pertaining entirely to the Waterworks Department and. submitted in a separate section at the back of this report. It should be noted "a.:'.h collectiou by the waterworks Department on December 31, 1947 amounting to $188.00 and a cash :tUnd of $700.00 maiBtained in the Waterworks Department office are not renected in this fund or on any ot the other fund records at the close ot the year. .l sUJIIIII.at'y of the Waterworks Department's cash and investments at December 31, 1947 is shown below: Cash :in the custody of the City Treasurer Investments in the custody of the City Treasurer Cash fund maiDtained in the Waterworks Department Office December 31, 1947 collections transmitted to the City Treasurer subse~ent to ~ber 31, 1947 Total Cash aDd Investments $ 26,173.20 301,.." 700.00 188.00 ,,28.561.75 OONDllJlNATION MD - SaIEllJIE -20" Receipts wre tor CondeDation aDd the account balance was closed to Bond and Interest at December 31, 1947. OONSTRUq'JION l!UND - SClflilJ!JT,E -21" The various Construction frpj.cts accounts are grouped under this schedule and the receipts, disburse.ents and baleXlces of each construction project account as well as the total receipts, disburseJllents ancl balances of all conattaction project accounts are shown therein. INOOIIE TAX WITHHELD FUND - SCHEDULE "22" InCOlle taxes withheld from employees throughout the Jeer are recorded in this tu.nd and period1cally disbursed to the Federal GoverIIIDeDt. The balance at December 31, 1947 of $1,561.50 represented taxes withheld but not yet transmitted to 'tlle Federal Government. BRIDGE OR STREET BUTT.DING JUCHINERY AND E9lJI8IENT FUND - SCHEOOIE "23- A tr8XlSfer of $4,483.98 trom the street .Iller and sewer Fund was the onJ.7 receipthto this f'und during the '18~. Tools ancfEqui~t purchases amounted to Iic.;';'.""\ie~;l. ,',...'fl".....~Z.l'fJ\'~. ~..d'~'~W'~"..;H~lP'"r;r..;:~>:ila..'''.~"m,*f~".~,","llc'..Sll.ii'>""~..<lfo._"._.::,__w,.'l~"''''.,."1',""., ." :<,"""""T'<.,'",, .., ",.,,,,,,, T','." ','. ,...,,_.. ~ '"'." _. _, "~.. ~rJr,:k.~~,:l,~,'':'~~',?~:~,~'i:--!!/i'~f,.''~t.;~~,~~"-~.,,_.",,,.t>%~~''1",:.o'-'''~"'''''~''-t,...,-,'~..." ,::..',:l....:...-.,.-....' ""';""'-"', '.'" ,'_ , _,' _ ~, , " 9 it to $11,011.72 in 1947 and at the alose of the year the 1ID8Xp8Dded balance aIlounted to $2,.300.00. STATE AND FED.ER1L TAX (SWIIIMING FOOL) - SCHRnm.1l. "24- Collections of state aDd Federal Taxes on the swilmiDg pool activitua are recorded in this fund J;rior to their disburseaent to the proper authorities. PARKDG METER RECEIP.rS FUND .. SCHEOOLE "25" A portion of the parking meter receipts during the ,.ear 1947 were re- eorded 111 thiS fund and disbursements were _de for Salar7. GENERAL :FUND RECEIPTS pAm IN ADVANCE - SCHEDULE .26~ The balance at J~,. 1, 1947 representing ~.nts received. :in 1946 covering fees, licenses aDd permits for all or part ot the ,.ear 1947, was transtered to the General Fund. Such adYance payaeuts received. in 1947 applicable to the year 1948 were recorded in this aocOUDt peDd.iDg the close of the ,..a:r. STATa!ENT OF IN~F.l~8. DEaRF.l.CW.s AND BlT.AlfCES OF INVESTJlENTS TRUST AND .AGENCY WNM . SCSlEOOLE WZ11t There were DO acreases in the investments ot the Trust and Agency J'lmds during the ,.ear. The oDly decreases in the :Investments dur1ag the ,.ear resulted fJ:'oa the Ilaturit,. of $24,500.00 Bond's OWDecl by the F1remen's Reliet Fad. C:l.cm IN THE WSTODY OF THE CITY TREASURER - EXHIBIT "D" Under this exhibit is Bho1fll a summar,. atateJaent of the treasurer's cash balance at the begiQQ.1__g of the ,.ear# the receipts and disbursements cleariDg the Treasurer's bank aocounts during the year, aDd the Treasurer's cash balance at ,i ;~ ~ ".i the close of the ,.ear. Schedule '28- shows the reooncUiation of the bank balances contirmed to us by the depositories with the Deceaber .31, 1947 balances 011 the Treasurer's books. A l1st of the outstanding checks at that date 18 set forth in Schedule 1129-.1-. In accordance with the cu.stomary J;rocedure, the Cit,.'s books and records ~~" "1",~,~, i'<<..,:",'~.':~;~;'.^';'..';ti"-:;~ ~,;;~~',~'J ,\ t;, "<,,. ,,~ ',.,... , "'::"'':,'::;)', ",:,,~:c, '1\" ,:'..'t;., ",'. ,,'~:,1 ;:;..~~.' 10 --- wre net closed UIltU a rew days attar the close of the year in order that all receipts aDd disbursements app].ica.b1e to the year 1947 Ilight be entered. The 1948 deposits shown on this reoonciliation (Sehedulelt27l1) consisted of collections applicable to the year 1947. INVES'l'MENTS IN CUSTODY OF 'I'HF. CITY TREASURER - E!HIBIi' "E" This exhibit ..t. forth a comp].ete description of the invesaents in the eutod1 of the City Treasurer as at the "C"..i'Qg aDd c10siDg dates of the awUt period together with details of the chaDge in investlBenta during the period. Investments in the cu.stoq or the Treasurer on April 21, 1948 wre Ter1t1ed by _pediem and charges therein duriDg the period :O.-CIl Deoember 31, 1946 to April 21, 1947 were received by us. Interest eoupons on bOl'lds were properly accoUted tor aDd the income trom investments collected ch:Iring the period was traced into the recorda of oash received. T.1IES The Cityls share of the 1946 taXes oollectecl by the County Treuurer W&8 traoad ato the various City of Salina 1947 Fw:ld Tax Accounts Ila1Dta1ned em the records of the Salina county Treasurer. Jr. the records 1Ia1llta1ned by the County Treasurer aDd withoa.ta detailed 8'Q,Jl11Qation, it appeared that tae CO$1;y had diatr;fbuted to the City its share of 1946 Tax Levy Collections together with collections during the year on taxes assessed in prior periods, aDd that these distr1butlons were Ilade to the City on the basis of the tax levies for the yea.t"s in which the collected Taxes wre levied. It was determined that the City..ec11tecl receipts from the County Trea.surer to the City Funds on the Salle basis. The County Treasurer's aJ.locations of sales tax residue to the City appeared to be in a.ocordance with the statutes. :\ ..;' ., \& $ :i;; ~I "i\ . . '~~::jjr,~\",; ""':"~<~~);.''''','' ~~-' Jt1..~;:.it:~..ff~~'J> ",:_,,;:...,~~.;,,\~,..~\:...:t;~, ~:"~';: '.:,;i,_, \ l~',...~:.. .,,:l:*,~!.::"i':h'l:-'.-<>t>~'. , .' ~","", , ,":.:>. <' ;' ""1 , ,,'J' ,;' -!".., ;.... .',' _' .., '!' .' ,-... ,.;:,~, -""','" ""':~','_.,.J SllMllt.RY AND REOONcrtTl'l'ION 0'19# UX ROLL SHalING TAIF~ ~D AND oor.I.li;CTED BY THE OOUNTY TREAStJRF4\ j!gLY1!OOLLECTED BALA..lI{CES - ElBIBIT uF" This exhibit sets forth the original tax roll applicable to the City of Salina, as certified by the County Clerk to the State Tax COIlDlission, is adjusted for additions to the tax roll, taxes refunded by the County, and t&Ds remitted to the City, for the ~pose of developing the amounts of 1946 taUs asseseed but not oollected by the City. The amount shown as not collected by the County Treasurer is in agreement with the County Clerk's records. STATEMENT OF T I XFS RECEIVED FRCIl THE COUNTY TaEA.ctURER SHOllIl<<.L ~"R OF JSSE&<J4ENT AND DIeBRlBUTIONS TO :roN.IG ON BASIS OF ASSESSmNT - EXHIBIT UG" This .tatement shOWlS the total aJIIOunt of taxes received by the City during the 7el# 1947 and tbe )"ears in which such taxes were levied by the Ci t7. The allocations to C1 ty funds is based on the tax levy for the years in which the collected taxes were levied. Includ.. in this exhibit is an ana).ysis ot delinquent, current, tangible and intangible taBs received. The individual fund statements of receipts, disbursements and balances of cash for tax levying f\mds, Schedules Ill" to "18", inclusive, shows the total ad valorem taxes received by cash taz levying fund. StDDIARY OF ACQ)~NTDlG PROCEDURE AND VERIFICATIQL OF RECEIPTS .AND DIS3URSFl4ENTS OF CITY CLERK AND CITY TBRA~KR Receipts: The City Clerk and Director or Fin&11ce is the principal collecting and aceOUJltiDg otficer. All items or cash received, except ta.x:es and intrequ.ent collectiona received directly by the City Treasurer, are handled first by the City Clerk. The City Clerk and City Treasurer are provided with standard triplicate receipt torms numbered by the printer and a receipt is iasned for each individual collectioD aade by these ottieere. The Cit7 Clerk deposita collections JlS.de through his office OIl the aT.rage ot every two or three days, and a test eheek of hie records indicate that his collections .re made intact and promptly. 11 ,\~Jlt~i~\~r:'";''tt Z:.~i";/,"~~,,i};, ~;~! - . ":;:,,,,~ ';;,~:::;i:.. . ,oj; _ '"r/.-';'_':'::Ii,...1t;..~, ....;: ,.i!;,i., _~",\ ;;"."~:" "l~'''''''': 12 The City Treasurer recports each of his collections separately to the Clerk 8Xld such collections are recorded on the Clerkls caah receipts record. The City Clerk's records, indicated that the City Treasurer had promptly deposited all SUIIS of aoney coming into his hands. Duplicates of receipts issued during the audit period by the City Clerk and city Treasurer were traced into the Clerk's record of cash received and the mathematical accuracy of that record was verified. The auditor scrutinized the fund claSsification of the receipts as shown on the Clerk's cash record, for verification of fund di.etribution aDd the classification of receipts within the funds was test-checked. Monthly totals of tund receipts were .tareed from the Beceipts record into the f"ond ledger. The entries in the cash receipts record were also traced into the receipts analysis record, and that record _8 prca'Pll to be Il8.tbematioaJ.ly correct. Records of licanses issued and other available evidence of cash received were also traced into the Clerk's cash book. The collections of the City Clerk were traced into the Treasurer's bank aocounts. Colle ctions of the Treasurer were also traced into his various bank ;aooounts. The three local banks were approyed as {~ depositories by the Governing body -on JUM 19th. 19.33. A count of oash on hand in the. office ot the et t1 Clerk was made on January 2, 194'.8. All 1948 deposita appllcab1e to the 1881" 1947 were entered on the books as at DeC8JDber 31, 1947 except thelrater Departaent collections on December .31, 1947. Certain collections, Blade in 1947 were applicable to the year 1948 and are shown in a separate Fnnd called 1948 Receipts Paid in Advance'. Disbursements a Approma te1Jr .35% of the clam vouchers paid during the yee:r were axamiaed and test checks of posting. and exteDilLou wre Dl8.de. Clah vouchers wre traced into the Clerk's warrent register, aDd the tund distribution was test-checked. No voucher was tound tor ~ent made to Aetna Life Insurance Company, tor payment of Firemen's Life Insurance Pensions. The matheJDaticeJ. accuracy of the City Clerk's warrent register was proven and the fund totals of each appropriation ordinance were tr~.aed into the fund ledger. Postings test- ,",,' "'.:::. ;-,~."_'" "~:(,,-~- ';',:."~,~';'::;,~{.t''f.j,~;,,. '>'- .~f.l-'.~;:~.;'~",:,,; ,..'t...." ...., , ,....,:L .~.-.;~.... ". ~,_~~;, ."_..' . ,.....I..S'... ''''';'...f'I'''''f-'''''' 13 checked trom the Clerkl s warrant register to the disbursements analysis record and that record W8.8 pr:"oven to be I1athematically correct. ------ The City uses a warrant f'orm for making disbursements, which becol1es a check on being signed by the City Treasurer. The Treasurer uses a rubber atamp f'ace1aUie 01' his signature tor this purpose. All checks sancelled during the year were examined and traced to the appl"opriation ordinance record. Fund Ledger: The tity llaintains separate fund accounts tor the cash and investments of each city Fund. Postings to the Fund Ledger were traced trOll their course into the Fund Ledger, and the mathematical accuracy of the ledger was pr:"OTen. Fund Ledger balances were computed and a trial balance was abstraoted !'rOil that record. Treasurer's Records: The Treasurer's record of checks issued and deposits and bank balances is maintained by a bookkeeper in the oftice of' the 'City Clerk. This record was not maintained by funds as required under 12-1016 as 1935. CIERK OF THE CITY COURT ~ATEXENT OF BECEIPrS. nT~l1RlIaI1i:VP$lt.pD BAT.ANCES OF l14..qu - ~IBr.r tfB- This emibit sets forth the cash balances 1D the cust0d7 ot the Clerk of the City Court, at the beginning and end ot the audit period together with receipts and disbursements during the ye~ 1947. These figures were taken trca the records ot the Clerk of' the C1 1;y Court. A comparison ot f'ees on hand. and caP. balances as of December 31, 1947,is shown at the f'oot of' the atateaent. A list of the individual case balances are not set torth. in thiszepol'tt" s1ace it is a part of the Clerk's penaanent recorda. Reconc1liatiOIl of' the Clerk ot the City Court cash balances at the Farmers National Bank, SaliBa, Kansas, is shown on Schedule .30., cancelled ebecks wre exam.ined tor signature and eDdorsement. The Clerk of the City Court maintains a record of cash received aDd disbursed, a ledger of' cases and a monthly reconcUiatioD. ot case balances with the cash balances. Verification was Jlade by oomparison of cancelled checks with disbursements as recorded, by proof of'monthly footings by addition, by additions of' duplicate :~i?j~';';;..'ot;,,<<; '~~:~~.;' ~~>~j-_:. 1.4 receipts by months and comparaonof such totals with amounts recorded and by test-check of individual items to th-a amount recorded. '" verification from the records or reports of City and County Officials as to aaounts shown paid to them; by test-checl1ing of items of receipts and disbursements to the Dockets. POLICE COURT FINES AND FORFEITURES A. Police Sergeant sets as collections officer for the Judge of the Police Court. Entries on the Police blotter show the amount of the Appearance Bond depositedJ tine imposed or other depositia of the case) fine collected or paid. by work; aDd other information regarding the case. Receipts for fines paid are issued from a duplicate receipt book, the duplicate being retained. Cash, as received, in f:1nes and BoDd Forfeitures, is placed in numbered case envelopes which are a~l~leted until the end of each month, when these envelopes together with other s1mUarly numbered case elIV'elop6s containing fines, workout, parole or dismissal evidence, are turned over to the Police Judge who reconcUes the cash and other items with his docket records and prepares an analysis thereof which he subllits to the City Clerk together with the cash received. ., " The analysis of fines imposed for the year 1947, as prepared and sUbmitted by the Police Department to the City Manager, .... verif'ied and found correct. The cash a.nalysis of cash received by the Police Department was, likewise, ,~ ~ found correct as submitted. (O'i ~I ~ SUMMARY OF IOLICE COURT REOORDS - EXHIBIT 11111 This exhibit shows the January 1, and December 31, 1947 balance. of uncollected fines by the following years - 1941 and prior, 1942, 1943, 19.44, 1945, 1946 and 1947 together with the 1947 collections, paroles, workouts and dismissals for Moh year and group of years. Verification was made by addition of the duplicate receipts by months and c_parison with oash reported and paid to the City Clerk. Tests were made .. .~~ .~j .... k:~ ~ . ~~j. " s ~~~ '. -.0>("<" "".., , :".-_:.:it.., '.,~ >--.;:.'}. ..>1-.= ;~. 15 from duplicate re~ipts to the envelopes and from envelopes to the Police Blotter. Each page footings of the Blotter was proven and compared with the page 8J1al1sis for each month. Summary of monthly tines and collections waa made for the ye.- 1947 trom the blotter and COI1lpared with those reported to the CLty Clerk and City Manager. symtARI OF THE REOORDS OF THE CITY BUILDING INSPECTOR .. EmlBIT nJ" This exMhit shows eo classification of the collections made by the Building Inapector together with the reJdttances Blade to the City Clerk during the period frOll Janus.rylst., to December 31, 1947. Cash received from the collection of tees and issuances of permits as shown by the duplicate receipts, were traced into the Register of Collections maintained in the BuUding Inspectorts Office, and from that register to the monthly reports and remittances to the City Clerk. Fees charged apptar to be in accordance with the rates set by ordinance. (x)Mf~N OF DEFOSITORI BONDS AND BALANCES ON DEPOSIT - EmlBIT "K" This statement compares the balances on deposit as at December 31, 1947 with the aJIlOunts of depository bonds pledged by the banks as collateral to secure the pa,yment of these deposits. The local banks have pledged United states GaYermaent or Kansas Municipal Bonds as collateral for deposit ot pablic moneys. The governing body does not approve depository bonds as required under section 13-2107 or 1943 Supplement. It was ascertained that depository bonds pledged by banks did not adequately seoure the deposits as at December 31, 1947 in every case; however it appeared that deposits were adequately secured at all t:iJBes during the year, with the exception of a short t1JDe when an unusual 8JIlOUD.t of money was on hand whUe checks tor bond purchases were clearing. All depository bonds were cont:lrmed by corre8pondence with banks holding SaJBe for safekeeping. FTMt.m BONDS IN mReij; - 'RYRIBIT "L" Fidelity Bonds in force as of December 31, 1947 as detailed UDder the exhibit .re inspected and checked to the statutes to determine that such bonds _t statutory requirell8nts as to type, _aunt and apP;"oval. All fidelity bonds ~,,~ ,,~i:.( !:': ~~\. ~. ,l. ;i _ . ..~,~,~):"';' ,.t,'i<t",t'.-:,.'::.~i.:- ....::0., "..:r '-- "'~~"~ ..;, .A:":":.ilt.!.. ;..iIt;,;. . ."f'i'....,. C7, ,;'~. .1/". ',. .. j:'l'_~ ~...' ,i!.J!t. 16 except those of the Clerk of the City Court and the Ilarshall of the City Court are in co.stody ot the City Clerk and Director of Finance. The bonds of the ~~ Clerk of the City Court and the Marshall of the City Court are in custody of the Oounty Clerk as is pr:ovided for under 2o..1420-and 142l and 80-204 and 205 G.S. 1935. The bonds ot the Clerk of the City Oourt and the Marshall ot the City Court are drawn in tavor ot the state 0' Kansas rather than in favor of the City ot Salina. .&1l other fidelity bonds were drawn in tavor of the City ot Salina. The liability ot SUrety Companies on all fidelity bonds was cont.1raed by correspondence with the Hoae Office of the SUrety Companies, and it was asoertained that each ot these companies was authorized to do business in the State ot Kansas. INSUIWlCE IN FORCE - EXHIBrr lIMn This em1bit presents a sumaary statement of the insurance coverage on the Tarious pr:operties owned by the City together with the t1P8 of Insurance thereon. Policies are issued, in. .ost instances, to cover a period of either three or tive years. ~'" t. ;ii .. pt"operties listed under the headiDg ot e'''7 Bu1ldiDgs and Properties with a total ccwerap ot $160,590.00 are insured by a group of 19 companies w11;h eaob policy haT1Bg a ninety percent co-insuranee e1.a'II4e. The Memorial Hall Building and contents are insured by a group ot 25 c_panies tor l221tooo.oo. Eaob. of the policies in this group contains a ninety percent eo-insurance claUse. Insurance coverage on other properties not included in the aboTe groupe and other types of p:oteotion are listed under misC$llaneous. Insurance ceverage pertaining to the waterworks department is shown separately on a .eDedule in the latter part of this report. It was determined that all insurance companies writiDg insurance OD the Cityls pr:operty.re authorized to do business in. the state of Kansas. " :1i~ ~~ ~ ":':~.: /:i;'oJ.'-': ~~.:;.:~.<"'~.j~, ",:~~",", '~"",.;;..'l';_';2:":-s.~' ..,>1 17 ACCOUNTS RECEIVABL& - EXHIBIT tlNII J.1Iounts due to the various funds or the Oit1 as at Deeember 31, 1947 as determined b,. our eX8.Jlination are shown on this em1bit. No independent ver1:f'ioation was llade with debtors. This exhibit does not include unpaid taxes. ~COOUNTS PAYABLE No separate schedule has been presented of acoounts P81ab1e as they are classified b1 funds under Exhibit "0". The amounts iI1cluded a8 lia.bUities were datendDed :!'rea inspection ot the records maintained by the City merk's Of ace. STATl\DN! OF BONDED INDllETEDNESS - EIHmr.r 110. This .tatell8nt presents, in detail, the bonded indebtedness of the Cit,. of Sal1Dat at December 31, 1946 aDd December 31t 1947 together with bonds issued aDd retired during 1947. The fol101l'iDg is a SUJBJl&t'y of Bonded IDdebtednells classit1ed as to type of Bonds outstanding.. with. yearJ.y Maturj;ty totala. Outsta.J)dfng D9 C81Iber 31.1946 General BondS I 90,000.00 Special Impro.....nt Bonds 130.633.86 4' 1947 Outstanding Issue. Retired December 31.1947 . 475,000.00 I 39,500.00 $ 525.500.00 17.046.61 32.241.32 ~.439~5 1/t92.046.61. $ "J;J.,7~.32 I ~.939.l1. Totals t 220.633.86 , ;;;1 ~/ '~', ~~ "'; Year Dtle 1948 1949 1950 19'1 1952 1953 1954 195' 1956 1957 1958 General Bonda $ 25,000.00 .500.00 5',000.00 48,000.00 48,000.00 48,000.00 48,000.00 48,000.00 48,000.00 48,000.00 43.0Q0.OO . ,25.500.00 Oit1's Share Property 01lll9rs Grand SP9c:1alBonds T()'-1 Share. Special Total $ 7,229.82 $ 32,229.82' J:;t.33 $ '9,014.15 1,42$.31 67,92'.31 19,899.6' 87,825.00 1,058.46 5.,858.44 13,566.54 69,625.00 985.53 48,98'.53 9,139.47 S8~5.00 119.93 48,119.93 7,730.07 55,850.00 48,000.00 7,2/JO.OO 55,200.00 48,000.00 7t2OO.oo 55,200.00 48,000.00 6,700.00 54,700.00 48,000.00 4, 700.00 '2,700.00 48,000.00 1,700.00 49,700.00 $ :mm'.OS t 5i:~:~ . 104.620Jj $ 6g:~~ Genwal Bonds araountiDg to '525,'00.00 and the City's share of Special 1.1Ilprovell8I1.t Bonds amountiDI to $10,819.05 outstanding at Deeember 31, 1947 are payable O\1t of the Feeee. of the BoDd and Interest taX levy. ".,.,.~- .~. '.~..' 18 The Property Owner's Share of Speeia;l. Improvement Bonds, aemounting to $104,620.10 as of December 31, 1947 are payable from special. assessment taxes levied against property benefitted. There were no Water Department Bonds outstanding at December 31, 1947. The f'o11owiDC ....dul. shows the Bonded Indebtedness outst~ding, at the close of' each of the last ten years. De camber 31, 1938 1939 1940 1941 1942 1943 1944 1945 1946 1947 BoDded:'. Indebteciness t 1,145,480.02 1,005,288.40 830,732.49 703,266.26 564,990.09 J.;8,750.oo 309,892.35 233,933.28 220,633.86 705,939.15 BEOONCILTA'I'ION OF Tp CITY ~F SU."'. FmCAL AGENCY ACOOUlf1' - 8CHEtJn:~' -'1" The baJ.e.nee shown as unpa1d December 31, 1947 has been confirmed by the state Accountant. Cancelled bonds and coupons paid by the .F1scaJ. Agency duriDg the 78ar 1947 ...re cs.refgJJ.y e%aJtined and checked against boDd record and found to be proper charges. .~ !j >;, ~l' TEMPORARY WTE TNTli:RTEDNESS - EXHIB 1'1' IIpIl This statement shows the alBOUJ1t of Tempor81"Y Note Indebtedness owed by the City at December 31, 1947. All but two of these unpa.!d notes were owned by the Waterworks Departalent as shown on Exhibit "E". These notes will be repaid out of' the proceeds of bond sales. f~ ~. ,.;,.~; ....,.. tt ir.\~ ~~ ~ iii,'!>", 'f MINUTES AND ORDINAN~ The minutes of the meetings of the govern1D.g body during the audit period, ordinances enacted during the period aDd the 1939 revised ordinances were r......wa tor I18.tter perta1niDgto the audit. The minutes appeared to be coaplete aDd 1n good m.r:il.. '>ii. ~,~~i4:~,. ~ '.: .,. ~"~ .~ .'..'" ..;;~. , 19 GENERAL Dar1Dg the course of the aud1t, explanations of Tario1ls _tters were obtained trOll ottieers and employ-ees of the City- . We wish to express our appreciation for the co-operation and assiatance of all those with whom we 0&1l8 in contact. CERTmnlTE W. oertity' that, in our opinioD, subject to the foregoing cCDlents, the accomP&DYing exhibits and related schedules pl"oper1y- reflect the thancial condition of the City of Salina, lansas, 8S at December 31, 1947 aDd the resuJ.ts of its operations tor the period troa January 1, 1947 to DeeeJiber 31, 1947. inclusive . We further certify that, subject to the Co&nents pertaining to the Waterworks Department Fund, as.hom on the pea8S 1amediate1J' foll~ Schedule 131" ot this report, the exhibits and aehec1u.les per.ta1Ding to the Waterworks DepartBent Fand correctly refiect the f'inaneial condition of that Fw1d as at December 31, 1947 and the results of the operations of that Department far the period tr_ January 1, 1947 to December 31, 1947, inclusive. Respectfully- Submitted Dewey N. Turner -' // '--" ~ -~(\ ;c-/ - B1'tL,z.~,," J-.'( '\..1 J\ ,\ .~ J H f~ l'{.}-:/ Dewey N. Turt\er~ Licensed aun1c1pal ~i. Aecountant, in charge or and acti't8ly engaged on this audit. . < ~ ~ :i: 'zr ~. .~ ~. ~ 20 "A" Exh1bi t OF em Fund Balances December 31 11 7 Cash Disbw:.-sements Out Tr~l!!:!- . In 'franifeg $ l!~usi!!.. Fund Balances J 8JJU&rY 1 147 s OF BAlANCES ~ ~cember 7~ to J '~ ~ ~ ~. 't, ~ ] ~j ~I '" ~ ~ i~ <i:' is l3, :Ii ~ ,'0;. If; 80,220.76 3,762.48 2,580.66 3,827 .10 4,321.15 12,747.74 7,382.00 4,359.84 4,901.93 1,662.90 201.88 455.84 13.83 2,395.42 72,186.17 20,474.24 2,443.71 16,895.71 26,173.20 .. 36,565.76 1,561.50 2,300.00 - 1,319.49 12,017 .03 794.00 180.64 i $ 162,568.31 71,~0.18 34,544.34 14,231.51 12,985.79 24,151.32 24,176.82 10,367.19 9,158.29 44,330.91 2,700.00 5,750.00 14,888.06 146.70 1l,691.92 1,819.21 1l,32O.36 84,122.47 368,645.33 1,145.00 847,306..39 17,994..35 1l,01l.72 1,5.36.99 50.3.55 8,66.3.2.3 717.00 5,973.38 .. .. .. .. - - - - .. 4,483.98 .. .. - - - .. .. .. .. 50.24 .. .. .. .. .. .. .. .. t 24.95 .. .. - .. - - - .. .. .. - .. .. - .. .. 25.29 .. .. .. .. 4,483.98 .. .. .. - .. Gash Receipt $ 158,608.48 66,017.96 .34,699 .32 10,069.52 10,435.28 3.3,810.87 24,205.24 7,347.40 9,.395.99 44,246.38 2,652.00 5, 72Ju 71 14,469.31 21.84 46,930.51 12,276.78 7.3,661.75 86,842.37 167,782.95 1,169.95 870,210.11 18,300.25 .. 1,536.99 1,82.3.04 20,700.26 794.00 6,154.02 84,155.64 9,594.70 2,425.68 7,989.09 6,871.66 3,088.19 7,353.58 7,379.73 4,664.2.3 6,2.31.4l 249.88 481.1.3 4.32.58 2,520.28 36,947.78 10,016.67 41,984..32 14,150.52 2i!l,0.35.58 25.29 1.3,662.04 1,255.60 8,8Zl.74 .. .. .. 717.00 .. $ ounts: General Fund Fire Department Ftuid. Park Depantment Fw1d Memorial Hall Fund Sewage Disposal Fund General Improvement Fund Water, Light, Heat and. Power Airport Fund Cemetery Fund Street, Alley aDd Sewer Fund Public Health Nursing Fund B and Fund Library Fond Bindweed Control Fund Tru.t and Agency Funds Industrial Developnent Fund Special Fund in Lieu of Bonds Bond and Interest Fund Waterworks Depar-Qnent Fund Condemnation Fund Construction Fund Income Tax Withheld FuDil Bridge or Street BuUdiDg lIachinery Fund State and Federal lax Fu.nd (Sw1mming Pool) Parking Meter Receipts Funci . Veterans Housing 1947-48 Receipts Paid in Advan Stores Account Fund , ';1 t~ ~j $, '321. 765..2S 1;900.202.32 . ~.534.f~ . $- 4.53~.~ 2S . 498.Q..60.32 ce T.tal All FuMs ~ ~:1 l' ~ ~ ~ i tJ ~ t'~ ~ ~ ~ fl,.-' ~orease 24,500.00 23,611.60 t $ - .. .. - .. .. .. .- .. !Borease t 40,000.00 89,196.26 .. $ ~ I< $:6 $ E; --- ccount. Trust and Agency Accounts Waterworks FaJ1d Getl8ral Improve_nt Total Investments Total CaSh and Investments Cash in Custody 0' city Treasurer Investments un Custody of City Treasurer Total Cash & IDvestments in CUstody of City Treasurer Fund_ ~vestment Exb.:ib it lIB II Aaount ot Budget l)eticiency Amount ot Budget lu, Anticlpated Re..i'Pti Total Receipts Exhibit It 111 } , I ;~ 653.36 628.04 1,627.58 146.98 878.46 ;:t ~ :> '217.76 $ 6,034.42 806.82 30.99 $ .35,500.J.l 1,271.88 2,3'"11.76 109.03 201.78 1,186.25 167,782.95 1,169.95 870, 210.n 18,300.25 4,483.98 1,536.99 6,154.02 1,623.04 20,700.26 794.00 34,613.45 825.00 ~.OO 860.00 8.00 580.22 3,125.87 2,J.'17 .20 1,"4.35 $ III $_J.7 $ FuDd Xon-Tax Lev: Waterworks Department Funds Con.d.emnation Fund Construction Fund Income Tax lIitbhelci Fund Bridge and Street BuUdiDg, Machinery State and Federal Tax Fund Stores A.ceount Parking Meter Receipts Fwld Veterans HousiDg 1948 Receipts Paid in Advance Firemen 1 s Re1iet Fund OeIletAr1 Endowment Fund HillGl"est M_.ria! Endo1lDlent Fund HillClrest I81iorial T1"Ilst FUnd Total Jon-Tu Le\rying Funds Total all Funds '- l23,l27 .02 64, 766.08 32,327.56 10,722.88 9,855.06 30,685.00 22,028.04 6,293.0; 10,024.03 45,873.96 2,542.97 5,462.93 13,.363.06 299 .60 8,050.25 1,500.00 l2,423.76 74,540.21 80,833.24 554.718~O . $, .. 158,633.43 66,037.96 34,699.32 10,069.52 10,435.28 33,810.87 24,205.24 7,347.40 9,395.99 44,246.38 2,652.00 5,724.71 14,4i1J.31 21.84 8,857.0'7 1,'30.99 12, '2l6.78 73,661.75 86,867.66 . 604.943.50_ Tax Lev, ~ General Ftmd Fire Department Fund P~k Department Fund .emorial Hall Fund Sewage Dispesal Fund General Improvement Fund Water, L1ght, Heat and Power Fwld Airport Fdd Cemetery Fu.n4 Street, Alley and Sewer hDd Public "aJ.th Nursing FImcl Band hnd L:lbrary FII.D4 Bindweed hDlrol Fond Fire PeDaion Fund Pollee Rellet aDd penelon Fund IndustTial Developell8nt FImd Special Fund in Lieu ot BoDds Fund BoDd aDd ~'1t'UJ14<' Total Tax Le9'yiDg Fwuis --- -----. C' Exhibit CITY OF SALINA KANSAS - ~- STATclVlJ:i:NT_OF EXP';:;lmITUfu;S AND ~CUMBRANCC;S COMPARED WITH AP.PROPRIATIONS AND UNENCUMBERED CASH BALAN CLOSE OF JEAR Unencumbered Fund Balances 12-.31-47 Less Fund Encumbrances at 12-21-1..7 Fund Balances 12-31-47 E~ibit "A" Under Budget Over Budget 1947 Budget_ Chargea.ble to 1947 Budget to De,cember 31. 19m, Inclusive Less Flus Encumbrances Encumbrances 1-1~47 12-31-47 7 Januar - - $, s.oih.78 $ 38.372.59- --- - 4P 29,835.61 (;\ 2,e52.6e ,+p - - - - 1,255.60 - - - - - - - - - - - - - - .,. - - - - - - - - ~i 31,091.21 d.. 2.852.68 <W ~ 99.172.99 $---6J.225.27 ---- ----- - - - - - 7,026.29 - 3,762.48 6.16 47.52 847.76 4,125.91 5,390.72 2,358.14 2,443.98 1,385.11 201.88 455.84 2,395.42 11,128.05 12,775.73 20,474.24 2,443.71 16,895.71 13.83 178~~ -- d~ -if $ - - - 13,194.47- - 2,574.50 3,779.58 3,473.39 8,621.83 1,991.28 2;001.80 2,'457.95 277.79 - - - - - ~o,i'1l F. 59 '"' $ - - - - $ 80,220.76- .3,762.48 2,580.66 3,827.10 4,321.15 12,747.74 7,382.00 4,.359.94 4,901.93 1,662.90 201.88 455..84 2,.395.42 11,128.05 12,775.73 20,474.24 2,443.71 16,895.71 ;!!:'1-~._-*J .82 ~J:92..5'51.07 .u. 'W - - 4,893.38 .3,047.37 2,919.76 - 1,116.75 3,177.0.9 85.83 43.95 16.14 147.21 88.97 76.85 2,010.62 915.61 974.94 175.89 - - 1,8/+2.94 35.00 2,014.97 12,423.76 1.86 484.30 ,_' .., _.-b605.96 $: "':'" ~ . '.)'2 9 n 00 ,..~ , . ........;. ,j W'i. ;;;J:~::t:t.!..- $ 2,277.41 210..39 2,397.05 10,li3.66 - - - - - - - - - - - - ~1. * $ $27,285.00 5,800.00 64,604.00 14,465.00 10,150.00 4,130.00 30;381.50 4,470.00 10.000.00 $171,285.50 69,933.50 37,000.00 11,015.00 13,100.00 .32,850.00 26,150.00 6.500.00 12,494.68 47,850.00 2,700.00 5,750.00 1,989.64 7,700.00 3,879.31 12,423.76 74,540.21 84,606n7 17. 49Lu02 $639,262.39 $ 29,562.41 6,010.39 59,710.62 11;417.63 7,2.30.24 6,527.05 40,565.16 .3,353.25 6.822.92 $171,199.67 69,889.55 36,983.86 10,867.79 13,011.0.3 32,773.15 24,139.38 5,584..39 11,519.74 47, 674.YJ. 2,700.00 5,750.00 146.70 7,665.00 1,864.34 - 74,538.35 84,122.47 14.888.06 $615.317..22 1,210.17 10.00 750.77 70.99 5.80 858.00 4,427.69 - 5.861.05 13,194.47 - 2,574.50 3,779.58 3,47.3.39 8,621.83 1,991.28 2,001.80 2,457.95 277 .79 - - - - - rE, 'iP ;; 338.53 530..35 61.28 47.. 61 40.00 1,149.68 23 .16 2,.372.50 4,563.11 1,980.63 1.34.98 7,143.30 3,448.15 - - - 1,819.21 38,664.01 - 2,028.72 6,784.60 96.50 1,418.57 $ 6:" 'il' $ 28, &90.77 6,000.39 59,490,.20 11,407.92 7,272.05 5,709.05 37,287.15 3,376.41 .3..334.37 $162,568.31 71,870.18 34,544..34 14,2.31. 51 12,985.79 24,151.32 24,176.82 10,.367.19 9,158.29 48,814.89 2,700.00 5,750.00 146.70 7,665.00 1,864.34 1,819.21 11.3,202.36 84,122.47 888.06 026.78 Fund 'fax Le' Funds General Funds: Administrative & Finance Dep1t. City Court Department Police Department Engineering Department Milk Inspection & Health Dep1t. Legal Department Garbage & Rubbish Removal Dep't. Building Department Parking Meter Department Total General Fund Fire Department Fund Park Department Fund Memorial Hall Fund Sewage Disposal Fund General Improvement Fund Water,Light,Heat & Power Fund Airport Fund Cemetery Fund Street,Alley & Sewer Fund :Public Health Nursing Fund Band Fund Bindweed Control Fund Firemans Pension Fund Police Relief & Pension Fund Industrial Development ~1lnd Special Fund L~ Lieu of Bonds Bond and Interest 1!'und Library Fund Total Tax Levying :- 23,.320.52 36,565.76 1,561.50 2,300.00 1,319.49 12,037.0.3 794.00 180.64 37,111.95 3,476.34 6.364.30 1.330.00 ~~126.361.53 $280.5/;,0.QL '*' 2 85.... .. 0 , ':'.Ou - ;w--b 852.68 94]..225:27- --- - - - - ~ cj, 26 173 ''(, 'il' ,. ..:.v - 36, 5f~. 76 1,561.50 2,.300.00 12,0.37.03 794.00 180.64 37,111.95 3,476.34 6,364.30 _1.33Q.&Q $129 . 214. 2J: ;~.321. 765 .2~ -- - 1,319.49 - Funds Non-TAX Levyin Fu.nds waterworks Department :J:<\:md Conderr~ation Fwld Construction Fund Income TaX Withheld Fund Bridge or Street Building Machinery Fund state and Federal Fax Fund (Swimming Pool) Duncan Meter Fund 1947 Receipts Paid in Advance Veterans Housing 1948 Receipts Paid in Advance Steees Account Firemans Relief }lind Cemetery Endowment Fund Hillcrest Memorial ~ndowment Fund - Hillcrest Memorial Trust Fund 266.00 Total Non-Tax Levying Funds ~1.265.709.76 Total All Funds ~1,910.736.54 --, -- :1P368,645.33 1,195.24 847,306.39 17,994.35 1,536.99 503.55 717.00 8,663.23 - 5,973.38 1,896.58 11,011.72 22 r- J "c. Exhibit Unencumbered Fund Balances 12-31-47- $ .. .. .. - .. - .. .. .. $ 17,02b.:8- 3,762.48 6.16 47.52 847.76 4,125.91 5,390.72, 2, 358.l4 2,443.98 1,385.11 201.88 455.84 2,.395.42 11,128.Q5 12, 775.7.3 29,Q~a4 2,44.3.71 16,895.71 _ 1~.8;L $ 154.17 .48 - - Less Fund Encumbrances at 1 1, 7 m OF YEAR ID.elusive Fund Total Less Plus C'bupab18 Balances Disburaements Enanmbrances Encubrances to 1947 1947 Over Under 12-.31-47 Exb1bit 1.1-4'7 1'-'31,7 Budget Budget BudJil;et Budget - Exhibit ~o,F 1 J, .. 13,194.47 .. 2,574.50 .3,779.58- 3,473.39 8,621.83 -'-. 1,991.28 2,001.80 2,457.95-, 277.79 .. .. - .. .. tilt - .. .. 38.372.59 -- .. .. .. - .. .. .. .. $ 27,285.00 $ 2,2:17.4). $.. ... $ 5,800.00 210.39.. .. 64,604.00 .. 4,89.3.38.. 14,465.00 tilt 3,047..37- 10,150.00 - 2,919.76- 4,UO.00 2,.397 .05 .. .. 4,470.00 .. 1,116.75" 30,381.50 10,183.66 .. .. 10.000.00 .. ').1'77 .08 .. i:' $ 171,285.50 $ ... 85.8.3 ~ 80,22O.76:J 69,933.50 .. 43.95 3,7'2.48 37,000.00 .. 16,14 2,580.66 11,015.00 .. 147.21 3,827 .10 13,100.00 .. 88.97 4,321.15 32,850.00 .. 76.85 12,747.74 26,150.00 .. 2,010.62 7,382.00 6,500.00 .. 915.61 4,359.94 12,494.68 .. 974.94 4,901.93 47,850.00 ... 175.89 1,662.90 2,700.00 .. .. 201.88 5,750.00 .. .. 455.84 1,989.64 .. 1,842.94 2,395.42 7,700.00 .. 35.00 11,128.05 3,879.31 .. 2,014.97 12,775.73 12,423.76 .. 12,423.76 20,474.24 74,540.21 .. 1.86 2,443.71 84,606.77 .. 484..30 16,895.71 13~36.3.06 .-1~525.00 .. _~ $ 035.131.43 $ $ 19.813~~ ~92.551.07 $ ----- -- $ 29,562.41 6,010.39 59,710.62 11,U7.63 7,2.30.24 6,527.05 3,.353.25 40,565.16 ~~ $ 17l,J!9~ 69,889.51 36,983.86 10,867.79 13,On.03 32,773.15 24,139.38 5,584..39 11,519.74 41.,.".:11 2,700.00 5, '750.00 146.70 7,665.00 1,864..34 .. 74,538..35 84,122.47 ~~88~Q6 . 015.317.59 $ 1,21.0.l7 10.00 750.77 70.99 5.80 858.00 .. 4,427 .69 5.861.05 $ 1.3,194.47 .. 2,574.50 3,779.58 3,47.3..39 8,621.83 1,991.28 2,001.80 2,457.95 277.79 .. .. 38.372.~ .. .. - - - .. ... $ $ 3.38.53 .. 530.35 61.28 47.61 40.00 2.3~16 4,449.M _ 2.~2.50 . ":~,5 3.11 1,980.63 134.98 7,14.3..30 3,448.15 .. 2,028.72 6,784.60 96.50 1,418.57 .. - .. .. .. 1,81.'.21 3*,664.01 ... - $b8'.OsI.78 - . 28,690.77 6,000.39 59,490.20 1l,407.92 7,t72.05 5,709.05 3,176.41 37,2R/7.15 3.3!i.37 $-r62.5 ..31 71,1'70.18 34,5~..34 14,2.31.51 12,985.79 24,151.32 24,176.82 10,367.19 9,158.29 48,814.89 2,700.00 5,750.00 146.70 7,665.00 1,864.34 1,819.21 113,202.36 84,122.47 8SS.06 .: 0 78 Is i Fumds: General'Funds AdJD.1D~tratiTe & Finance Department 01 ty Co~t Department Police n.partaent Engineer~ Department aUk Inspeotion.& Health Department Legal Depar.ll\ BuUdiDg Depe.riaaeat Garbage & Rubbish Removal Department ParkiDg lIeter ~pertaent Total ~eral Fund Fire Department ~ Park Department fUnd.... Memorial Hall Fw:ld Sewage Disposal FUnd General Iaprovement Fund Water, Light, Heat & Power Fund Airport laDd Cemetery Fund Street, Weyand Sewer Fund Public Health NarsiDg F$1d Band Fund Bindweed Control Fund Firemen t s Pension Fund Police Relief and. pen$ion Fu.nd Industrial Deve10plBent Fund Special Fond in Lieuo! Bonds Fund Bond and Interest Fu.I3d Lj1)rary Total Tax Levying Funds . 23,320.52 .. .36,565.76 1,561.50 2,.300.00 .. 1,319.49 .. 12,0.37 .03 794.006 1SO. 4 37,111.95 3,476..34 6,364.30 1..3~0.00 j-126.3 1~ 2,852.68 - .. .. .. ... .. $ 26,173.2) $ ... 36,565.76 1,561.50 2,300.00 - 1,319.49 .. 12,037.30 Iaa:&<l 37,1ll.95 3,476..34 6,.364..30 1..3~0.OO $ 129.2l4.21 $ 29,835.61 $ 2,852.68 .. - - - 1,255.60 .. ... ... ... ... .. ... ... .. .. .. - .. - - ... ... - - ... .. $ :31.091.21 $ ~52-;68 $ 99.172.99 $ .41.225 .2'7 $ 368,645.3.3 1,195.24 847,.306.39 17,994.35 1l,011.72 1,5.36.99 50.3.55 717.00 8,66.3.2.3 .. 5,97.3..38 1,896.58 ... Non-Tax L' Funds Waterworks Department Fund Condemnation Fund Construction Fl1.nd Inoome Tax Withheld Fund Bridge or Street Building Machinery Fund state and Federal Tax Fund (Swimming Pool) Duncan Meter Receipts Fund 1947 Receipts Paid in Advance Veteran t s Housing 1948 Receipts Paid in A.dvance Stores Account Firemen's Re1ier Fund Cemetery Endowment Fund Hillcrest Memorial Endowment Fund Hillcrest Memorial Trost Fund Total Non-Tax Levying Funds .01 $_280.5 Total all Funds " .;;..rl '.>< ~~ ,'..to<' ..'.'J';'t!i:.t,,",l":;":', ",~,'<':',' ;,~,_;. .:.,~",,-....ti;:',, ~. -};"." . "" ~ ~..:. .."- :"',,_ ~,y!:,~}>l.~..;t;,',~'~_ ~'~''l,:,,~~:':'':.;~'.~t'',1 ~.' ,~_,~ ".1...:.,..1'# ;;",._,-;r'.:-'J,.;,.'t;' .1:"- !r:.~'"-,".. ,t,>.:":..,.....-.AI,,~..~.1~,:.t} 23 CITY OF SALIHA, KANS&S CASHU C1:JSTODY OF CITY TREASURE December 31. 1947 Exhibit BnD Balance - January 1. 1947 $ 498.060.32 Receipts: J'UDd Cash Receipts (Per record ot City Clerk) Total to be accounted tor 1.73.4..uJ..SO $ 2.232,501.82 Disbursements: Fund Ca8h Disbursements (Per reoord of City alerk) Bale.nC8-December 31, 1947 . 1,?10.7~6.St $ 321,7 5.2 Bank BalaJilces-Deoember 31. 1947 The Farmer'. lfat10nal Bank. Salina, Kansas The Planter r II state Bank, Sali1:la, Kansas Ifat10nal Banko! America, Salina, KanII.. Total. Bank Balance. $ 105,398.57 ll6,224.06 100,1.44.65 . 321,765.28 24 ;.z;~~;'i1!I;:'_;ir."WN.~,"";'~\'_:~-''Jr,.j;;,''4};.;:,,"~'~~~f }fjCr;R';'~"~:Ji!>.fKj~,:~~,,:,,:t;""1!'f~I~-:-'ll :~'!'Z1i11Z~,~____...II~1:I'A''''Wi"~ Exhibit DE II .QID..Ql ~1'UEN'.ri IN Balance 12-31-47 Balance 1-1-47 Bond or Certificate er Date 18eue4- ~ .December l!!i.. I,..ued 'bYa $ 1,500.00 Decrease Increase - - $ 2,000.00 24.000.09 $ 26,000.00 18-20 Rate ~ ...b!.. 12-1(43-50) 12-1-30 12-1-44 t Internal. Improvement u. S. eaen fS Reliet Fwld.: tit1 of PHYla. U. S. Governemnt Bonds Total F1reaen f s Reliet 1,500.00 Fwld ee...te --- U. S. 7,500.00 7,500.00 - Hill....tIellorialla.D4a - tJ. S. TreasurY' BoDda Total !ru8t and Agency f/) ;.r~. -~ \j g1 00.00 6 6. SP<>....t2Q $. ~~OOO.OO - 00.00 6, 450.00 50,000.00 '; ,;eoo.OO l42.54 - ... A .. 2,556.71 3, 435.4l 20,489.90 1,4ll.8O 30,2.38.96 1~ 594.85 6,248.35 12,582.55 28,482.65 19,068.47 10,000.00 5,3ll.50 28,222.89 38,883.79 5,620.03 6,000.00 1,947.35 9.812.80 $ 301.500.5~ $_1 $ 474.000.00 791.000.5, $ $ 24.500.00 - 142.54 8,136.22 6,798.11 1,619.73 1,190.00 - - 23.011;00_ - .4B.lll.60 5,725.00 - ... - - .. - .. .. .. .. .. .. - - .. .. .. $ $ $ - 20,489.90 1,411.80 30,238.96 11,594.85 6,2.48.35 12,582.55 28,482.65 19,068.47 10,000.00 5,3ll.50 28,222.89 38,883.79 5,620.03 6,000.00 1,947.35 812 r . 12,175.00 50,000.00 3,000.00 285.08 8,136.22 6,798.11 1,619.73 1,190.0<> ?2i'56.71 ',US..u - - - .. - .. .. .. .. .. .. - - - .. $ - .. 68-70 F-130 8 10 II 12 13 14 3 4 , 6 '1 8 9 10 II 12 13 14- 15 18 1 2 - 1 1/2-2 - - 1 1 1 1 1 1 - - - - - - .. - - .. .. .. .. .. .. - .. - 19J,$ - - .. - .. '- .. - - .. - .. - .. - - .. - .. .. .. .. .. 38-42 1942 - - 6-30-46 7-16-46 7-31-46 8..20-46 9-17-46 9-30-46 1947 1947 1947 1947 1947 1947 1947 1947 1947 1947 1947 1947 1947 1947 1947 1947 Bonds - . II Temporary Note II II II II It It II II II II II II ~. II R II " II It II II II II . II II It It II II II II II II II It II It II II tt II Ftmds $ $ 474.000.OQ $ 709.915.89 - $_12' Waterworks l.!!S1 City ot Salina, Kansas. .i~eOZSiIb8a90fm:,mJl.nt City of Salina, Ianeas Cit1 of Salina, Xarisas C:l.tr of Salina, Kansas 01\) .t SaliJaa, Kansss fit1 of Sal~, Kansas Git1 of Salina, Kansas Gl~ of SaliD&, lansas City of SaliD.a., lansall City ot Salina, Kansas Ci't7 of S$liDa, Kansas City of Salina, Kansae City of Sa.liDa, Kansas City.f SaliBa, Kans811 City of Selina, Ka.usaa City of SaliBa., Kansas fitJ of Ii1 :h.a, Kansas City. of salina, Kansas City af Salina, Kansas 01 ty of Salina, Kansas C1 ty of Salina, Kansas C1 ty of Saliaf., Iansas City of Ss.l'llIa, Kansas City of Salina, Kans8.11 Ci t1 of Sal1Jlt., Kansas Total Waterworks Investments Construction Fl.lnd Investments U. S. Bonds Total All Inwestments 25 " ~ ~ ~ j i ~I" "'..::". ~I' ~.I.:" " ,~ ~ . ~! ~~ ~ ~ Exhibit ifF" County Treasurer L~ Short .. J 3.66 - .O~ - $ 3.70 $ .ll .. .. .10 .08 - - .04 .. .12 .09 - .. .06 .03 - - 1.86 .06 ... .. .15 - .10 - .14 .15 - - .06 .16 - j 5.65 - ... ... .. - - .. .. .. - - - - .. -- "-7 " 7 $ 5.65 ~tf:<~ ~;'~~.IJ!1l1."1lt:',l"<-~-.!::~:rl::;'-liiJ:,i' :",r~! WF,1 ~ CITY OF ROIL Y OLREOONCIL Balances Uncollected Per County Clerk Received By City Treasurer Collected By County Treasurer Adjusted fax Roll. Original Tax Roll UNCOLLE AND 331.47 tii:1~ 353.50 142.36 'J4.34 49.01 173.62 120 .15 30.24 25.47 211.46 J)uZl 30.49 77 .53 38.55 66.80 399 .1$4 393.90 $ $ $ 15,218.57 22.629..40 $ 3'1,847.97 53,24l.12 21,462.1' 5,161.02 7 ,3~.12 26,~!'1.58 18,089.37 4,565.29 3,832.47 31,837.83 2,14l.03 4,617.06 11,696.92 5,830.70 10,041.02 60,247.13 59,319.45 $ 15,553.70 ~.7t9.~ $ 38,333.12 53,594.51 21,604.65 5,195.28 7,438.17 26,347.32 18,209 e43 4,596.19 3,857.91 .32,051.15 2,155.24 4,647.70 1l,774.55 5,869..39 10,107.67 60,647.03 59,713.19 15,6.34.01 22.9tl.72 .38,5 1.73 54, 009.46 a,m.75 5,235.58 7.495.70 26,551.15 18,.350.46 4,631.68 3,887.81 32,291.35 2,171.99 4,683.52 11,865.60 5,914.67 10,186.07 61,1l6.39 60,175.54 ADateaents 364.00 $ .40.39 404.39 $ 95.15 38.38 9.22 13.20 46.78 32.33 8.16 6.85 56.89 3.83 8.25 20.90 10.42 17.94 107.66 106.01 . $ Additions 606.32 89.01 695..33 209.66 84.55 20.32 29.10 103.07 71.23 17.98 15.09 125..38 8.43 18.18 46.06 22.71 39.54 2.37.25 2.3.3.60 . $ 15,.391.69 22.~9.10 38, ZlO.79 53,894.95 21,725.58 5,224.48 7,479.80 26,494.86 18,311.56 4,621.86 3,879.57 32,228.86 2,167..39 4,673.59 il,840.44 5,902.12 10,164.37 60,986.80 60,047.95 t $ Ad Valore._T~s GeDeral: Intangjb1e Tangible Total General Fire Department Park Department IellOrial Hall a.age DUPNa1 General,ImprQ'V'emente Water, Heat, Light and. Power Airport Caete17 Street, .Al1e, and Sewer Public Health NUrsiDg Band L1bra:r'Y Firemen's 'ension I:ac1uatrial Deve10paent Special Fund in Lieu of Bonds Bonds aDd Interest 2.642.98 i 36.3.49.3.87 $ ~66.142.S0 -, $ 986..36 $ .368.906.45 $ $ Itm.74 - $. Taxe. Ad Valorem Total 157 .62 3'15.23 22.76 15.75 .01 ... $ 15,(171.12 ?,U8.54 220.22 1,287.09 .399 .89 119.52 $ 15,228.74 7,49.3.77 242.98 1,302.84 399.90 119.52 $ 15,586..31 $ 8,159.63 243 .09 1,372.85 429.15 1.38.76 21.8,54 9.21 4.71 .. 2.85 .. $ - - - .. - .. 15,804.85 8,168.84 247.80 1,372.85 4,32.00 1.38.76 $ c. cUrb, Gu Sewer By PaSs Weed CIItttBg Wa terSetT10e Connections Easel1ent s Paving $ '7131 $ .3.214.32 ~710.25 t $ . 235..31 $ ~~ $ ~7en.75 . 1.221.67 $ .394.836.24 $ .390.930.25 ,0 7 $ 1.717.74 -- 26 ., $, Special Assesnent. Total Speoial Assessments and Ad Valorem Total --, . ". '. .,~" 'u,,'.'~,~,,'<;oJl~;o<.,.iI'_"y~'l' ,'''')~~'~l.~'f.! ,~~t;w~~',f;'t'S:.,-~!{,7;.::t\~B.rJ;'~.~r/'~";i;:;IF:;,' ,t'~i,!-~_~.: ::':~;~';l;~;R7~::"~~'~l~~~~'~:~:f~~5~i:$~~'~;'~ yln OF SALINA. KANSAS_ 26 Exhibit nG" ,rAT:D.fENT OF TIYR.c; RECEIVED FROM OOUNTY TFF.1SIlBER SHOWING YEAR OF A&cm.cL.camNT AND DISTRlBtrrION 1'0 FUNIS ON ~"IS 9F ~.ssu:"€NT January 1. 1947 to December 31, 1947. Inelusive Year Levied Ad Valorem T~ General Fund: Intangible T&)1gib1e Total General Fire Department Park Department Jlell.orial Hall Sewage Disposal General IJIprovements Water, Heat, Light and. Power Airport Cemetery Street, JJ.1ey aDd Sewer Public Health Nursing ~and Library Bindweed Control ftrement s Pension ~a:u.ee Benefit and PensioD Industrial Deve10pnent Special Fud in Lieu of Bonds Bond aDd 1Ja1ierest 1945 and FrioI' $ $ 16.37 985.Pl 1,001.90 878.91 3Zl.S6 8:3.,9 191.,,9 " 'Jal.l4 493.06 55.75 29.98 500.84 48.23 109.84 244.46 21.84 90.76 37.55 65.65 393.95 2,164.91 7.121.6~ 'fotal Ad Valorem Taxes $ Special Assessments: Oarb, Gutter and Paving Sewer By Pass Weed Cutting Water Service Connection Easement $ 1,367.67 491.21 112.00 360.21 21.60 Total special Assessments $ 2.'52.69 Total Ad Valor.. Be Special Asse.8. ments $ ~7 ,"'0 A...--~- 1946 $ ~;,218.57 22. 629.J;>> $ 37,847.97 53,2I.J..12 21,462.19 5,161.02 7,389.12 26,173.58 18,089.3' 4,565.89 3,832.47 31,837.83 2,1.4l.03 4,617.06 1l,696.92 .. 5,830.70 . 10,041.02 60,247.13 59,319.45 . 363.493.87 $ 15,505.37 7,380.72 253.64 632..u 1,302.84 119.52 $ 25.194.50_ $ 388.68S..37 foUl $ 15,234.94 23.6J.6..93 $ 38,849.87 54,120.03 21,790.05 5,244.61 7,580.51 26,554.72 18,582.43 4,621.64 ',862.45 32,338.67 2,189.26 4,726.90 11,941.38 21.84 5,921.46 37.55 10,106.67 6O,6U.OS 61,484.36 $ .310.6;15..48 '.';.,'" ;( ::~I ?~ <.~., i'{,j {~;; i!":f ?~ ."" ~~;; ~_;;.r~j ,~ k~ i ":1.;; ':',;;' I'd::, ~~, "'l."' ~'.: 8; i~.: tf ~ ;i~ A,~..-\ it: ~, ~ ~ ~~ t!!/; $ 16,8'73.04 7,871.93 365.64 992.62 1,324.44- 119.52 $ ._rt:.547.19 $ 398.162.67 ...."':,:i:.'>'..n"" .... ~.. .._'~ ~,. _i:I'4i!f'!,-"'h"t...'~:,:",,.I;'.,;,':,;.;""_'{ :,1\ ::- ,;l:.i; . :'.:".'i.. '. .'.,':....,;1".'.".,'" ';;'J: l,:~::.:'i-;"."'.1,..-;,.,.(.,~,;t...:\ ~." i" ,f.t,.,~_~~_, J~t..i;: ;;~;, . -.: !'. Z7 Exhibit "Hit CITY OF SALINA. KANSAS CLERK OF THE CITY OOURT Sl'.lTEI4EHT OF RECEIPTS. DI~URSEMENl'S AND BAT.AliCES OF CASH JaID1a.1"Y ~. ~947 to December ~947 Balance January ~, ~947 . ~,~62.27 Receiptsl City.s Fees Sheriff" s Fees County Attorney-Regular CoUDty AttorneT-specia1 JudQ..c1al:,l Fees Fines lllsoe11a.neous Costs . 2,382.52 959.02 402.50 300.00 73.65 2,577.00 3,590.23 ( 95.82) Total. Re ceipts Total GaSh to h A.ccounted for $ 10.189.10 $ 11,351.37 Disbursement,,: Court Fees to City Clerk Sheriff" sFees County Attorney-Regular County Attorney-8peoial Judicial Fees to county Treasurer Fines to County Treasurer Il1sce1laneous Gosts Re:f'uDded $ 2,384.97 969.02 402.50 300.00 73.65 2,452.00 3,'76.62 373.82 Total Disbursements --1 10.522.58 B elance- ])8 camber 31, 1947 Balance per d.etail Case Belaueas $ 828.79 829.29 Cash LODg .50 28 ;"'.~i)~~,,__: ,:.~ ~,':'.JJ _....._~t;,,:'_ ~t"~,-i.:>, ,; ,~~:t~Y),~-i"h' '. -~:::.;,t-;k,\,.~.~";~ .~, j>iJt-J;~, ;.,:_~'.,::"_:::\' ,:.':"""';..:.....> ; ~f. "k~_' ~,_.j ..,.-~ .';', ,. -~'" ,;'i t,~ 'i~~ ~ Exhibit IJII CITY OF SALIlU.. KANSAS SUMMARY OF THE REOORDS OF THE CIn BUILDING INSPECTOR January 1. 1947 to December ~1. 1947. Inclusive Collections tor the Year 1947 Building Permits Gas lDap8ctions PlumbiDg Inspections Eleotrical Inspections SigB Permits Taxi-Gab Inspections BuUdiDg Inspectors ~ges 1947 He owe41-1-47 ..lmOWlt Due O1t1 Olerk, December 31, 1947 . 2,433.50 646.00 949.40 491.00 43.00 83.00 $ 4,645.90 3.00 . 4,648.90 4,628.90 I 20.00_ Total Collections JJnaunt Due Oit1 Clerk for 1947 Remitted to Git1 Clerk pcnmt Due City Clerk Gas Receipts 14941 Entered Short Gas Receipts 14971 Entered Short PJ:aabiDg Receipts 8503 Eatertd Long Plumbh'1g Receipts 8857 Omit~d PluabiDg Ra ceipts 8862 Omitted Pl'WIlbing Receipts 8863 OIIlitted PllDllbiDg Receipts 9001 to 9008 OBdtted $ .50 .50 (.5O) 2.50 .l( 5.JO )( .50 11.00 )()( 20.00 $ )( UBcollected 120-31-47 - wW. be Collected aM Paid to Oit,. Clerk )( >( Turned in J~11948 . *~_. '~:'\~1i!;,/:~~:;-~~;,~;)< <, ,:~~\;:~"; ):~"l~''':'~:,;.:?i~(}:..,;,. ,-1";;;';,/ ',;':l / ,,~t.~~tt<~,' .::iX{;.~:4~./('~:'>1.':' ... '+'i",,:.~.~,~ ,'-(:",;t,.,:;:~!~;:':<.:, '.- "<'of""'.,' :';',W,,' ..-- ., '~',. -~j, 30 Exhibit n}{ll CITY OF SALINA. KANSAS OOMFARISON OF l:BroSITORY BOmJ AND BALANCES OF DEPOSITS l)ecellber 31. 1947 The Farmer s National N8JIIe of Aooount Bank W. H. Eberhardt, City Treasurer $ 26.3,261.40 W. J. Brown, Clerk ot Git1 Court 1,631.95 The Planter s State Bank $ 283,159.20 The National Bank of .l1IIerics. $ 260,826.17 .. - Total $ 264.893.35 $ 283,159.20 . 260,826.17 Less PortiOll of above BalaUce ..aureci by F. D. I. C. 5,000.00 5,000.00 5,000.00 Balaaoe to be seCJl1red by ooJ.le. teral $ 259,893.35 $ 278,159.20 $ 255,826.17 Required 70 Per cant $ 181,925.31 $ 194,711.30 $ 179,07S.Zl Bonds Deposited by Bank as oollateral $ 286,000.00 $ 172,400.00 $ 176,000.00 ~ ;t, 1. i ~f: ~'" .,~ 2 ~ u ~ {~ ~i~ ',' l' ~ ., iJl. ~ IIi' ~ .li'~ ~ ~ i, ;~ !~~ ~M ~t'.; ,~J~l." e:!1 lIii'J ~ I ~~, i ;~ Y" ~~ 1.0:" i~1J I 31 Exhibit -Lit New York, New York New York, New York Chicago, Illinois New York, New York Balt:1lllore, Mar11and Hartford, Connecticut New York, New York New York, New York Bew York, Hew York Hartford, Connecticut Baltimore, IU1land Balt:1more, lIaryland New York, New York New York, New York New York, New York National Suret1 Corporation National Surety Corporation Continental CalUalt1 National SUret1 CorporatiOD u. s. Fide1i~1 &: Casualty Company Aetna Casualty & Surety Company National Suret1 Corporation ') Ilational Surety Corporation American Suret1 ComPaI11 Aetna Canalt)" &: Buret1 Company U. S. Fidelity &: Gua:raBty ComPaB1 U. S. Fidelity &: Guarant1 COIIlP&B1 National Surety CorporatioB :rid.lit1 &: Casualt1 Company Fidel1ty &: Caaualty ComPa111 Date Expires Amount 444-49 4-9-49 $ 5,000.00 aoat1nun.s 5,000.00 ~J.4..~1 5,000.00 4-14-51 5,000.00 IndetiBi te 5,000.00 IndetiBite 5,000.00 Continuous 5,000.00 Continuous 50,000.00 Continuous 5,000.00 Continuous 1,000.00 Continuous 1,000.00 CoBtinuous 5,000.00 2,000.00 2,000.00 Date Ettective 4-1Iv-47 ;""5-45 1-13-47 4-lJ.,.47 4..14.47 8-26-4,3 7-3.6-21 192'-47 7-3-33 1-2-26 3-9-37 12-9-41 1-15-46 1v-10-47 1v-1Q..47 Title Cit1 CoIImisaicmer City QnDml'ss1ener City Commissioner C1 t1 Commissioner. City Comm1ssiODer City Manager &: Super1lrteDdeBt of The Waterworks Deputtaent Director of Finance & Ci t1 Clerk Depat1 Director of FiDaBC8 &: Cit,. Clerk Cit1 Treasurer Cashier .. Waterworks Department Police Judge Building Inspector Ci t1 EDg1neer Clerk ot the Cit1 Court Marshall ot the City Court II!! Alfred IJ.r1gren, Jr., .Al N01ce A. 1'. stedhaa 1.. F. SWlbllSon Llo1d W. Price Ellis J. .All1aon tI1wes E. Banker Harold E. PetersOJl Henry" H. Eberhardt Lois Todd H. N. Eller Thomas L. Bayne Harold F. Harper W. J. Iro_ L.A. Bartlett 'il\ t,:, , ~ , EXCLUSIVE OF...! :WORKS _.Jlber 311 !t1. Propert, Oi ty Bui: nteats: City Hall Buil4ba Oit1Ball Coawnts Fire Sta tioa '1 BulldiDg Fire Station III Contents - Except Fire Fighting Apparatus City Building. 624 N. 7th Ci t1 BuUd:1ng, 412 Po. t11al1 Oit1 Rest Roo., 110 E. Ash Bath PaTUliOn,Oak Dale Park Other Oak Dale Park Bulldings Bath PaTillieD (Contents) 506 E. .lahGarage street Department Buildings, 320 E. Ash Sunset Park Buildings Street Departaeat Buildings (Contents) 320 E.Ash Street Department Buildings, 420 E. A8h Ci t1 BuUd1Jag. 216 W. OrU'f'ord City Building, 216 W. Crawford (Contents) Total Coverage - Ci t1 Buildings & Contents Group .euriaJ. Hall BullfliDg and Contents MiScellameOU8t Fire DepartJtent EquiJment Dwelling &: Garage (Dump Ground) S.wage Disposal Building &: Ooj,tent8 Ash Street Bulld1Dg &: Coatents Ahrens Fo.x Fire Truck lJ1terna tion.al Squad Car La Franoe :PuIlper 1947 Hudson Coupe 1930 Dedge Hose !ruck G. M. C. Chemical Truck 1924 Seagrove Ladder !ruck 23 Motor Vehicles &: Other Equiplleat Shop &: CoBtents(Oak Dale Park) Urplane HaDger &: Depot C:l.t1 BuUdings &: .emorial Hall B~r.at.~1al &Del Cit1 Hall DweJ.JJ.ng _&~arn - ~WIl B;Ul,Q$me~r'y C1t1ot $alina, Deposit Aecounts G.I. C. Trucks (Garbage) ,. . '"':t,"t :,~r'.''''~,,: "~ :.-...;?'-'- "f-'__, " ,:,~'"-i; 32 "Hit Exhibit Amount ot Coverage $ 92,000.00 3,500.00 30,000.00 500.00 1,300.00 8;0.00 1,350.00 5,000.00 4,050.00 500.00 290.00 12,250.00 1,900.00 2,500.00 600 .00 3,500.00 500.00 ~~-160. 590..00 .::; $. ;~~'-.':i1;:;?:I1::r1f~~'i~/{;!:."_::r;-~:tft'"r~~~:t;1/ T' ot Goveri .... Fire & SIlpplemental Fire & Supplemental Fire &:Su.ppleBlental Fire &: Sapplemental Fire &: Sllpplemeatal Fire & &1pplemental Fire & Supplement&! Fire &: Suppleaeatal F:tre & SI1pplemeatal Fire &: St1ppleJlental Fire &: Sapplemental Fire &: Supplemental Fire &: Supplemental Fire & Supple.eatal Fire & &1ppleaental Fire & Supplemental Fire &: Supplemental Fire & Supplemental -~jF 1~:!!'1:'tft~~:~~iiI~~~~;;;' {J.~'~_nt~/:-(~~,t~' ;?:':l!/P~\ ~~~'_'l'T't::;;'\~';"fi:m~f~;i:.M KANSAS SALINA ~-'}~:~J~~sW~~'i:~':1W~(~~~,t._(~~. OF ."f;<ffil'~~:t~~31~Ji"""I";",\'.t: +--.. 4,000.00 850.00 17,800.00 1,000.00 4,,~OO 2,000.00 20,000.00 1,696.00 675.00 275.00 1,500.00 $ 17,391.00..26,391.00 5,000.00 500.00 25/300,000.00 10,000.00 2,SOO.OO S,ooo.OO 7,500.00 $ Fire & Wind.ton Fire & WiDdatora Fire, Ext. lU.nd.tora Coverage Fire & Supplemental Fire & Supplemental Fire & Theft Fire & Theft lire & Theft Fire & Theft Fire & Theft l:Lre & Theft nre, Thef't &: Van. Fire &: Sllppl8lD8ntal F:l.re &: Supplemental Public L.i.aDUit1 BoUer . Explosion J'J,re At $o1ppl....tal Forgery BoDd nr.,. J1Ddstora, Bail :':,,''''.t.;<-. ,'t ""T' --"/I: '_. -- T i I I I ! I i .3.3 "Mat Exhibit CITY OF . INSUR OE IH roRCE EX~ ...Q1 December JIlQunt of 9over~e ot ~.oove -!m e Propertr M18oellaneous 3,000.00 1,150.00 '6000.00 1,000.00 1,000 .00 5,000.00 r.gal L1abUit1 Only 2,OOO~OO $ Fire, WiDdstn, Hall, etc. Fire, Wind. tor., Hail, etc. Fire, WiDdstora, Hail, etc. Messenger, R~~, etc. Sate & Bcglar,. Fire, Windstora, Hail, etc. D&1I&ge to A1rcraft is Storage Fire , Extended Coverage : PWlper Truck :r.tre >>epartMat Equi~nt Aircraft Hanger Qit,. of SaliDa City of Salha Aircraft Hanger C1 t,. ot SaliBa Oak Dale Park House $3,700000 Outside 8,000.00 2,000.00 2,700.00 Inside 10/20,000.00 Fire &: Extended Coverage fue &: Extended Coverage .e.senger, Robery,etc. Acc1dent Recreatioa Center: BuildiDg. Equi~Dt Robber7, etc. Veteran's Housing i;;:~J'-':t,;,~~;".>,i;;:;_':~ ..... ~';,,":::"';:,,::,:. ),"'/ >f\f~::_;, -.;:/,~:;;... >~t.':' ,:~;,:" ,,;,{,t,H~~,,:;.,t,.', ;'X/i.t., i,..;, ,.t..,' ,;:,(;,. '.~.:""~;i:r.-,',>'; . ~:._ '''';''~''~'' _'"1> ' ';~,~." > .';,'""t- if' ,...i..... '." ,'f'+''':'~'- ."'_';>~-' .\. ~~ CITY OF SAtIN.&. ~ ACCOUNTS RE~ December 31. 1947 General Fund: Police Fines and Forfeitures Gas Franchis. F.. BtlildiDg IJ1spectors lees not remitted as ot December 31, 1947 Miscel1e.neOl1S Fees and Permits Total General Fund Waterworks J)epartaent Fund: December 30 & 31, 1946 Collections not remitteCl until January 2, 1947 $ Petty ea.h J'Wld in CoUectioa otfice not recorded in City Clerks Records Total Waterworks Department Pu.nd Total Accounts Receivable ~~ .. :r.. ',Ji ~; , ~~; ~ ,i1' ,,~ .:,~i \;,;;; ~~ i '...:, .,.::0. ;; '~~ I 8,351.25 1.336.96 20.00 231.11 547.39 170.00 34 Exhibit -Nit $ 9,939.32 $ 717.39 $10,656.71 l~~' Exhibit .0. DoDds OUtstanding 1~l1....'7 ... $ 15,000.00 5,000.00 15,000.00 1,500.00 .. 7,000.00 1,000.00 5,000.00 5,000.00 1,000.00 3,000.00 800.00 6,000.00 600.00 3,000.00 8,000.00 1,100.00 .3,2;0.00 1,Soo.00 l42..54 4,000.00 3,000.00 8,000.00 4,000.00 8,500.00 26,000.00 12,500.00 1'7,046.61 475,000.00 .' Bond. J.etirecl 19.'7 '7,000.00 7,000.00 2,000.00 5,000.00 500.00 7,000.00 7,000.00 1,000.00 5,000.00 5,000.00 1,000.00 1,500.00 400.00 . 3,000.00 300.00 1,000.00 2,000.00 275.00 650.00 1,500.00 l42.54 2,000.00 1,'00.00 1,000.00 l,475.4l 2,843.44 2,934.'70 1,73:>.23 Boud. lane. 191.7 - - .. - .. - - .. .. - .. - ... .... .. .. load. Out.~nd:l.ng .' bOWlt ot Or1g1nal \I.~ . 7,000.00 22,000.00 7,000.00 20,000.00 2,000.00 ',000.00 ...JIaOOO.OO 2, Ot>>.OO 10,000.00 10,000.00 2,000..00 4,~.OO 1,200.00 . 1)9,662.55 l4l,671.01 34, 21tf." 85,392.58 9,813.19 70,000.00 70,000.00 16,760.97 42,9,'.80 44,37';31 7,)10.04 U, 628 .2' 3,915 t44 "'lk. , 4-1/4 4-1/.4 4-1/4 4-1/4 J.,-1/ 4 2 2 2 . - . 17,046.61 47',000.00 . J.92.046t'~ - - ... - - ... .. - - - - 9,000.00 900.00 4,000.00 10,000.00 1,37'.00 :t'/,172.7'J 2,971.36 6,9.32..49 18,045.52 2,720.74 1-1/2 1-1/2 1-1/2 1-1/2 1-3/4 1-1/2 1-1/4 2 2 2 .atv1t,. Date 1..1OwI43-4. . 7.1 10.. 1-4J-47 2- 1.. 43-50 11- 1- 4)-50 12- 1-(43-50 7- 1-14. ~ 471 7- 1- 42-4S 7- 1- 4)0.48 2-15-(4)..48) 5- 1.-(4).4S) S- 1-(43-~) 3. 1-(4)4) )- 1-(43-49) J- 1-(43-49) '7-1-(4.3-49) J- 1-(43-40) 1- 1-(43-51) 1- 1.-(43-51) ),900.00 3,000.00 28'.0. 6,000.00 4,500.00 9,000.00 5,47,.4l 11,34.3044 28,9)4.70 14,220.23 6 . 6,.315.09 6,197.19 S'TO.16 7,780.67 5,714.98 10,010.01 ',47,o4l 11,343.44 28,934.'70 14,220.23 1 1 1...1/4 1-1/4 1 1 1 1-1/4 1-1/4 1-1/4 1-1/4 1-1/2 1-1/4 2- 1- 4,..'2j 50- 1- 4S-4S ,. 1... 4J0-4S 4- 1- 4'-49) 4- 1- 46-49) 4- 1- 46-m55 9- 1- 47- ~ 9- 1- 47-SO 9- 1.147-56 9- 1-(47-'6) 11-1-(48-57) (2-1-47)(8-1-58) Date ot ~ 1-10-27 10... 1-29 2- 1-)0 11- 1-:;0 12- 1-30 1- 1-3'1 1..u.i38 1- 1-3. 2-15-38 S- 1-38 ,.. 1-38 3- 1-39 3- 1-39 3- 1-39 7- 1-39 3- 1-40 1- 1-41 8- 1-41 2- 1-42 50- 1-44- ,.. 1-44- 4- 1-45 4- 1-45 4- 1-45 9- 1.-46 9- 1-46 9- 1-46 9- 1-46 11-1..47 12-1-47 ! Gen.eral Impr.....Dt ... "wage Disposal IDternal IaprOT.ent ... storm SWe Internal Iapr....elll8Jlt ... I....r Repair ID.ternal Iaprov-.ut - stora S...r Iaternal Iaprov.eut ... J'lood. Control a.tonQj"l a.fundi". luda....t InterDal IaprCJ9'emcmt .. Olin StrMt Viaduct Internal Iaprov..ent - CUrb,Qutter &: PaTiDg IDternal Iapr.......Bt .... La_ral Se..rs Internal Iaprov.ent - Curb, Gutter &: PaTing ID.ternal Iaproveaent - La_ral Sewers Internal Iaproyell8at - a.wer &. PlaBt Repair ID.terna.l Iaprov.eat ... Sewer Internal Impr~ement - CUrb, Gutter &: Parlna Internal IJIpreveaeat - Curb, Gutter &. Pa'YiDI Internal Iaproy..at ... Lateral Sewr Internal Imprcwyement - CUrb, Gutter &: Pa'Yinc Internal IaprO'Y..ent - Curb . Gutter Internal !mpro't'....t ... Lateral ....r Iateraal Iaprcw.ent - Lateral s.wr IDternal Iaproye.ent .. Curb &: Gutter IDterBal Daproy..ent .. Pa'Y1ng IDternal Iapro....ment - Curb 1& Gutter Internal Improv_ent ... Lateral S.....r Internal IaprOt'ement .. PavlDg IBternal ImprO'Y..ent - .aiD '- Lateral Sewer IIlternal Iaprovemeat - CUrb, Gutter &. Pa'YiDg Internal ImprO'Yemen.t ... a....... Disposal Totals Series lumber 1\-114 -..uS J-U6 c.J.1'7 P..llS I-ll9 1\.121 8-122 1-123 8-124- '..125 '-216 s-l27 P-128 12~ 130 8-131 132 133 P-l34 5-135 P-136 ....l37 139 140 36 lfP" Exhibit o H'f ~c..ber Purpose ille1 Paving do do do Sewer do do Curb & Gutter Sewer Curb & Gu.tter Sewer Curb & Gutter Park IJIprovementa Sewer Curb & Gutter do do do do Park Improvements Co. Water Depar'taent do do 4p do do do do do do do do do do do do do H. J 0 Taylor Coast. do Water Departaeat Pi ount I 2,550.71 3,435..u 1,947.35 9,812.80 20,489090 1,Ul.80 30,238.96 11,594.85 6,248.35 12,582.55 28,482.65 19,068047 10,000.00 5,311.50 2S~222.89 38,883.79 5,6a:>.o3 25,818075 78,590037 6,000.00 Interest Rate 1% 1% 1% 1% 1% 1 % 1% 1 % 1 % J.% 1% 1% 1% 1% 1% 1% 1% J..}~% 1-l/ 4 % 1% 9-16-46 9-30-46 3-18-37 4-~47 4-22-47 5-20-47 5-20-47 5-20-47 6.17-47 6-17-47 7-'D.-47 7-ZJ.-47 7-~7 8-19-47 8-1'-47 9-29-47 9-29-47 10-21-47 11-18-47 12-31-47 D # 46-l3 14 47- 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 I. Totals . . < ~ _ . _ .' ._. _...... '0"" .__... "~ ~.,,~!-:'.,'~_~r~~n";j~~~~;W.',', r:/:.'./',;~.<~~~;.,"~,'!r:fJt:'..,~~\-,t~~{w~,tf:'ir1.;,~;~'.~~\~~~,:}\tf~J?~~/~~7i:.::~~~~~ 37 CITY OF SALINA. KANSAS Schedule 1 STA'l'F.MENT OF RECEIPTS. !)T~TTRc::.li:MF.NTS & BALANCES OF .Q6Wl- GENERAL Eilm Ja.nua.ryl. 1947 to December 31. 1947. Inclusive AmOWlt of Amount ot Aotus! Over Actual Under Actual Buas:et BudRet Bu~et Bala)lC8 - J anuar1 ~, 1947 $ 84.155.6.4- $ 48.158.~ $ >>,997.16 $ - Receipts: Licenees,Fees & Fermi ts (SOO.1-A) $ 26,679.40 $ 16,718.00 $ 9,961.40 - Ad Valorem TaDS 38,849.87 36,942.38 1,9<11.49 Sales Tax ResidUe 4,884.69 8,023.96 3,139.27 Cigarette TaX 10,681.58 8,000.00 2,681.58 - Franchises 15,410.06 11,660.26 3,749.80 - Fines, Fees & Solts - Police court 31,291.46 19,800.00 11,491.46 - City Court 2,147.26 1,500 .00 647.26 Parking Meters 18,834.50 13,000.00 5,834.50 - Rents 35.00 35.00 Sales & Services 8,945.92 6,500.00 2,445.92 - Refunds & Re coveries 879.51 50.00 829.51 - J41scel1aneous 29.18 897.42 - 868.24 Total Receipts $ 158.633,43 $ 123.127.02 $ Ji, S06.JJ. $ Total Cash to be Accounted for $ ?42. 7~ $ 171.285.50 $ 71.503.57 $ Disbursements: Administrati- & Finan- (Soh.1-B~ City Court (Sch.l-C police Dept. (Sch.l-D Engineering Dept. (Sob.l-E) Milk InspectiDas & Health Dept. (Sch.l-F) 7,272.05 Legal Dept. (Sch.1-G) 5,709.05 BuUding Dept. (Sch. l-R) 3,376.4l. Garbage & Rubbish (Soh. l-I) YI ,28? .15 Parking Meter Dept. (Sch.l-J) 3.334.37 Total Disbursements $ 162.~bS.31 $ 'i!l, 285.00 5,800.00 64,604.00 14,465.00 10,150.00 4,130.00 4,470.00 30,381.50 10.000.00 $ 171.285.50 . 28,690.77 6,000.39 59,490.20 11,407 .92 Balance Deoember 31, 1947 $ 80.220.76 $ ~ - $ 1,405.17 200.39 $ 5,113.80 - 3,057.08 MIl 2,877 .95 1,579.0; .. 1,093.59 6,905.65 - .. 6.665.6, $-- I 8,717.19 $ 80.220.76 $ - 38 Schedule -],.A" ;R.i. FUND 1 1947 to Dece.~r In.olllsive J. Amount ot Actual UDder B~et $ - - - - - .. 48.00 35.00 75.GO - .. .. 10.00 47.00 25.00 - - 15.80 100.00 - - .. ~ 41.50 - .. - - - 8.00 112.50 250.00 51.00 150.00 - lJaou.nt of Actual OYer , Budget 1 50.00 - 2,500.00 - 2,628.90 20000 .. - 1 :". ('," ......",-'.1) ..-' 10.00 54.00 98.00 - .. .. 75.00 22.00 - .. - 125000 330000 330.00 .. .. 3,712.50 25.00 410.00 525.00 - .. - .. - Budget . 100.00 150.00 2,000.00 100.00 2,000000 100.00 200 .00 1100000 5CJO~ 50.00 100.00 100.00 450000 200.00 300.00 750.00 75.00 75.00 550000 50000 100.00 900.00 1,500000 200 .00 10000 3,000.00 75.00 850.00 25.00 8.00 100000 250.00 650000 300.00 Aotual . 150000 150.00 4,500000 100.00 4,628090 120.00 152.00 865.00 WoCO 60.00 154.00 198.00 440.00 153.00 Z15000 825.00 97.00 60.00 450.00 50.00 225.00 1,230.00 1,830.00 152.50 10.00 6,712.50 100.00 1,260.00 550.00 .. 7.50 - 599000 150.00 .1l1ction aDd potioneera Liceues hto WreokiDg Licenses Beverage Dealer Licenses Bill Board. Licenses BuUdillg Permits and Inspectors Fee. Ooacrete Conatru.etion Licenses Dance Fermi t. Dog Licenses and IaI>O',md i ~ Electrical WtriBg Lioeaaea Gas 11 tters Licenses House Moving Permits Buckster, Yendor aDd. PedcUing License. Insuran.ce Company aDd Ageat Mcenses Junk Dealer, BlJ3er aDd Colle ctors Licenses Plmiber aDd Gas Fitters Licenses Pool Hall aBdBowliDg Alle, Licenses PlWlbera QertUicate ,.es Pep Gern Stalld. Li08ases Show and'l'heatre Licenses SkatiDg IUJak Licenses Street .ldYertisiDg License. TaXi-Cab License. Taxi-Cab Drivers LioeDSes Truck aDd Team Li08ues leat PackiJag Pera1ts .......at lI.chiDe License. Ou DrUliDg Pertlits lIule lachiDe Perm. ts ~. License. lIuna Lice...a ftotop'apllera License8 Sewerc.ae'OUoa Permits IIUk ... hod Inspection Licenses he Broker. Licenses $ $ 16.718.00 Totals .M.'"' '~"'.""~'~''1,J::, ,t d"..j,fr;' '. ",..:~r';.I'..: ! """;'l\.~,;;.-;;"_:' i~-;,):<.',: ',~'t;;\"'.i.;<: ~",",' ..;';:,~{,.:,'.~..., ,,-,,~,,,~__ ':'t,~, :; ."",,~.-~:;t'.'>J ','io;~ .0~'~.' '. ',;;~",'.;.' '. :~",?;,..r.:-~:,X'~; ,;'~~"...:~);>",.<~ ;~;""~,,,,~:,.~,:.:',-:'--i' '<.~,J.,_ .;>....~,f>::~i";~, /,i\r,:.,Ji.':,:,\{t t,: :;-<,,_ .~tJ,f;:4;.".,"~~'.:".#i,i. 39 Schedule 11-B II CITY OF SALINA. KAN~ I}ETAIL OF DTIlAURSEMENTS GENERAL FUND - ADMINISTRATIVE AND Fn{ANCE DEPAR'l'Mli:NT ~a.ry 1. 1947 to December---1!. 1947 Inclusi~ Actual Sala~li. & Wages: Oity Commissioners Oi ty Manager City Clerk Oi ty Treasurer City Bookkeeper City Manager's Secretary Building Inspector Be Assistant DuttP GroUM Caretaker RestroQlll Caretaker & Police Matron DePllty city Clerk Clerk & Typist $ 375.00 3,075.00 1,537.50 5'19.97 1,935.00 1,095.00 3,573.50 960.00 360.00 2,287 .50 1,280.00 Bu~et JJnount ot Amount of Actual Over Ac'buiU UDder Budget Bu~et $ 375.00 - 3i~~ - $ 525.00 1,620.00 82.50 750.00 - 150.03 1,800.00 $ 135.00 1,140.00 .. 45.00 4,300.00 - 726.50 960.00 240 .00 120.00 - 2,400.00 - 112.50 1,150.00 130.00 Total Salareis Be Wages $ 17,07S.47 $ lS,335.00 .. 1 1,256.53 Profess1oBal & Contracted Services $ 1,261.00 $ 2,000.00 I - $ 739.00 OftiCfi SUpplies & Expense. 2,973.95 2,500.00 473.95 - Printblg 889.02 500.00 389.02 .. Election Expease 2,336.30 1,500.00 836.30 - Maintenance ot Equipmeat 201.03 250.00 ... 48.97 Insurance Be Bond Premiums 499.98 450.00 49.98 - Traveling Expense 1,041.93 250.00 791.93 - Furaiture & Equipaeat 2,022.75 1,000.00 1,022.75 - Befunds 50.00 50.00 -2>,1. Misoellaneous 210.10 250.00 39.90 Americanizatioa Genter 126.24 200.00 - 73.76 Totals ~S.690.77 $27.28~.OO j1.405.77 $. -;""~' {.;..t~:~~'i'..,~~~tH~i~:1~'~,'/ -,',".tw,;;.;?','*.,-:..., ~~-'f~..:i:"j:' ~:_~:~ ' r.~.,~ .: "\":"'\ ;';' -,"t:,,-~,-.t: < ;.;.;;:~j~,_...;:,_,,,,,:~;i;j~;;: ':~'i\:,>,';> ';;~'O#-i:":t.i,_':,, 'v".~l,;, "~)-:'!; .:<.'..._.-",;1,',,"_-: _, -~'!'l'-" -:;,,'~~., 4-'~ "-,: _.-,". -<: -'i:.... ; ,-......'-.. ,:;"':.'f..', ~>",',,-- -~ 40 Schedule "1...0" C:rfY OF SALINA, KANSAS DETAIL OF DTSRT1R.ctreUF.NTS GENERAL FUND. - CITY OOURT DEP ART.MElf.l' J~Y 1. 1947 to December 31. 1947. Inclusive Actual Amount ot Actual Oyer Budl:et . Bu_t DOUBt of Actual UDder Budaet Salaries and Wagesl Total Salariea and Wages $ 2,400.00 $ 2,400.00 $ - $ l~SSO.OO 1,200.00 350.00 1,780.00 1,500.00 280.00 $ 5,730.00 $ 5,100.00 . 630.00 t - Judge Clerk Marshall .. tit - Totals $ 215.49 $ 270.00 . .. $ 54.51 54.90 375.00 - 320.10 - 25.00 - 25.00 .. 30.00 - 30.00 . 6,000.39 $5,Soo.00 t 200.39 $ .. -- Office SUpplies aDd Expense Traveling Expense Miscellpeous Bond Prem1uJll .,,;;:,,-_,~-~_..;r'''''''::'''~~ :::','; '}~1,' :,,11. \:'.;\~. :../- ",f;;i., ,,~:~"\i;_:~a, ',"-;,}..,~~..,,'~',,;:r. ',;,>r;,";,~'~>:", 'A ..'~,::.~ .:")W,,, . ",h\,t;.: '''~J-,-\ij(;-'..1.;;'>~ ,'~;"y(,:~i:.~t,~;-..',..,- ,;",ii~;~:'~~~'~';;:~ ":"',~,"'4'.."I'",.J;~.~ 41. Schedule 'l-D" ~- yITY OF SAI.rNA. KANSAS DjTAIL OF DISBlJRSEMEN'!S GENERAL :roND - POLICE DEPARTMEN'l' January 1. 1947 to December ,31. 1947. Inclusive Actual Budget .Amount of Actual Over Budget Amount of Actual Under BudPt Se.la.ries and Wde., Chief of Police Police Captain Desk Sergeants Patrolaen & Special Police Dog Catchers $ 3,187.50 $ 3,300.00 - . 112,50 3,373.16 2,340.00 . 1,033.16 - 9, 22S.00 9,000.00 228.00 .. 31,261.27 38,140.00 .. 7,(f'/S.73 1,755.00 1,Soo.00 - 45.00 Total Se.l~ies and Wages . 48,804.93 . 54,780.00 . . 5,975.07 ProfeHional &: Contracted Services $ 1,693.40 . 1,764.00 . "" $ 70.60 Oftice Supplies &: Expeu. 1,569.37 1,000.00 569.37 - MaintelWl08 &: Repairs 3,159.28 2,500.00 659.28 Material Be supplies 719.70 400.00 319.70 - InsuraBee &: Bond Preaiuas 49.65 10.00 39.65 Gasoline, Oil, Grease, Etc. 2,327.92 2, 000.00 3Z1.92 - Traveling ExpeBSe 332.97 150.00 1SG.97 - FIlrnitve &: EqniJRent 745.13 1,500.00 754.87 lIiscellaBeous 87.S5 500.00 - 412.15 Totals $ 59,490.20 $ 64,604400 $ - $ 5,113.80 ~,~'i'R;';, ,,'_.'~. :*. :n\:':f ,'},: '_'",.;',' __~~~';'i1:1( : _.,-;."..'.' ",.;.~;.>:-:;7~"'.-i:... '_-'::;;:,O,:>:,,:,.t<.':. 1"~~',;-",,~ .,:.<J,".....:'..<~ ,':'. \~""', "" ....: ,'. :-I-~ .,", "K' 42 Schedule tt1-E" CITY OF SALINA. KANSAS ~AIL OF DISBlJRSEXEN'l'S GENERAL WND- ENGINEERING DEPARTMENT Janu~Y 1. 1947 to D$toember 31. 1947, Inclusive Salaries and ilas:es: Ci ty EDgineer Field Engineer Other Employees Professional Services Amount of AmOU11t of ActUl Over Actual UDder Actual Budget Bu~et BudJ!:et I 3,187.50 . 3,300.00 $ - . 11.50 2,345.20 2,100.00 245.20 - 2,387.00 5,700.00 - 3,313.00 1,510.27 1,000.00 510.27 - Total . 9,4'29.97 1 12,100.00 $ $ 2,670.03 Office Supplies Be ExpeBS8 $ 143.96 $ 150.00 $ - $ 6.04 Legal Printing 1,213.00 1,000.00 213.00 - Maintenance of Equlpaeat 186.62 300.00 - 113.38 Materials and SuppJ.ies 271.74 150.00 12.1.74 - Insurance &: Bond Premiums 24.54 15.00 9.54 GasoliBe, Oil, Grease &: Anti..Freeze 138.ocr 150.00 - 11.91 New Equipll.ent - 300.00 - 300.00 Miscellaneous 300.00 - 300 .00 Totals . 11,407.92 . l4,465.oo $ - $ 3.051.08 -- ~ , .~ "' '~ ~ l~~ " $. ~ '';;(z;;''-:k>>-'-;~;.,~:_~:\<,.ci~'p'f~/,,';- ~;:~::",i':l~.'-~~:';.",,;i,=:"'i};,k.t"';:~""~"~:j.:,:(.~~,',,:'t~; /:~}"';,.,~ ,J;i~~:;>:~h':><"'\ ~:~<,i'~~,,'.:( ....,; ~,.;f';'i\;,f,,~\i..., ,f".t ".~~. ",'~':;:',.,-<;: ..t;~ _.:"",-:;. F..,.., iC'\<\' ;'i'~--,;:::.\ ,',-~., ~l ~ ,< \..~'-:.~,;;t.- -;"'-'~-"--_L ,,,'h '" . 43 Schedule "l-F" ...---- CITY OF SlLINA. KANSAS DETAIL OF DISBURSEMENTS QiNERAL FUND - MILK INSPECTIONS AND HEALTH DEPARTMENT ~ 1 '4 ~ i ;; f '~;J ~ .. ,t~ ;~~ l,i).~ .::~ ~;.f~!,}~~~,~:'~~'('~. ~;:l~-~P'~~f,~:;i":~:,:_S;;,:,,:\::;,,\-':::-"!L::j ;'~<~:;;-';'~~~""? ..... ';;~5r~)Ji:p-;;:J"llr;:';:f:;~ '; ~';."~:';':l~.~'~~_'jt. 'i~-''<.'. . :;>: 'fr v~;, ~~.~~,.~' i' ..'-~; ,c;r. ,>"" ",;'~ . ......... . .in""L'Jr''':~~j<_~;" {.*~ ~;,..,:'_ :,;:~. '... ;,,""id>~ "",.""~ ..;,:,,-:, ';..,1;, ,;OJ.:'. .,~ . ,,", ",:-"",.",~ ::.,,~'..-, '~.:<-,,---, ,-~. '-"" 44 Schedule 1t1-GtI ----- CITY OF ~&T.nrl. KAN~ DETAIL~OF DISBURSEXENTS GENERAL FUND - IEGAL DEPARTMENT_ January 1. 1947 to Qecember 31. 1947. Inclusive tA '. f( ~~ :;~ '., {, ~\ .~ ~{ 1* '''i f,~ ~i ,,\' ..,i ',.' '. ~~; 'j; ,:~ .:'f.i.::~L~~.::t>...:> -' ,:/\~:-" ;::>: '_ ;-:<<Oi,t.},';-~I;'- ':~>,<~,>:"'.:;,.' "'.;~fr.':,J,"\ .::'i{r- .(: ':1'--' ,,-;;"_'-C''';- _ ""> .;." ;;:"1 't,,," ,~'~~''', 4 ' 'r~.(~' ~"""~::: ,., ,;;,'.~:,,';.,~,"',."'.,':~\,, T.,'::'~"~_-'.--A_:..-;<_:;'-_,::,_",.,:,_ 45 Schedule Itl-H1f CITY OF SAL:pll. KANSAS DETAIL OF DISBlJRSE}.{ENTS GENERAL PUND - BUILDING DEPARTMENT January 1. 1947 to Dec!!ber 31. 1947. Inclusive 4ctual Salary ot City Hall Custodian t 1,657.50 Protessiona1 & Contracted Services 9.34 Maintenance Buildings & Equ!pneat 897 .69 llater1als and Supplies 521.63 Insuran_ 49.00 KiscellaBeous 35.00 Equipmeat 206.25 Amount et Amount ot Actual Over Actual Under B~et Bu.et Budget $ 1,620.00 $ J7.50 $ - 1,500.00 - 1,490.66 600.00 '8'1.69 - 600.00 - 78.37 100.00 51.00 50.00 ..,.; 15.00 - 206.25 - Totals $ 3,376.4l . 4,470.00 * - $ 1,093.59 ; f': 'l:"',, ~:~:::,;",:;,:~';:.:,:_:\. '" '-., -: ~,I.~,;'~....,~,:;';''':i.r:!t~ '~:",~" ~~ ;io.'J ~:,;_,~",,;, . ~:~~_:, '"~:~, _',' .. iV_"':....'~" -"'" ,-_._-,...~,-, ,- '..... 46 Sohedule "1-1" QITY 0l.,iAT.TN4. KANSAS DETAIL OF DISBURSl!a4ENTS GENERAL iUND - GARBAGE & RUBBISH RDIOVAL DEPARTMENT January 1. 1947 to DeC!!!!Qer 31. 1947. In.clusive Amount ot Amount ot Actual. Over Actual Under Actual Budget Bucucet_ BudRet Salaries and WaRes Superintendent . 2,152.50 $ 2,220.00 $ 67.50 Other Emp1018es 30,4Z7.75 23,694.00 $ 6,733.75 - Total Salaries and Wages $ 32,580.25 $25,914.00 $ 6,666.25 i - Office SUpplies and Expense 20.00 - 20.00 Maintenance of Equipuat 2,514.13 1,$00.00 714.13 Mat8risls & Su.pplua 252.1. 50.00 202.19 - Insurance & laond Premiums 115.oo 97.50 17.50 - Gasoline, Oll, Grease & 1, 597.0S A11ti-Freese 1,000.00 597.0S New EquiIDeat - 1,000.00 - 1,000.00 Mis cellaneous 228.50 500.00 - 271.50 Totals $ 37,287.15 $ 30,381.50 6,905.65 - ',i,'- .~. .. 'ry !:: ~:; 't 'I ~~1 if ; .~' ;. ,"~ .,;; ;-j :I~!i ~:: .....: ,-,!"#',f",, _-,,_,;."~': '<4. ",,\ ~. "~:,:';i,.. ~'.....~~, IJ.,'- -._'" i-",~.~..,.J,"lt:...:~.il,';":''J..;'';; ,,~r.:< 47 Schedule. "l_JIt CITY OF SALINA. KANSAS DETAIL OF DISBURSEMENTS GENERAL FUND - PARKING .METER DEPARTMENT Totals AJnoun~ of AmoWlt of Actual Over Actual Under Actual Budget Budget Budget $ 1,0111-.40 I 2,020.00 .. $ 1,005.60 1,639.71 2,500.00 - 860.29 472.10 4,080.00 .. 3,f::IJ7.90 ~8.16 1,400.00 - 1,191.84 . 3,334.37 $ 10,000.00 .. $ 6,665.63 --- Equ!pIlent Mater1a1.e and Snpplies Wages and Salaries Repairs '~~"'~r,.~~..-.~: d.;.J"--";:;"'{"",~,-", :J4~; ',. ~"",."., .,:..~...;.',"~'<.~-" ~-N<.M,>~.;.._' rf.',*';."l;-i~,.i1'l;,;~,"-i,>t f'.,''''''*' i'".' ..;;,. . }j'll! j.'.""'';.' "" '"' ~ ...., ..:',,;.. ,", -". l. '.k. ,,' ''''. ~~"~;~"~""'I;/;~".~', .."~'_~ ""e."..._ , '<"1 ";I. :~. .. . 'T.' .' '.:,l 'r ..': ' .. ." .H'. ".. ".~ .,., . .'t,. ..':ill. ".~L'. ;);l1~."';..:.;E' :Ii' ""':;.".II"~. .iill.. ,;.. '.i.""....s"":,,- .""~;;....1li,!l;~iii,;;.'"t:;' ....~ .1Ii_. . ''ill ~.... ~., lJ . .~ .ni ~_~ . ..,~...~_~~, ~. ""_""""'~'._~" " ~".... . _'Mi' ~. . . i.t,~I~l!l....k..~tld$:....J.. l ;4:~~~,lu!!l ,&i>>~\);~ ... ,j,~_~,.1'1. lW.1 .~l;_ ~.4' !~l..... '1__ Ii..... 4t~.~ ~ii;l1s. t.. 1,.** ....U..fii~;J. (*~..f'" .. ..."") ~'.hl i1ie.l,,,. '_"1 ~. \.~'....\ tw II~ . ;,.. ... . .~;=JI.N "n <~ht A....' taut. ,s. l:l1l.~._ n~.. ~'fttt1 ,16N~.j.g ~)"t_ ~tiW,u....4!I ~.~'... lh~1Ube' . $,;;'\;4"''' ..1:tl~Il_ ii'....W. .. '.51'!;~.t.. ~_~l".eU. ~":U!lt.ln."'- ,.... l~rll!l~ . .110. ,........ ~ _".:f4PIJ1. . l<i"';.~.~:1~.u' tl"~..l ~s..G\l4J.l1i''''_. '."'l!tlw~'UJ'''.:t_t. ,~W_ .1'''''..'' llP.t ~,.el /Jv. . ..~t.b~ .".1.... '.. ..,_ <, '!lI. "4.'0 .~. ,.,ut7-4ii fi.4,W .,.~W 41 .;,.~~~!l. t1,i(# "",~t.,>r ld,t\.~t;:tj.,i_ ~ nl___' 19'1t c.lt .. .. ;~ l4'tl~.ci ~'j.m."~ ~ J,G4:..~4 J~ ..tot:;; IJe.~~ 1~." U.~~!." '.01'.&1 ',.t.>>.J4. ~";1'<.c~~"'>.__ W~.'41t<'-" .1'Ir:A"~ ~","!ll"..yt._~ __~~.w-""-:~""" 4t ""-'I .. S~,..)iI; ~ ~ ~ ',11'.~ $; 4.ii..~ '->>'.~1 .. Ii (i;i......ll..1 ~...1d1~ ... ... ... 4. JU.1~. ~-- ... ,"<81"') \, _.I.\."" - T r : ~1lt. L . ~ ~ ...f._lll: i 11' II' .. 111.. l'.~ ... $ J 'fJ:B .. ... .. .. .. ... 1~, .00 1,t!OO.&<o ~"""'.'Ipi.~" r .. ilI!M~.. n....~~ n .. W n U ..,ll ~ r'J'LlL~ 1.l"d) '-"..)1 SJ~_ J4? .;l$ ~.~..- .. .... ~ .).. 'M<<..4.Ii; .... :wI4'~~~~ .....~:...._ I' LI '.In 1 Jif 4- 'm ..114_. ~.Ij.J .:r.1 _ J" .."ll ~_;.1. I.. ..,. lIlu 8lVa. ... f J. '1l+I.4i rr Jl.. L ',u.ll "-'11} lilt" ).m.ooi. 4.ie'.5G. :e.)4t}.Oti> 'I!. ... . 1,.tX? .. _tw JIIII"~~ 'i! . pi'- TW" . ~1'j.Qi~ ~@.co '. """,'A ~1/'1 ".~fi'''' a6.i) 1.'~{~.;t1 lJ~.J~ 14" .11 aM. .;,z;' ~." ).00.00 .,~~! .or, l~.o(~ 1. Gt'Q.t.HJ .. ... J~ni;a. $.\1 ,., ... ":, ;<:rc, 0- ~~;,,,:.\.. ~~. . '.~::.,;<,'-J,~4r",:'!'r, ,," ':","':" ,~; -- ,- .~,C<.- '"iI.", ;'_;PJ.. c, :.~'-- -~"_ ", -, ". '_ - 'jf~';- - ""'_ ,.f,_ ~ Schedule 11311 49 $ 21,790.05 $20,950.26 1 839.79 $ - 90.00 - 90.00 - 42.50 99 .39 - 56.89 4,638.,42 3,OV.91 1,610.51 - 7,693.62 8,250.00 .. 556.,38 442.41 - 442.4l - 2.32 ... 2.32 ... $ 34.699.32 $32.327 .50 1 2.11)..76 .. $ J/.125.oo $37,000.00 $ 125.00 ... cm OF .RILINA. KANS1~ S'l'.A.TEMEN'J' OF RECEIPl'S, DI!=;RUF~gN'I'S AND BALANCES OF CASH PARK DEPARTMENT FUND Ja.zxuary1. 1947. to DecEIIlber 31. 1947. Inclu.si~ Actua;! Amount or Actual Over Bu<ket Budget BaJ.anoe - Januar;rl, 1947 $ 2.~5.68 $ 4.67?~ $ Receipts: Ad Valorem Taxes Rent Services and Sales SeJ.es Tax Residue Swimming Peol ... Gross Receipts Miscellaneous R~fuDds and Recoveries Total Receipts Total Cash to be Aocounted for Disbursements s &lperintendent1s Salar1 $ 2,775.00 $ 3,000.00 $ Labor 19,804.88 20,000.00 Office SUpplies and Expense 90.62 50.00 utilities 230.73 150.00 Building & Equiplent Maintenance 750.75 500.00 Materials and Supplies 2,632.67 1,800.00 Rent - Thomas Park 100.00 100.00 Gasoline, Oil, Grease, Anti-Freese 266.35 300.00 Tools and EquiIS8nt 2,536.07 1,500.00 New Improvements 658.19 1,ooe.OO Insurance and Bond PremiUllS 72.89 25.00 Swbaning Pool - Gross Disbursements 4,572.51 8,375.00 Miscellaneous 53.66 200.00 .. - 40.64 80.73 250.75 832.67 .. - 1,036.07 . 47.89 - Total Disbursements . 34,. 5J.A..34 $37 .OOO.op $ .. $ 2.580.66 $ - $ 2.580.66 BaJ.ance - December 31, 1947 Amount ot Aotual Under Bu~et $ 2.246.76 $ 225 .00 195.12 .. ... ... .. ... 33.65 .. 341.81 .. 3,802.49 146.34 $ 2.455.66 $ .. ;:";;':,, ';;"~,'_,e'>,.,,~(;':>:;{,~ :' ""'s ;~_~;:~Ii,..,'.ll'~:;;~~',,~~< 1:"X;~:'~- ~;,:'\;\':'~{,'" .'{,:, j ,~~):,;,r.. ~r::;:~~~':~;~.~~~S'?;"'; "::'l:" '~',:: ,,~.. -; >'., ",,: _::.i.p;:' ''--X.i;,.;t.''i,;:~>t~,-;-:-. :,";~~ < ;r'A':'~~';'" ;',;,-:A:; ::/ 'r''::>'.L~ :'>./,,1' '., '",,,,,,,.:;~,)\).;:;::J.{~'~~\'.?!, ,~.:_~-;': ;~: ...",:,-~,./;;i. l 'fin!'''-, ~~:'tj~ ;~: '_ -~ . )'.~";,:,~<~~',J;,,, .'~~;it'j.,J 50 Schech1le '3-.A It CITY OF SALINA. KANSAS STATEMENT OF REOEIPl'S. DIS3URSElt1ENTS AND BALANrns OF CASH PARK DEPARTMENT FUND - srrIMMING roOL FUND J~Y 1. 1947 to December 31. 1947. Inclusive Amount ot Amount of Actual Over A.ctual Under Actual Budget Bud*et Bu<U!:et Balance .. January 1~ 1947 . .. $ - t .. . .. Receipts: Rent aDd Concessions $ 305.35 $ 250.00 $ 55.35 $ - Services and Sales 7,381.80 8,000.00 - 618.20 Refunds and Recoveries 6.47 .. .. - Total Receipts $ 7.693.62 "8~250.00 . - $ 562.85 Total Cash to be Accounted For $ 7,693.62 $8.250.00 . - . 562.85 .. Disbursementss Salaries and Wages . 3,607.40 $4,500.00 $ $ 892.60 Oft11iie SUpplies and ExP8pe 67.2!J 100.00 - 12.80 W"ater 116.70 600.00 - 483.30 Light, Heat and Power 108.68 75.00 33.68 - Materials and Supplies 498.84 1,000.00 .. 501.16 Building and Equipaent 69.69 Maintenance 1,500.00 .. 1,430.31 Furaiture and Equipnent 500.00 .. 500.00 .isce1laneous 6.00 100.00 - 94.00 InsuraaCB 78.00 .. 78.00 - Total Disbursements $ 4,572.51 $ 8,375.00 $ - $ 3,802.49 --- Net IaCOJDe (Ref'leeted in Schedule tt 311) $ 3.121.11 Y:~~~':~~~'\"~~t!t:!,:?~'~~~~Z;;..~~~;.,:~,.~n&~:~,:r:~-,"~~::?'&':'t~~'~:;~;,iJ1;;~h~1':1!!!;.l'iA:t,;""i-,~~:-;~,7@:;.'~'':;:~::.,.::1'1~:;C!jf;''''J';ol.;.~~.~,,"'7i.'i't;:~~:~"r~M(Jr:~~~~it:''':~~lf~,{l~.~:.r,i'~ ~~"('&~~ J~':!J'~~,~~~, :';~t,;.W~~l\>h~"~~"'.~f~"~j~:,,,:;,'~('';lf'_.','~". .1; '_ ,:-:.__..,~, 51 Schedule "41t CITY OF SAT.INA. ~ STATEMENT 9F RECEIPTS. DISRUR~NTS AND BALANCES OF C.&' MEtiOlUAL HALL FUND January 1. 1946 to December 31. 1947. Inclusive B&lance - January 1, 1947 Receil?ts: Ad Valorem Taxes Rents and Coacessions Services and S8.les Sales Tax Refunds and Recoveries Mis cellaneous Amount ot Amount ot Actual Over Actual Under ActuAl ~uds:et Bttdaet Bwlnt $ ..L.2~02 $ 292~2 $.... 7.696.97 - Total Receipts $ 5,244.61 $5,045.81 3,123.00 3,625.00 71.50 70.61 1,115.43 1,234.46 243.99 250.00 ZlO.99 497 .00 $ lO~069~~~ $lO:722.~ . 19S.8O . ... 502.00 .89 ... - 119.03 - 6.01 - 226.01 $ - $ 653.36 $ 7,GU.61 $ - Total Cash to be Accounted For $ 18,058.61 $11,015.00 Disbursements: ~ GIlstodians -Salary . 1,6;0.00 $ l,Soo.oo t ... $ 150.00 Other Salaries 1,919.S0 2,040.00 ... 120.20 Office Supplies & Expense 64.69 75.00 10.31 Utilities 1,305.18 1,500.00 .. 194.S2 BuUding & Equipment Maintenance 2,005.72 1,000.00 1,005.72 - Materials and Supplies 525.98 500.00 25.98 - Insur8.l1C8 & Bond Premiums 148.93 150.00 19S.93 ... Furniture & Equipment 853.S3 500.00 353.8.3 - !few linproveJllents 5,533.38 3,400.00 2,133.38 ... Miscellaneous 24.00 50.00 ... 26.00 Total Disbursements $ 14.231.~~ $11.0~.OO # 3.216.a.. - Balance - December 31, 1947 $ J,SZl.10 $ - $ 3,SZl.10 - ~,;:,'It~,;:.: .:,,,,,- :;;t:~" .t.,,!';..'.'}:;i /'/>> .1:':".':;j.~;;."\j.",..Jv.';r-;'C~;::::'f;:!, <:....J,<~;,.,'.'.4i:-:~;:',.;:;;.~l:,-'::^ \',I>;.",.:,,,,~,'.it~,,.~~J~ "..:. ,f, __ ',~:" -..~..;ti; <'::'~-: ::;~.$!t, ~ -~;,< "'~~'J.\i'~f'::~,,, ;;: ; '_'f ,,:' ':';" i~~ ;., ~, ;,t- 52 Sehedule -5' -- ~~~.-. ,,~. ~-',~'I_,," ,;- - :'.~\!_:"< ...., ~',.,:,._..': ;;",_;~,-;" 53 Schedule "6ft CITY OF SALINA. KANSAs ST.A.TEMENT OF RECEIPTS, DISBURS:i.iXENTS AND BALANCF.S OF CA..~ GENERAL lMPRDVEMENT FUND January 1. 1947 to December 31. 1947. Inclusive Balance - Janua.r1 1, 1947 t ..~ ReceiptSI Ad Valore. TaDS Spec1alUs8.aent Taxes .eed Cutting Water Service Lines Sales &: Services Sales Tax Rss:ldue Mis ceJ.J.ane ous Easement Tax ~ I~ :!Ii ..~ Total Receipts Total Cash to be AOCOUBted for ;; ;,} Disburseaental Saleries aDd Wages Frofessional and Contracted Services Mainte1W108 of Equipleat Materials aDd SU,pplies Gasoline, OU, Grease, Anti- Freese Tools and Equipnent Equ1p1l8at Rental Miscellaneous Retunds ~~ ;~ ~ ~, ,,'5 N ~ ~ ~;ij ~,/;' ~ ~,': ~ Total DisburSeJDeats BalaBoa ... Deoember 31, 1947 \:'i; (; i\' ~ ~ ,~:t ~%: v' rt' --- lf~>; ~., ~" } n i~ c(~ ~~:~ :-;ii Actual Alnaunt of Aotual Over ~u~.t u Budget Amount of Actual Under Bu~et $ 3.088.12 $ 2.165.00 . 92.3.19 $ - $26,554.72 $ 25,483.48 $ 1,071.24 $ - 992.62 700.00 292.62 - .. 200.00 - 200JJQ 362.65 - 362.65 - 5,656.65 4,U4.26 1,522.39 .. 124.71 167.26 .. 42.55 119.52 - 119.52 - J33.810.87 t 30.ssS.oo $ 3.125.87 - $36.899.06 $ 32.850.00 $ 4.049.06 - $15,105.23 $ 16,400.00 $ - $ 1,294.77 691.57 5,500.00 - 4,808.43 601.05 700.00 - 98.95 4,122.47 7,500.00 3,377.53 272.85 500.00 .. 2'Z1.l5 3,141.28 500.00 2,641.28 - 152.10 200.00 - 47.90 59.Z7 1,550.00 - 1,490.73 5.50 .. 5.50 - $~151.32 . 32.850.00 $ ---=_ $ 8.698.68 ~12.747.74 $ :.- '12.747.7~ . ... - "L. '~..,:.':r::""_~:f;:'~~~~"~,H~-:\i'f",.~';'>1,:;J~:", ,.';~;..t_:,~,;.:i.t~<:j.~:;,,/r~';~l,';!:.~;)j. ."'_ .'l:~~ 1'. - .''':''':;;;i;:',:oI'..rlol~'~i:', ;'-(' ~',>~~'}"~f''': .;,'li<~....~,,:~~;".'. _-" ',:',::k:-<.!,. . '....,'..;;1<.. ~~.::~,:;-'.;< >,..,">.;i:Ii:,'l;~i-'.~2'>:i.,,.;._. ~':-f.t.: 54 SChedule lt71t CITY Of 3.4LINA.. KANSAS STATEMENT OF RECEIPTS, DTSRTTR~:NTS A.lID BAT.A~GF.S OF (,.4~ ~~ LIGHT. JW~t.JJ:ID ~ FUND J~Y 1. 1947 to December 31. 1947. Inclusive Amowlt of Amount ot .lctlla1 Over Actual Under AotUal Budget Budget Bucket Balance .. January 1, 1947 $ 7.353.58 $ 4.121..22 . 3.231.62 - Receipts: Ad Valorem TaDS $ 18,582.43 * 17,855.21 . 7Z1.22 . .. Seles TaX 3,909.52 3,754.61 154.91 .. Bftu.ds &: Recoveries 1,713.18 418.22 1,295.07 - Total Receipts $. 24.205.",- $. 22.028.0~ $ 2.177.20 . - Total Cash to Be Aocounted For $. 31.558.82 t 26.150.00 $ 5.408.82 $ .. Disbursements ; $ 615.00 $ 650.00 $ $ Water Hy'drallt Rental ... 35.00 Water, Ci t1 Buildings 291.25 350.00 .. 58.75 Street Lighting 6,951.74 6,500.00 451.74 - Traffic Ie Christmas Lights 162.23 250.00 .. 87.77 Cit1 Bullc1ings - Lights 640.58 600.00 40.58 .. City BJdldings - Heat 1,032.44 1,000.00 32.44 .. Street lIbi teway Lighting 14,208.95 16,000.00 - 1,291.05 Street Light Maintenance 274.63 600.00 .. 325.37 Miscellaneous .. 200.00 - 200 .00 Total Disbursements i 24.176.82 i 26.150.00 . - $ 1.973..18 Balance - December 31, 1947 $ 7.382.00 ,.. f7.382.00 $ ..'. - - >--- l.o. :"l'~ 55 Schedule "8" ~ITY OF ~INA. KANSAS SlATEMENT OF RECEIPl'S. DISB~S.lND BALANCES OF nA~H !IRR)RT FUND Jan.ua1"Y 1. 1947 to December 31. 1947.IBc1usive Amount ot _OWL' ot Actual Over Actual Under Actual Budget BudRet Budget $ 7.379.73 $. 206.95 $. 7.172.78 $. .. $ 4,621.64 $ 4,423.10 $ 198.54 $ .. 986.76 1,041.14 - 54.38 1.00 .. 1.00 - 960.00 108.81 851.19 .. 778.00 720.00 58.00 - $ 7.347.40 $ 6.293.0~ $ 1.054.35 $ - $ 14.727.13 $ 9,500.00 $ 8,2Zl.1~ .. ---.... $ 1,656.60 $ 1,386.40 t 450.26 4..C' , 8.93 4.00 304.08 109.60 - 5,000.00 3,540.00 - 3,884.00 - 523.32 - $ 10.376.19 $ 6.500.00 $3.867.19 $ - $. ~~ $ - "~~9.9A $ _ .. Balance .. January 1, 1947 Receipts, Ad Valorem Tax Sales Tax Ilieoellaneous ~: Airport Hangars Total Receipts , !,~ ! '~ Total Cash to be AOOCNnte4 For ~bureements: Salaries and Wages Materials and Sl1Allies UtUiti8s IBsurance EquipDent Prof'ellsiODal & Contracted Services Buildings and Grounds Maintenance Buildings & EquiJE8nt r~ i ri ~. I ~v ~ r.' ~ ~ ~~ ~ ~: ~ iA: ~;! ~ .~1: Total Disbursements Bal&nce .. December 31, 1947 ~ ~?i ~ ~ ~~ ~i ~ I ~ ;1: y~ ~ ~,' ih' ~ ~; .:~ 270.20 . .. uor~a6 .. 4.93 .. 194.48 .. .. 5,000.00 3,540.00 .. 3,884.00 .. 523.32 .. 'l;(~~~',iI'i!:Y~)';<;;';';;?];:'i:!?;:;"f;::V'~~~.;:f};;~"i',fi,\<';;\i~;Y'<~~;;,~t;;"';>!Ji';,;;,'{':'...\;l~<'''li!li:o::~;n ~7 .~, , ._,,,,,~_,,......~,_,,,,..,.,, ""'''.'''''''_'''''''''''"''~'' _~__. ~'. . ..._~~,.. _., ;J ! ~ ~ ~ I'J r ~~. ~ ~~., I ~ii ~ I'" ~~H ~; r~ ~. ;,-iI: b ,~ j~~ t;.;. lt~ ~ ~ ,t ~, ~~ ~ ~ ~ ;t; ~ r:: ~ ;~ if ~~ i~ " ;::r: ',;:,; :J~ ii~ . . I". H ~~ :;; ". ',.'1; </~, Schedule "9" CITY 01 ~t~ nws&.R S'I'iTWEN'I' OF RE~IPrS, DISBTJRSElIIKNTS AND ~ALANCES OF CASH aETERY Emm January 1. 1947 to DecemP.9r .n" 194? Inclusive Balance - Janusr11, 1947 Receiptss Ad viI_. Tax Fees and Permits Burial Markers Let Transfers Interest Lota Sold Grave Space Sold Care of Lots Mis cellaneous Sales Tax Total Receipts Total Cash to Be Aocounted For D1sbursem.ents: -s8xtoa' 8 Salar1 Other Salarie 8 ottice Supplies and Expense Utllit1es Ma.intenance Ma.terials and SUpplies Gasoline, ou, etc. Tools & Equipneat, etc. Miscellaneous and Insurance Landscape Supervisor Iew IJapr-OVElll8ats Total. Disbursements Balance - December 31, 1947 Awtual -- Budget Amount of Aotual Over Bu.dget - - --- 56 l J.1Bount of Actual Under BudRet $. 4.664.0. 2.470.85 $ 2.193.8S $. $ 3,862.45 $ 3,707.54 $ 2,897 .50 2,500.00 74.00 100.00 10.00 10.00 150.00 150.00 1,005.00 2,500.00 340.00 250.00 215.75 193.13 13.00 50.00 82S.29 563.66 $. 9.395.99 $ 10.024.33 $ 14.060~ . 12,494.68 154.91 397.50 - .. .. .. 90.00 22.62 .. 264.63 $ - $1. 56?54 .. 1 .. - 26.00 - .. 1,495.00 - jo; . .'u 37.00 .. $ 628.3.4 . - 1 1,777.50 $ 1,800.00 $ .. . 22.50 5,502.91- 5,224.68 Z78.Z7 - 88.20 70.00 18.20 - 73.70 SO.OO 23.70 - 335.51 300.00 35.51 - 252.61 300.00 .. 47.39 181.12 150.00 31.12 - 436.30 1,000.00 - 563.70 97.90 .. 97.90 .. 412.50 600.00 .. 187.50 .. 3,000.00 .. 3,000.00 . 9.1;8.29 $ 12..494.68 $ - $ 3.3'6.39 1 .4, 991~' $ .. .4. 901~?3 $ .. ,,5, ,/ "\;'ii<!,, j'. ..:..Af. ',.-'iJ::.';'., :)-_ ),:~. ~',."i .' ;,-:liC~J":,,.:":', ~ ,-,>, ........~:J:_ 'AJ., ';"" "" .,-..., -,".- ! "'. 57 CITY 9F SALINA. ~ Sl.l'WiENT OF RECEIPTS, DISBURSEMENj.'S AND BALANpgs Schedule 111011 OF CASH S'.rR.EEl', .lLLEI AND SEWER FUND January 1. 1947 to December 31. ~9~7, Inclusive A.ctual Balance - January 1, 1947 . 6.23l~ $ 1.?76.0~ Budl2:et_ Receipts: Ad Talorem TaX Sales Tax Rentals Services and Sales street & Alley Repairs Other Highway Maintenance State and GolUlty $ 32,338.67 $ 31,133.67 6,880.86 6,;54.26 113.00 75.00 2,487.65 ~54.62 1,666.52 I 4.4.J~ $. 50,477.79 >>18 cellaneous Total Receipts Tetal Cash to Aeoount For D1sl.!.e~sementa I ~ies and Wali!es Su.perintendent Meohanios Mai:ntenance Paved Streets & Alleys 7,492.50 RePairs Paved Streets & Alleys 3,633.80 Maintenance Unpaved Str'eets & Alleys 4,609.95 Jlaintuanoe Se_rs 1,446.05 Sweeper Oferater 3,327.00 Maintenance Br1Qps 12.80 Maintenance Bp!dings 36.00 Maintenance Equipaent 2S? /85 JI1scellaneous ~2J.a22 Total Sahries & Wages 1 30,1~~-;~ Eqai~ Rental - Ott1ce SllppUes Ie kpepae 77 .22 Utilities 320.19 Maintenance street Sweeper 2,032.96 Maintenance Buildings & Equiraent 4, 9'b .25 Materials and Supplies 1,&99.77 Rant 69.00 Travel 550.00 Insurance & Bond Prsmiwns 159.23 Gasoline,Oil,Grease,Anti-Freese 3,477.29 Equipleat and Tools 330.00 Transter to llaGh1ne17 & Equipnent 2,300.00 lIiseel1anaous 2.207 .28 'etal Disburse.eats . 4S.81l.89 $ 1,000.00 5,000.00 1,666.52 444.'~ . 4S.fn3.9c 1 47.850.00 3,187.50 . 3,300.00 3,776.50 4,560.00 5,000.00 2,500.00 5,000.00 5,000.00 2,400.00 1,500.00 1,000.00 1,000.00 1.eoo.OO $ 32,260.00 250.00 100.00 300.00 1,000.00 4,000.00 1,000.00 240.00 150.00 250.00 6,800.00 1,000.00 .. 500.00 $ 47~850.oo _B_alanoe .. "aMber 3~, 1947 t 1.662.99 $ __ - Amount of Actual Oyer _ Budget._ J 4.255.37 , 1 1,205.00 326.60 38.00 1,487 ..65 .. .. . .. . '2.62:7 .79 . ... .. 2,492.50 1,133.80 .. .. 927.00 .. .. $ .. 1.654a~' .. - .. 20.19 1,032.96 9'b .25 899.77 .. 400.00 .. .. - 2,300.00 1 1.~~~~ , ~,662.90 Amount of Actual Under BudJ;{et - . .. - .. .. 4,245.38 - ~9.42 $. 1.62:7.58 .. .. $. 112.50 783.50 - .. 390.05 3,553.95 .. 1,JJ1l.20 964.00 712.05 - . 1,796.00 250.00 22.78 .. - .. .. 171.00 .. 90.71 3,322.71 670.00 .. .. . -- .. . .. ~~~;!,l'.l\';,;'lii',l1~;;:':;~i'(,,;";.,.,.,.,..::~,i~'i'~W:;r~,,[!~i&f/~~;'Z";1~.;;jf',~1Q.;'I:",_""."",...._",,.__........,,....,.,.......,._.v,_,,.<..,~. . ~,<,.,.~,.....~."' __ _, __ _.. _.~__ 58 Schedule "U- CITY OF SALINA. KANSAS STAn14ENT Ql~CEIPrS. DI$tJRS&]JIENTS .AND BAT.A1lJQ!i;S OF nl$:L. HBLIC HEALTH NURSING EUND ~y 1. 1947 to Decenber 31. 1947. Inclusive ~J "~ ~ ~ t. ~. , ~~ Amount of Amount ot Actual Over Actual UIldtr Actual ..!udget Budget BUcUzet Balance - Januar1 1, 1947 $ 249.~ $~~ , 92.s~ j .. Receipts: # 2,189 .26 . 2,Cfl9.47 $ 109.79 $ Ad Valorem Tax .. Sales Tax 462.74 463.50 - .76 Total Re ceipts . 2,652.00 $ 2,542.97 $ 109.03 $ - Total Gash to Account For . 2,901." $ 2,700.00 $ 201.88 $ - Disbursements to Publ:1o Health Nursing As..oiatioa 2, 700.00 2,700.00 .. ... Bala11ce .. Dee.ber 31, 1947 $ 201.88 $ .. $ 201.8S - - - ~ ~. :f; t ~ . ~ ~ !( ~ ~ r i1' . * , .;I ~. ~ ~~ q ,~ ~. ~ :t":. ;J " :~i ~. ~ ~ " i ~~ f. ~ f. ~~ !:~ ... ~ ~ 'I l ~~! ~ ~ ~. ~f ~~ f ~. ~1 ;\ ~ .~; ~' ~ ~.:tt ' ,'M;,.,..:;...,;J.:j.p.~i'. ':~,J; "~'_ ~._ .i.'1o; ,-," 59 Schedule 112' 0ft'I OF SALINA. KANSAS ST.lTliMENT OF RECEI1?TS. DISBURSEMENTS AND B~T.~NCES OF CJS1t.. BA.ND FOND January 1. 1947 1;0 December 31. 1947 .Inclusi~ Total Receipts Amount ot Amount of Actual Over ActUal Uad.. Actual BuCiget Bua,et BudRet $ 481.13 $ 2~.07 $ 194.0~ # .. . 4,726.90 . 4,505.64 . 221.26 $ .. 997.81 957.~ 40.52 .. -- . 5,724.71 $ 5,462.93 $ i6"1.78 $ .. . 6,205.84 $ 5,750.00 $ 455.84 $ .. 5,750.00 5.750.00 .. .. - $ 455.84 . .. $ 45'.84 $ .. - - BalallC8 .. January 1, 1947 Receipts: Ad Valerem Tax Sales Tax Total Cash to Account For Disbwsemeats to Se.Uaa Band Board Balance - December 31, 1947 ,'~, ;Jl. J4 ,>'\ f~ b~~; w~ ~~ ~..~ ~ ~v ~ !~. ~' <9. ,;;~:' ~~ ~ '~~ W,# I i"~ , (f ;' ~) j~: ' ~~:! ;'.:&( ,:;;~~ '/~~ ~ !S<l f.~ , ~ j;~ ~.: 9 r'i N ,- ~~ ~, ~"~ ~.... J; ~ ~\~ .;;. ~)i :i~_ h-;, rn ~ \i? ~ :;;,;, ~ fi1 ':-c', i ,t ;'~~ ,B; i'l :;t ~:" ~ ~~ (} ~~~ ~-J.~ ~.;~ ~t:'~~Bl: ,-/,\< ~'" ,--,) 60 Schedule "13" cm OF SlLIN4, KAN~ STJ.TEm:NT OF RECEIPl'S. DISRITR~S AND BAT.AJiCES OF GI.C:~ LIBRARY iUNp JanUarY 1. 1947 to December 31. 19.47 ~Inolusive Amount ot Amount ot Actual OVer Actual Under Actual Budget Bucket BudRet BeJ.aIlce - January 1, 1947 . 432 .~8 $ 4..130.96 $ - $ 3.698.38 Receipts: $11,941.38 ill. 504.'39 436.99 Ad Valerem Tax $ . .. Sales Tax 2,52:1.93 1,858.67 669.26 - Total Receipts $14..f:f:J ..3': W.363.06 . 1.106~ 1 .. Total Cash to Account For 114,901.89 $17,494.02 * - $ 2,592.13 Disbursements to Library Board 114,888.06 $17,494.02 * .. $ 2,605.96 Balance - De cember 31, 1947 t 13.83 . - . 13.83 $ .. l': fi ~ ,#. i-J~ , ~,~~, :!lt~ ,(,.' ~". \.'J ~ i'" fj ~l !f:~:~ ~J. ~~~ ;;;,)' ~~; "I ~i! It ~4 e~ ~i~ t1 ;i: if~ g ,~ ~; f5 :.~ '::t ~,y ':~ (,~ S ~:ryl t:~ ~1 ~~~! .& !i ~ ~ ~~( ~'Jl;\~i::-~'~,:\1f ".~.~ y.),)~':'~ ~- . jJ . 61 Schedule lt14n CITY OF SALIN!. KANSAS ST.lTEMF.lA' OF RECEIPTS, DTSRrrR~ENTS AND BSLANCES OF C1~.c;tH BINWJ!a!iD OONTBOL FUND JallUaX"Y 1. 1947 to December 31. 1947.Inclusive Balance .. January 1, 1947 ~ceipts: Ad Valorem TaX Sal.es TaX Total Receipts Total. Cash to Aeoount For Disbursements: Sala;ries and Wages Materials aDd Supplies Total D1sbursemeats Bal.ance - DeoeDiJer 31, 1947 Amount ot Amount ot Actual Over ActUal Under Actual_ B~e:L _....~d~et Buda'et . 2.520.~8 $ 1.690.04 L 830.24 L - . 21.84 . '20.10 . $ 1,74 . .. .. 'ZI9.50 - 279.50 $ 21,84 $ 299.60 $ - $ 277 .76 $ 2,542.12 $1,989.64 . 552.48 $ .. -- $ .. $1,000.00 $ - $ 1,000.00 l46.70 989.64 .. 842.94 $ 146.70 $1,989.64 $ .. . 1,842.94 . 2,395.44 $ .. $ 2,395.42 . .. -..- 62 Schedule -15" HU1crest Memorial Trust Fund J~ $ 736.00 I .. .. .. .. .. - 860.00 .. - ... $ --:- "'.00 . 1.S96~OO 1 - .. ... .. 152.00 .. .. 114.00 1 266.00 . !aJJQ~ OF OF NT De O$I\ber 'J to l' 1 J.._ , Fir_n f 8 Rellet F1reaen r s Peuio. Fwld Schedule -1 - .. .. 306050 385.04 24,500.00 .. .. .. t. 1 7, 1 34. 613 .45 . 39.00a.53 .. 42l.91 8 8.857.0'/ 18,793.05 ---- 5,921046 1,260.10 .. .. .. .. .. 1,675.51 .. ... . 1 . . 5,959.01 1,260010 321050 515004 24,500000 825.00 860000 3,078.95 189.00 9, 42l.91 46.930.51 83.878029 $. 1 $ . Bal&11ce .. January 1, Receipts: Ad Valorem Tax Sale. Tax Membership F.es and Dues Inter.st Investlleate Matured Sales ot Perpetual Care Sales Jluoleua Space Retwada aDd Recoveries M18 ce1laneOU,s Gii'ts, Grants aDd Apportionaents Total. Receipts Total Caah to AooOUD.t lor 1947 3260'71 466.16 720.00 .. ... .. J'10.20 13.11 . - .. .. 7,665.00 .. .. .. .. $ '26.71 466.56 720.00 .,U7.00 152.00 ,u2034 YTOe20 1'0011 $ 1 1.896051 . 37.111.<t~ 7.665000- 11.128.0~,. . 1 ~ 72.186037 1 . Dislnlr.elleats: L1te InnrallC8 Health aDd AoeUen't IDsuran_ Relief P81JIeats to Disabled .en PeuioDa Paid ComIdssiolll8 on Sale ot space R.ta.ud. Prote..ioaal Services lIisoellaneous Tetal Disburs....t. Balaace ... >>e08'" 31, 1947 -,r;;:'if ~ :.","~~ ":'''':...~tk-'.' . .. -~,;-;~~: ." ,~/,:"., :~'n.;' .;~ _~~-_...r- -'I!~~^'" , ~ Schadule"15..,l" CITY OF SALIN.!' KANSAS ~.J2l..iEGEIPTS, DISBURSEMENTS AND ~AT.A~(]i;S OF CASH FJ:RF.UEN'S PENSION WND Ja1lUal"Y 1. 1947 to December 31, 1947.lnclusive To tal Re ceipts Amount ot Amount of Actual Over Actual Under ..A9tua1 B1lC1dt BucUte t -1!Ydget $ 9.935~ t '.649.75 $ 286.~ $ .. $ 5,921..46 $ 5,671.69 $ 249.77 $ .. 1,260.10 . 1,178.56 81.54 .. 1,675.51 1,200.00 475.51 $ 8, 857.C17 $ 8,050.25 . 806.82 $ .. .. 18,793.05 $17,700.00 . 1,013.05 $ .. Balance - JeJ!~ 1, 1947 Receipts: .Ad Valorem Tax sales Tax Ref'ubds and Recoveries Total Cash to Account For Disbur semants: Pensions Paid $ 7,665.00 $ 7,700.00 . - $ 35.00 Total Disbursements $ 7,665.00 $ 7,700.00 $ .. $ 35.00 Balance (i) December 31, 1947 . 11,128.05 $ 10,000.00 $ 1,128.50 $ -- - i ~ " ., ~,t ~l".' '.. ;,f; ,':~ ",,:!: ,....',,', -:,/"-"1 ,-,,-..~. 'lj.ji',~~>':'jji~ . :~' .: :.~:.,.y~!}i1i<:~,i'~s!?'~i~~'.~~:':'. ;!',;~A-~:',,;' 64 Schedule .l~. .&m,..OF aAT.INA.. lC6uq,IR. ~- ".'" "J -.' ,',--. 65 SChedule "16" CITY OF SALINA. KANSAS STATEMENT OF RECEIPTS. DISBURSEM:ENTS AND BAT.AijCSS OF r.A~H :oplJSTRIAL DEVEIDH4ENT FUND January 1~ 1947 to December :31. 1947. Inclusive Total Receipts Aaaunt of Amount ot Actual Over Actual Under Actual Bu~et Bucket Bud.2et . lQ.016.67 $ ... . 10.016.6'] L-- . 10,106.67 $ 9,661.'7 .. 445 ..30 .. ... 2,170.11 2,762.39 .. 592.28 -- . 12:;'216.78 $12,423.76 .. ... $ 146.98 -- $ 22,293.45 $12,423.76 $ 9,869~69 $ .. Balance .. Janua.r1 1, 1947 Receipts. s Ad Valorem Tax Sales Tax ResiDe Total Cash to Account For ;; "f '. f,:" ... Disbursements: ExpencU.tli.n. .. 1,819.21 112,423.76 . .. $ .. :i ~: Total Disbursements $ 1,819.21 $12,423.76 . - $10,604.55 ~i . Balance .. December 31, 1947 $ 20,474.24 $ '20,474.24 $ - , ;; -"t; ,~ , ':r. ,~~ ";~ .. :,-.) ~i ::,.~ jk~ ,'!J 66 Schedule -17" CITY OF SALINA. KANSAS STATEMENT OF REcgmS, DTSRURSEIiENTS AND BALANCES O~ CASij SFECT4T. FUND IN tOO OF BONDS J2UlUarY 1. 1947 to December 31. 1947. Inclusive Actual. Budltet Amount ot .lctual Over BudRe~ Amount ot Aotual Under Budtlet i ~ Balance - JanUar,. 1, 1947 Reoeipts: .Ad Valorem Tax Sales Tax Residue t 4i,9~ $_.. $ 41.984.32 . - $ 6o,641.0S . 57,902.22 $ 13,020.67 $ 16,571.99 . - $ .. - - !t Total Re ceipts $ 73,661.75 $ 74,540.21 $ . 898.46 ~ Total Cash to Acoount For $ U5,646.07 $ 74,540.';J. $ 41,105.86 $ - ~ ~sbursements : Transter to Construction FUnd $ 113,202.36 $ 74,540.21 $ 38,662.15 . .. ~ "",. i Balance - December 31, 1947 . 2,443.71 $ - $ 2,443.71 $ - ,~ -" ~i; ~~r;~ ~r ~~: ~~ tA. r:: ~, , ~\~t' \>. {:" t:~ ~::~ ~.~l ~ ,;{i t;. ';'~' ~~: ~~. ",':"~,k>',-"'i:---:-;;' ff! Schedule "18a .2m... OF SAIJ!T!. KANSAS STATl41I4ENT OF RECEIPTS, P::rsBURSEMENTS.,jND BALANCES OF CASH BOND AND INTEREST FUND January 1. 1947 to December 31" 1947. Inclusiv!.. ~ AJnount of Amount of ActUal OVer Actual Under Actual Budget BudRet Bv.5lBet - Balance - JtiIlu~y 1, 1947 . 14.150.52 $ 3.7?3.?? $ 10."'6.99 t - Receipts: .AcI Va,;J.orem Tax General Bonds $ 01,471.76 $59, CJ:J4.97 $ 2,376.79 $ - Speo1al B_d~ & Interest 260.00 200.00 60.00 - Special Assessment 25,110.61 21,538.2'7 3,572.34 - Transfered trom COndellDation Fund 25.29 - 25.29 - -- Total Reciipts $ 86,867.66 $80,833.24- $ 6,034.42 $ - Total Cash to Account For $101,018.18 .84, 606.77 t 16,411.u $ - ptsburseme...!Ui!= $ 71,741.32 $62,767.54 $ 8,973.78 $ Bond Principal - B ODd Interest 4,565.67 3,799.76 765.91 - Commission and Postage 98.26 350.00 - 251.74 City's Sh&r'e Special Aasessments 7,717.22- 17,689.47 - 9,972.25 --- Total Disbursements . 84,122.47 $84,606.77 $ - $ 484.30 Nalance - J)e eeJlber 31, 1947 $ 16,895.71 . . $ 16,895.71 $ ... --- ;i ~t ~. :;; ~{ iJ J t:i ~ w, "".' , ~.:it ~ ~ ^\~ ~ ~ t, .;~ ;~ -.,..' ;,,) ;,If ~ ,~,,-j.~ ~:1 ;;~. ::,f ('j ~;;,; '.',:.-, ~, c-\ :":, ~1 ~4. ~~\ :~~: ;A~ "l',;,. :~:.;t !~ :~;~:. ~~~ :~ f{ ~.( ifi; ~~~; ':'* ,. ~:f~';~:'::'',o,?~;~:;1;';}_~~>,:~,:::~.{~:r,;,~;:~i~:'';;!~?4,\~~,~~::;,'::~_t;:J~~~(~~<_:!'~":'~:~:~':i~'i : ';t,r: '''''l~:~",.~'t-:-i:~,t.>''~~',:,,;~.:}~.,~.,\~~.'~~~7<'~, .*.,~.~:Wt(':r~,~;', ',~',..., ~"'" 'P~"_.' ,. _ '.' -' " ~,,,. 68 Schedule -1911 gTY OF ,qAT.TtJ", ~ Sl'J.TEI4ENT OF REGEIPrS, DI..~tJRSliXENTS AND BAI.Jl'WF.~ OF ~ WATERWORKS DEPARTMENT PUN~ Janu~y 1. 1947 to December 31. 1947. Inclusive .~ Balance - January 1, 1947 $ 227,01'.58 ,~ Receipts: HydraBt Rental Operating Receipts Investmeats Interest Miscellaneous * 615.00 l.4O,088.99 23,611.60 1,.367.56 2,099 .80 ,., , 'l;'~ ~ r~' ;~~~ , i ~ ~;t:' ~~. ,*, ~~ ~";, 1.~" ~~: W :IJ., ~;'~ l\ij ~ ~ ~:,;~:: ~ ,t Total Receipts Total Cash to ACCOW1t For Disbursements: Commissions aDd Postage OperatiDg Appropriations Investaeats - leaporar1 Notes Vacation P&1 Land $ 1~.782.95 $ 394,818.53 NOD $131,229.44 235,915.89 NONE 1,500.00 Total Disbursemeats $ 368.645.33 . 26.173.20 Balanoe .. Decelber 31, 1947 ~$ k~ ~~'~ ,. ;,~;!,{ ., )~ ~f:~ "'l? '.~i .:< ?:- .~ ~:". f:~\ i;ij;;,; ~7"~ ~;J ':.~,~ :~~ ~.I[ ,~~ f~ ~,7 .:tl ~~ ~~;i'.'~~):::~~~~,;:~l:!~~~~~;~-~H~~~cj~~;;,~1::l1~:;t~~'f'f4::;':~~~:';,~;i~~~~~t"~~':;{~'~;:,';_',;:~lt:~'"':i,:~S'2;,';~.W{,?~:ij'~4,~;:)nYt:I!;tii1<'f~:wi#~~;j:~~l:W~~.~"..~~.~".,,-,.., ~. ...., ~"" "..~ .,O'.. Schedule "20ft CITY OF SALINA. KAN~ STATEMENT OF RECEIPTS. D~cmUR.~NTS AND B4T.'I~ OF CASH OONDEMNATION PUND January 1. 1947. to December ;!" 1947 .Incl~i!!-. Balance - January 1, 1947 $ 25.29 1,169.95 Receipts Total Cash to Account For $1,195.24 DisbursemeatSJ Protessional Services DaJDage .lards Transterred to Bond and Interest Transferred to Adm. and Finance $ 95.00 1,050.00 25.29 24.95 Total Disbursements $1,195.24 Balance - December 31, 194'1 NONE . 69 70 Schedule .. 2l" CITY Q. i1ATD1ENT 0 RECEIPTS. DISBURSEMENT, OONSTRUCTION m i.I!!!! ~1947 to December 3. ive - Garb " Chanin Gutter Lateral Ball Park Stor. Tetal Sidewalka Pa'Yil'lJ. Hall ~j" Sewer Pa:r~,; ,: IIlPl"Ol'ementa Sewers SewSR. - , --- Balances ... January 1, 1947 . 13.662.0~ $ 124.71 $ 508036 I 7.339~ $ 3.186.66 . 1.739.29 I 763~98 . .. .~ tilt . ... $ ... , -- Receipts: Benetit Assessments Paid $ 30,072.28 . ... 14,452.30 123,8'12.02 I .. $ 1,747096 . - $ - $ .. I .. I ... B ODd and Premiua 475,319.50 .. .. - .. .. .. .. .. .. 475,.389.50 Ci tr'. Share 7,717.22 III .. 7,717.,22 .. .. .. .. .. - .. Transter trf>ll -In !'uu of Bonds Fund." llJ,202.36 .. - - .. - .. .. .. 11.3,202..36 - Girt., Grants " Approtlo.-eat. 7,750.00 .. .. .. .. .. - 500 .00 .. - 7,250000 Ref'lmds aDd Recoyer:les 162.86 - 162086 .. .. .. - - - .. - Borrowed Mone1 235,915089 - - 1'Zl ,732.73 .. 6,723..30 .. - 16,000.00 85,459.86 .. ...... -- - Total Receipts $ ~0.2lO _11 $ .. '4.615.16 $159.321.97 . .. I 8..471026 I. M . 500.00 $ 16.000.00 $198.to2.22 $ ~2,639.50 Total Cash to A.oount For $ 883,872.15 . l2.4.71 $~ ,12.3 .5~ 1166.661007 $ .3.186060 . 10,210.55 $ 763.98 $ 500.00 . 16,000.00 $198.662.22 $ ~2.639.59 Diaburaeaeatsl Prote..iollal Be Qontracted Seryieea 1801,432.80 $ - . - $ltl,732.34 $ ... I 6,723030 $ ... . .. $ .. $l92,rr/7.16 $ 474.000.00 Material aDd Supplies 3,165.81 - 3,087.49 tilt .. .. 78.32 .. - .. .. Temporary.... Paid 17,744.06 .. .. 17,744.06 .. .. .. .. .. .. "" Sal&T'us aDd Wages 614.26 .. .. .. .. .. 614.26 .. .. .. ... Gaaol1De, Oil, Grease, etc., 11.10 .. .. - .. .. ll.10 .. tilt .. .. Mia0811aneous 8,752.04 12.4.71 .. 2,682.71 .. 1,344.19 60.30 .. .. 4, 540.1.3 lit Kenwoocl Park 2,08'.99 ... .. - ... .. .. .. 2,085.99 ... "" Q,unty Park 13,500.33 ... - - ... - .. ... 13,500.33 .. .. - .... 'total Disburaements J2 $ l24.71 13.087 .J..9 .~,159oll $ .. ~ 8,067..49 $ 763.98 NODe .1 1,,?86.32 ~97.517.~ 1 Balance .. December 31, 1947 '16 I None 12.036.0J I 18..'01.96 . ~~186.60 t 2.143.06 . None $ 500.00 I 413.68 $ 1.1.&.4.93 $ . -. 1.....'.,. _'I .1 I i , . J!'~.., "I ~".",...i\"'_'--"_:-,__,,,;..-," /" ",,~:,~,_:;:. ~'A>;,:.;;;;f '. ~"'~'-~':l:'"r.;: 71 Schedule "22" ,-- CITY OF SALINA. KAN~ ~ OF RECEIPl'S. DT~URSEMEN!'S AND BAUNCES QF CASH ~~ TAX. WITHHELD PUND January 1. 1947 to December :31. 1947.l1-Inclusive Balance - Janua.r11, 1947 Receipts out of Wages Paid 1947 $ 1,255.60 18,300.25 Total to Account for $ 19,555.85 Disbursements: Te United states Collector Internal Revenue . 17,994.35 Balance - Deceaber 31, 1947 I 1,561.50 --j; ",'-;',,,'':;' ",.., .;.0,::;;;'<;,::",1:"0 ii,_.", :..i, .~, .~'-,,,,"':l~ ' Schedule "23" CITY OF SALINA. KANSAS rEATEIiENT OF RECElPl'S. ~uaSllllllN'l'8 AND BALANCES OF CASH BRIDGE 01. ~ MACHINERY BUTT.nING AND EWIBfiNT PUW January 1. 1947 to December 31. 1947. Inclusive Balance - J anua.ry 1, 1947 }.lece:1Pts : Transterred trOll (street, Alle,.. and Sewer Fu.md.t Total Cash to Account For DlbburseJl8nts: Tools aDd Equipuent Balance III December 31, 194'1 t 8,8:tl.74 t 4,483.98 $ 13,311.72 ll,Oll.72 $ 2,300.00 c,_.,-_,' ;~~ I~"; 72 q ';'-.i _'-''' ->'-_'~ .- !~-.-~. - - _,",,' _';"1" ,:_ /" ~ , ;..;..... "~',-",-,,,, "~"- ~'~~;;, 'h', ~:'t.."':'i,:~~;:,%,jt'f~:" ~,_, 73 Schedule "24" CITY OF $ALINA. KANSAS STATEMENT OF RECEIPTS, DT~UF~1f.NT~ AND BALANCES OF CASH mTE AND iEDERAL TAX (SW1l4L'1ING IOOL) Ja.IlU81"Y 1. 1947 to December 31. 1947. Inclusive Balance - January 1, 1947 BODe Re ceipts $ 1,536.99 Disbursements 1,536.99 Balance - December 31, 1947 $ None i:~*~/ "~- ._:;",.,...,. ~: ~~J; -;)!: :':'~: '~~'Ai: ~}:i~~ ','f;, ;';l;!",":,"'.: ,:;,;,,-/-.;-. :'",i:i-"'~',l'~.;I-'~~\-:"< _~ )'~':%,,~':~il~. "i\i4.. " ::r.';,,::.,l;,.t. l. JT- ~, ;1." ,,>~, _','+'i~" If.' \*";';';.t. 't.;:>;;;.;~" ,,~:;,~; j;-,,~f' . 74 Schedule "2511 CITY OF SALINA. KAN~ STATEME~ OF RECEIPTS, DT~UF~NTS AND .l!4.tANCES OF CASH DUNCAN METER FUND Jan.uarY 1. 1947 to December 31. 1947. Inclusive Balance - Januar1 1, 1947 Receipts: Parking Meter Oollections $ NOll8 1,823.04 Total CaSh to A.ocount for $ 1,823.04 Disburselleats: Salaries 503.55 BalaBC8 - December 31, 1947 $ 1,.319.39 -- - ..... '" '-'"C_,:' .:ii:,. .,.~~,' <:'!', ..,. ":','';';~.~.A',VC~!fl~t..";.,,. ~';<~'~ ..,..".;,.,""""......"jj:;.__F..'. " Schedule 1126" '- CITY OF SALINA. KANSAS STATEMU'J: OF RECEIPTS. DISBURSEMENTS AND BALANCES OF CASH r ~ FUtm RECE:IPTS PAID IN ADVANCE_ Jan~Lh 1947 to De~mber 31. 194.'L..-Inclusiv!,. APplicable to Year 1947 1948 Balance - January 1, 1947 $ 717.00 $ .. Advance PayJ\ent Received .. 794.00 Tetal Cash to Aocount for $ 717.00 $ 794.00 TraJlsterred to General Fund 717.00 .. -- Balanoe .. December 31, 1947 $ NOm; . 794.00 -- 'll.".";~;':.~'/:I :i)iI:.,-", ': '".~ ....,~ ".: . 'fi.'." -'_',:>}', :,~,lt i' if. , - _:.>: ,~ ,.---,-",-"...;,--, .... -_;~.,_.- ''-'" ',;-,,'--_""_: --_,,_~.; ."",_,'~ _, "0,, 76 Schedule aZ1" ..>--- GITY OF SALINA. l\ANSjS ~NT OF RECEIPTS. _D~URSEMENTS AND BALANCES OF CASH VETERAN' S {lOUSING PROJECT FOND JanaarJ' 1. 1947 to December 31. 1947. Inclusive J.. Balance - January 1, 1947 Receipts: Rent Deposits $ 20,060.26 640.00 Total CaSh to Aocotmt for $ 20,700.26 Disbursements: Electricity Gas KailltenaIlC8 Grounds Materials and SUpplies Insuranos Refunds Reat Operating Income Miscellaneous $ 1,228.78 1,504.08 1,190.22 136.83 151.20 242.50 135.00 4,029.36 45.26 Total Disbursements $ 8,663.23 Balance DeC81lber 31, 1947 t 12,037.03 "'.4t,,~~~, .:;;',il..t~ ~~'.J';o,\;,..i:j".lIt,~,~' )11 .",'i<..."-4i \J<'-.!f',,,,;J::~ ~'{"I.:.. . '-."',_.:--'~~-,,~ 77 Schedule tt28" --- CITY OF SALINA, KANS~ STATEMENT OF RECEIPl'S, DT~Trnmi:MF.NTs...AND BAT.AN'r:I<-:"~ Oli' l'!LSJ.J STORES ACCOUNT ~arY 1. 1947 to Dec.!!2er 31.!.-1947.IBc1usive Balance - January 1, 1947 $ NONE Receipts: Sales Gas, OU and Grease Disbursements: 6,154.02 Gasoline on $ 5,154.29 819.CI1 Total Disbursements 5,973.38 Balance - December 31, 1947 $ 180.64 - ,.~, _' ~ '_'>'--,.._,,-' "; .;-,..,.:, _'-_",-'; "i-__'_~-__- y~'-'~' .;:10'; ,N-" <~,;yRt:-A"-,~_, ~, '~.. ...__~~,_t<_;;Y,,;1''''''.~ ...".I'IIJ-'It';;' J.fI\;''\r.t ,;~~J'!,_.i;.. "."'!If" .i%'J;.LrlV:-!I'~",~",'~}~J.(';(,:.;:,,:...:.;:.-,~~~ :,~~'~W'i.'~-~";:"::'-'~:'-!-::J.I~'<~;'~lfl".~ CITY OF SALINA. KANSAS CASH IN CUS~DY OF any TREASURER AND REOONCILIATION OF BAN}' BIT.A~CES }!!cellber 31. 1947 Balances - Certified for December 31, 1947 OUtstanding Checks December 31, 1947, Schedule (.29-A.tt) ~ 1947 Re ceipts Deposited in 1948 AdVance P~eD.t ot Bon.a and Interest Balances per Ledger The Planters state Bank $ 283,159.20 $ 180,764.68 $ 102,394.52 $ 13,829.54 $ - The National Bank of aerica $ 260,826.1'7 $ 160,683.52 $ 100,142.65 NOlIE - 78 Schedule tt29" file Farmers Natioa&L * Bank Totals $ 263,261.40 . 807,246.77 $ 160,000.00 . 501,.448.20 $ 103,261.itO $ 305,798.57 $ NONE $ 13,829.54 2,137 .17 2,137.17 $ 116,224.06 $ 100,142.65 . 105,398.57 $ 321,765.28 "tli", ',," 'lU"~,,,,,), ; ..';,,-j.?;:' l,:~ ~',~_?'~Jj,""ll": ;,,;,;,">,'~'';';'~'~ <.:. ~:;:.';";A.. -'f.v ,~,r-~,';;'Y:-i _S'-:,~',:-._;.. ,:'~ ,:-",:lo:.,.. ~, "-,f:,,.,,,. 79 Schedule "29-Att CITY OF SALINA. KANSAS OUTSTANDING CHECKS December 31. 1947 The The The National Planters Farmers Cheek Total Bank of state National Number _aunt America Bank Bank 918 $ 1.20 $ 1.20 $ .. $ .. 9591 9.30 9.30 ... - 94000 10.65 - 10.65 .. 10248 .30 .. .JO - 21755 1.50 1.50 .. - 22088 72.50 72.50 .. .. 22130 37.50 37.50 .. .. 22l4S 3.10 3.10 - .. 22183 25.45 25.45 .. .. 22217 2.55 2.55 - .. 22245 172.99 172.99 - .. 22259 3.75 3.75 .. - 22269 36.00 36.00 .. - 222'71 2.04 2.04 .. .. 22294 7.75 7.75 .. - 22281 23.90 23.90 ... .. 22315 1,067.50 1,067.50 - .. 2231S 97.96 97.96 .. - 22323 36.57 36.57 .. .. 22332 ll.84 11.S4 .. .. 22341 .50 .50 - .. 22350 4.00 4.00 - .. 22354 65.62 65.62 .. .. 22359 25.00 25.00 - 22359 25.00 - 25.00 .. 22455 12.50 .. 12.50 .. 22540 to 2276; 499,691.23 159,000.00 180,691.23 160,000.00 $ 501,448.20 $ 160,683.52 $ 180,764.68 $ 160,000.00 . ,.'~?i ..i _,': !'.;:,...,."): ,: .t-.>'" ,,;.:,;l" " '.;; _t.,.:-;" I'" :.f,;.,_:y,,~'t~>,,'!t,,;:,~'. ..,: . ,', ""-,V'.',,!;':;-' ,;.../'< ,-::.;W,f,_~:. ,,:;, ;. -_ _ ~_ _ ~, ' /I' ,-~~" '-N!---'-',-"" -;";'_ ~,-:<;. ',1. _ o,,,r;-,:- :; _:"'>'_,j.~, -;,i' - -~~', 80 Schedule "30" CITY OF SALINA. .KANSAS CASH IN mS"TODY OF THE CLERK OF THE CITY OOURT December 31. 1947 ~er8 National Bank. Salina. Kens!.!: Bal8JlC6 Certified for December 31, 1947 Outstanding Checks December 31, 1947 Deposit 1-48 (Cash on Hand December 31, Balance per Books on Hand December 31, Outstandw Checks: $ 1,631.95 1947) $ 898.86 733.r:J:J $ ~~ 1947 829.29 !fwnber Amount 6W .50 8;0 1.54- 987 .75 1158 .75 1198 1.00 1910 1.00 2J176 16.65 2C1lS 3.00 2lll .35 2J.72 2.10 2318 .21 2'708 .75 Zl69 5.00 2810 .75 2811 .75 3229 3.50 2951 4.10 2979 .30 2991 26.00 3294 .15 3310 4.90 3313 10.00 3314 10.00 3315 10.00 3316 15.00 3.317 10.00 3318 2.65 3319 2.00 3323 7.50 3325 100.00 3329 5.00 3330 10.00 3331 1.50 3332 3.00 3333 7.50 3334 10.00 3335 85.00 3336 237.71 3337 262.05 .3338 Zl.50 3.339 S.~ $ S98 .8 ,~";< :,,(-. ;;', ._Ji,-,;, :'i ,~';:::;;,,~,:::.:'!:::rii::;~~,-:~rj,i4i\~ ,~';;>~,:j' . <-l,',.;it,;'fo.'l'i,(",':;'.,:';,: ,~t,'!..< '~"~" ,:,\:j ,:--;r,.; ,l';".'.";;...:4_,'>';,~:,,:-,;!.- ',." i,_ ,'";';,'h,:::'-:''''' , , 0",' . ....}:;, L"~"';"'"l", ':'.~"".:~,";;;, '.:i::-<'_>:',.,)".,... -',::v;',~~~',:,:l_ CITY OF SALINA.. KANSAS REOONCU,T''T'ION OF FISCAL AGElljCY ACOOUNTS OUTSTANDING"AONDS AND OOUPONS December 31. 1947 FurpOse of Issu& Waterworks Judgement Date ot Issue Date Due 10.1-25 1-1-38 10-1-36 7-1-45 1-1-46 7-1-46 1-1-47 7-1-47 7-1-45 1-1-46 7-1-46 1-1-47 7-1-47 8-1-47 Refunding 1-1-38 2-1-30 Total Remittance to Fiscal Agency tor Bonds and. IJ1terest due January 1, 1948 Bond Number 579 16 16 16 16 16 57-60 57-EiJ 57-60 57-60 57-60 36 Balance per Fiscal Agenc1 statement December 31, 1947 Ooupon Number Schedule 1t31" Detail 22 15 16 17 18 19 15 16 17 18 19 35 1 @ $22.50"1 1 @ 10.00 1 @ 10.00 1 @ 10.00 1 @ 10.00 11 @ 10.00 4 @ 10.00 4 @ 10.00 4 @ 10.00 4 @ 10.00 4 @ 10.00 1 @ 22.50 Sl Amount 22.50 10.00 10.00 10.00 10.00 1010.00 40.00 40.00 40.00 /1)40.00 40.00 22.50 $5,295.00 $2,134.42 $~ ,." ~; ,:';'i"l~.;:;~:,_ .,;;.t- ~~,:,::.i~.<II -,';;W. ,:." i~, ...' ~ "i, '--'~:.'" ; ;'~". :\;;':'-".' ',:: ~'1''-, ~ ',-,-. ;,~' ,;,;J ;:, ....." ',~- CITY OF SALINA. KAN~ Schedule "32" ~ OF RECEIPl'S. DISRITf!..c:,R~v1ErqS AND BALANCES OF CAflH WATER DEFARTMENT 82 January 1. 1947 to December 31. 1947 . Inclusive Amount at Amount of ActUal. Over Actual Under Actual Bu~et Bugget BudR8t Balance... January 1, 1947 (Cit1 Treasurer) t il1.0)5.?$ $ 103.249.62 $ 123.785.93 $ - Receipts: water Sales - Net $ 134,288.19 $ 115,000.00 $ 19,288.19 $ ... Sales Tax 2,520.39 2,100.00 4~ .39 Investments 2.3,611.60 10,000.00 13,611.60 ... Irlterest 1.5g7.26 fii--=~-- 1.~i7 .~6 ... Total Receipts $ 161.9 7.(4- $2'7.100.00. 34. rt*t4- $ ... Total Cash to Account t~ $ .189.003.32 $ 230.349.65 $ 158~653. rt $ - Disbursements: Production Repairs Well PumPS $ - $ 1,200.00 $ .. $ 1,200.00 Repairs Flow Liaes ... 1,500.00 - 1,500.00 Repairs Electric Equipnent 500.00 ... 500.00 LubriCaBts 2.15.23 100.00 115.23 - Electric Power 14,479.19 14,000.00 479.19 ... Superintence 2,175.00 2,500.00 - 325.00 Fwnping Station Labor 7,468.95 7,500.00 - 31.05 Fuel l44.30 120.00 24.30 - Miscellaneou.s, Supplies & Expense 205.82 650.00 - 444.18 Repairs Pump StatioBs 1,550.98 3,500.00 .. 1,949.02 Chemicals 568.72 .. 568.72 R;stribution: Labor Moving Meters 2,175.00 2,250.00 - 75.00 Labor Meter Department 3,125.95 2,100.00 1,025.95 .. Repairs Meters and Equi}JIent 2,291.17 2,100.00 191.17 - Repairs Valve. - 300.00 - 300.00 Repairs Hydrants 803.77 1,000.00 - 196.23 Repairs Dest Mains - 1,500.00 - 1,500.00 Repair Services 2,600.58 1,200.00 1,400.58 ... ~8l-:_c}!!!_~ctQ~P!Jrall 6,406.90 6,000.00 406.90 Salar:lss .. Accou.nting Salaries - Meter Reading 4,042.99 3,900.00 142.99 - Salaries - Ad:m1nistration 4,404.63 4,500.00 - 95.37 Office Supplies & Expense 1,710.87 1,500.00 210.87 - Stationery & Printing 2,758.15 3.000.00 - ~..s5 Insurance 731.'Zl 1,200.00 468.73 Extensions & Betterments 37,639.12 15,000.00 22,639.12 - Sales Tax 2,452.24- 2.000.00 452.24 .. Securities Purchased 235,915.89 50,000.00 18',915.89 .. Miscellaneous 28.963.40 5.000.00 ~.963:fO .. " Total Expenditures $ 262.830.12 tiif..l20 .00 $228. 710.~2 $ .. :~ Balance-December 31, 1947 $ 26.173,,2Q $ 96.229.65 $ - $ ","-70.0~6.45 :':~ :>!'l..,. t:S1"r,,>.,;;;, .~_;;" ,;~~" 7$-':;j ., -,0\',,'.., j."._/.';,':-'i-\"t,':h.<~i:',"'; 'J""-4;.,, ~ '.', 'ff_ _ , t" "'1f~:)"",~\~ ., ,''-', >,. '!\''o:' 83 WATERWORKS DEPARTMENT num.... III accordance with instructioal received the books and records of the Water works Department Fund City of Salina, Kansas have been ~udited for the year ended December .31, 1947 and 118 now submit the to1lowing report based on that examination. SOOPE Oi' ~ The audit was pertormed in accordance with the general and specific required provisions of the M!n'lII1U1l Standard Audit Program, approved b1 the State Mu.111cipal Accounting Board appliea.ble to such funds. The audit included a verification of the assets and liabilities of this fund. at Deeember .31, 1947, in the manner and to the extent hereinafter indicated and a general review of all revenue and expenses for the ye~ 1947. ~TORY The waterworks s1stem, supplying the water needs .f the residents ot the City of Salina, Kansas, WaS purchased from private interests in October, 1925, .1 the City and since January 1, 1926, has been operated as a municipal activit1. The Waterworks Department is governed by the City Commissioners, in conjunction with the Waterworks Advisory COllIIIlission, which originally conailted of tivs members who serve without pay and are appointed by the Board of City Commissioners. There were only two memgers on this cOlllJlliasion during the entire year 1947 due to resignations prior to the first of the year which ware not tilled b1 reappointments. No meetings were held during 1947. The Advisor1 Commission was erected to oonsult with and advise the Board of City Commissioners with reference to the operations of the Waterworks nep&rilment. ,,-;,_-.,_~ h"~'--_ '-I:, . ~~,{(...~; lloli,": ";,.-,;0\/ 84 BliANCE ~ The balance sheet of the Waterworks Department as at December 31, 1947 is presented :in Exhibit "A8 and is briefly summarized below: Assets Pl8Jlt and Fropert1 CUrrent Assets ~ LiabU.!!-ies. Reserves anSl SurPlus $ 1.~9.161.29 Surplus Reserve for Depreciation Current Liabilities Total Liabilities, Reserve & Surplus $ 1,262,298.64 146,530.94 10,331.71 ~ ~... ~~ ~:i '~ " $ 1,070,023.34 349,1'57.95 TotaJ. Assets $ 1..u9.161.",,~ 1& q ;,"1' t :.~ ry .' a; ~ i~ ~ ",,-; APPLICATION OF FUNDS The source and applicatioa of funds reaJ.ized during the period under review is shown by the following 8t~temant: Funds Provided: _L ,m ". 'i.. Fro. net IncOll1e for the 1ear ended December 31, 1947 Add back De]1"eciation talcen for the year 1947 for which no cash waS requiI'ed Total Funds Provided I 65,148.80 ~ ,~ ~ it' li,796.oo $ 76.944~80 .,' ;'::' i";Ii ~ ~ ~ :1' ~ :,~ , ,;j, ":~ Fands APplied: To JlU"chase of Plant 8.1ld Equipaent: Het Increase in Fixed Assets - SChedule -2- Fixed Assets Charged to Reserve for Depreciatioa Total Applied to Purchase P.lant and Equipnent To PurchaSe of Fire Department Equipaent To Increase in Working CaPital $ 37,639.12 1,660.00 $ 39,299.12 877.50 36,768.18 ~< ~~ ~ ~: :\ 'i -'>'. ~ {; ~ ~. ;t' ~~ ., 1~ ?~ ~.~ ~ Total Funds Applied $ 76,944.80 - ., ,~~ ~ ~ ~ ,~ ~ >/:. ~ ~\' :','~ ~ 4'\J~~/l-L,,;.ill':-'\;j~:"'';-V~-~'':<:, ~~"'-f;,,";:'to i~~";,,::'~~~.~i"';P~-'tt' ''';~J-';~l-<);:(~S'',,'i;~'-;'':'J':''; \'..- ;;.;C;';;'~' :: ""~,: " . ;: ..,..,t '. ..t:~"': :";>,,:.,'" -,.;...' , -'A '.~ ~;~i"'.'i,ti~lo\..:lO;,;." ;';:>._,';'.,~..?; . "'Jlt'~'" ,^' 85 The increase in working capital represents the net increase of current assets over aurrent liabilities as follows: Current Assets: ~ce6r 31 19~ 1947_ Cash U. S. BEds City of Salina Bonds Cit1 ot Salina Temporar1 Notes Accounts Receivable Materials and Supplies $ 228,824.15 50,000.00' 15,460.08 23,736..l8 5,706.73 8,946.53 $ 2'7,061.20 50,000.00 9,592.54 24l,908.01 8,638.04 11,938.16 -- Total Current LiabUities $ 331,873.67 349,137.95 Current Assets: Acoounts Payable Meter Deposits $ 22,511.61 . 7,324.00 3,029.71 7,302.00 Total current LiabUities Increase (Decrease ) $ (200,962.95) - ( 5,867.54) 218,171.83 2,931.31 2,991.63 $ 17,264.28 $(19,481.90) ( 22.00) $ ~.8'5.61 $ 10,331.7;L $ (19.S01~O ) $ 302.038.06~ $ 338.806.~ $ 36.768.18 pr.Alf.r AND PRO~y The _t increase in plarlt and property accounts is shown in Schedule "2" Het Working CaPital together with the balances in the varioUs accounts at the beginn1Dg and close of the yea:r:. Cash in Office and Ci~ Treasurer: CalSh on hand in the otfice was cOWlted OIl January 2nd., 1948 and traced at that time into the days bank deposita. Cash disbursements for meter deposits re:f\mds, miscellaneous P83Tolla, t.reight, express and petty c1.s.ims are made trom current cash on hand. Reimburse- ment tor these iWIl8 are later received trom the City Treaaurer through approp.- riatiollS made b1 the Board of City Commissione1"s. Cash in the hands of the City Treasurer Was verified aDd compared CURRENT ASSETS ~ ;j~ " ';l'. ~ ~~ ~ ~~ ;~: iil! ~~ .~ :i :i< ~~* 'Iv ~ 'f ~~} . ~ . .". ",;~'~.." 'Jk.' -- :;:',';., :;').<_.:;~ ",;.,l.:wo':'iv.'" ',~;,:-: i\,~;~;i::~..';'::\AtrL 86 the records of the City Clerk. The paymeats of Touchers for the Waterworks Departmeat are now beiBg handled in the S8JD8 manner as all other fund paJ1lt$nts are, under the aeJlle type of authorizations, and the warrent-checks are issued by the City Clerk and entered on his records, the saae as \ho.. for other funds and departaents. United states Bonds and City of Salina Bonds were presented for our inspection by the City Treasurer who keeps tholl :in the National Bank ot America. All ~pens were f'ound attached to the bonds and the bonds on hand agreed with records of bonds sli.. Cit1 of Salina Temporary Notes represents money advanced to the City b1 the ltaterworks DepartMnt. Date ot issue, interest rate and amounts ot these temporary DOtes are listed below: 1% 1% 1% 1 % 1% 1% JJnount $ 8,136.22 6,798.11 1,619.73 1,190.00 2,556.71 3,435..u Date Issued 6-30-46 7..16-46 7-31-40 8-20-46 9-17-46 9-30-46 plterest Rate Total $ 23,736.18 Total billings tor the ,-ear plus OIltsta.nding accounts at the beginning of the ,-ear were accounted for either in the form of' cash received during the ye~, discount. and. rebates allowed, bad debts charged off, or outstanding aooO'8bu due at the close of' the year. Inventory of' materials and supplies represeats the value ot these items on hand December 31, 1947 as inventoried under the supervision of' the Su.perintend.ent, who stated that the quantities were cor~ct and the items .re priced at the lower of cost or ~ket. The extensioDS and footings .re verified. -i~., ';, ."~':j~_~~,-if;;,,,.':_~,~~:~~~:-ifJ,:~:'~,:".~_; >~t~ t. ,',;t'::~'i.': :'~:;:;:~:' ,,;.-:_~,/ ,"\-.',,~i~'{":,',i~:...;;1 ~,:~{.. -J '.- ,',; _ -~..,;.;",. ;--"-' "~_'l-_ . '''': 87 gJRRE~~ILITlES Accounts Payable represent 8I1OUDt due oa open accounts as at December 31, 1947 as shown by the City Clerk's Purchase Order Record. The total outstanding deposits at the end of 1947, as shown by the Gener61.l Ledger, was reconciled to the detaU of individual depositors. Your attention is direeted to the fact that interest on meter deposits is not Paid by the Waterworks Department in accordance with the requirements of Section 12-822 G. S. 1935. SURPLUS Changes in the surplus account are ..t forth in. Exhibit "A". The P81JIlent of prior years compensating taX, purchase of a truck: for the Fire Department together with the credit realized 1n writing off the "Reserve for Street CoBStruction Flush Tanks" wre entered directly into the Surplus ACCOUJlt as they were not tactors in the current years operations. -t ",. ~VE FOR DEPRECIATION The following tabulation summa.rl... the chaDges in the Reserve tor Depreciation during the year. Balance - January 1, 1947 1947 Provialoa for Depreciation Sub-Total Fixecl Asset Retirements charged to the Depreciatioa Reserve during the Jear Balance - December 31, 1947 The amount added to the reserve account 1J1 1947 representing the depreciation expense for the year was calaulated by us aDd toUBd to be correct. The reserve accoUD.t represents book reserve onlY as no funds are actua.l1y set $ 1.36,394.94 $ 11.796.00 148,190.94 1.660.00 $ 146,530.94 aside or segrega tad. INSURANCE All insurance purchased during the 1ear waS charged to expense. A statement of the insurance coverage in force at December 31. 1947 is presented in Schedule "2". .~ i~ ;f,{:, ~ ~ -':', .. ,~-. .' "ei-J ,,:~ .:~~'i.' ;;.,~,:' ",oi'J' ~';.,A.., ::r ", ....l.J' ,~":'.' .. .'.~ ,~~~:\"!.l\.','iI.,X.;'j' :.,'~,\, ,;,,~'..~ ':,;:,.J,""::#',;),,,: ,;;t'\""'~;:';1.~ .~~< ss FIDELITY BOJ~f>S lid.1it1 bonds are in terce u the amount of $5,000.00 Ba_ on the Superintendent and Cashier of the Waterworks Department a8 shown in Exhibit "I" in the general report. OFERATOR A detailed statement of profit and lOBS tor the ,-ear 1947 i. presented in Exhibit "!)It and its sUPP4H'ting aChedule "1". GENERAL No adjusting entries 1Il8re necessary to adjust the books to contorm with the audited balaace sheet and profit and loss statement since all aecessary enteries had alreadJ been made. Numerous errors were tmmd in the ~ies of charges and collections, the first part at 1947, entries have beea made and accuracy now prnaUs. We wish to express our appreciatioa for the co-operation of the Superintendent, Cashier and other City Ofticials and Emplo1ees during the l. ~, course of the e:xaminatioa. .. ~; \; ?~ :~ -$ ~~" ~~ :to 'k:: ,~< ..s}'{, -<f.~1gci~4t~~~."J,7Jt..; 89 Exhibit aA" CITY OF SAI.~A, KANSAS WATERWORKS DEPARTMENT FUND BALANCE SHRr December 31. 1947 ~S Fixed Assets: Flant and Property (Schedule 2) eurrent Assets: Qash iD Office , (Cit1 Treasurer) Im'e!..,tments: U. S. Bonds Salina City BondS Salina Tempor8X'Y Notes ~ccOW1ts Receivable: Water Service Lines Inventories Kater and Service Department Opera.ting Stores Total Assets ~pJ.us. Reserves & Liabilities ~pJ.q Ba.leJlC8 January 1, 1947 Add: 1947 Profit (Exhibit lIB") Deduct: Test Well Fire Department Ladders Balance - December 31, 1947 Reserves: for I)epreciatioa eurrent Li.a.bUities: Accounts Payable Meter Deposits Total Surplus, Reserves & Liabilities !~ i ~ $ 1,0'70,023.34 ~ ;; j J ~ j ~ ~ ~ ~ ~ ~, ~ ~ i ~ '\ , ,1 , ; ~; i i; ':S ~ " ~ $ 888.00 26.173.20 50,000.00 9,592.54 ?4l.908.01 5,053.01 ~.585.0.3 3,458.49 Y79.67 $ 27,061.20 $ 301,500.55 $ 8,638.04 $ n.838.l6 $ 1.419.161.29 ,I: I~ , $ 1,198,027.34 $ 621~.80 1,2b3,17 .14 $ 625.50 J5.2.00 P:17.~O $ 1, 262,298. 4 146,530.94 $ 3,029.71 7.302.00 10.331.71 $ 1~419.161.29 -- ., j 1 ~ :1 }. ,ij ,~ ~.' ~ ~ ~ ~ ~ ~ ~~ ~: .~ ~ ~ ~ ,;! ~; ~A t ~ '~ ~~ ~ tl i ~ ~ '1 ~ .~. . ,,~ ,,'I '<;'I,",.";.:~:.,,' ;.:,n,i~'"' CITY O~nTA. KANSAS WAT~RKS ~ARTMENT fROFIT AND LOSS~~ jeer Ended December 31, 1947 Sales of Water - Private CoBSU'ID8rs Railroads County City Schools U. S. Government Total Water Sales ~ Penalties Mis cellanaous Deduct ---ae-funds Net Water Revenue other Incoms Interest Miscellaneous $ 1,547.56 68.15 Less -- operating Costs (Schedule 1) Net Profits to SUrplus 90 Exhibit "B II $ 12'7,756.18 3,570.81 2'72.80 1,466.85 1,228.10 150.45 $1 ~ ~ 'J .. 'of ~ ~ ii ~ 'j :" ,\~ ~ ~ (' $ 134,445.19 1,155.32 35.95 135,636.46 --" 1.348.27 $ 134,268.19 -\: " .~ ~ Ii ~ ~ ~ ) < 1.615.71 $ 135,903.90 ~ ~ [ ~ ~ j i; ii ~ 70.755.10 $~~~ :; .~ i s ~ to ~ (; ~I :1 ~ i J ~ ;f ~ ~ ~ ~ t'. " ~ "(.i ~ '.~ A ~ ~ k~ i;/i-,_-;,..::,,~ ..QITY OF SALINA, KAlfSAS WATERWO~KS DEPAR~ EXPENSES ---- !; t~ t ~ ~ I, ~~: Year ended Decem~ 31. 1947 ~ '. ~. , ~ .. [ fi' Production: ~ ~ ~\ ~ ~l Lubricants Power Superintance Pumping Station Labor Fuel Miscellaneous, Supplies and Expense Repairs Pump Stations Chemicals Stores Total Productions ~' > , ~ (.- ~: i~ ~ i~ & , ~, ~ l~ ~ ~ ~ fi} ~ r~\ ~ .~ ~ i I , Distribution: Labor Moving Meters Labor Meter Department Repairs Meters & Equipnent RePairs Hydrants Repairs Services Total Distribution r;. ~ ~ ~ r; CDaercial and Gener~: Salaries - Accounting Salaries - Meter Readiilg Salaries & Auto Administrative Office Supplies & Expense Stationery & Printing Insurance CCIIIlpensatimg TaX \: ~ ~1 ";i .,. " ~ rt !~ ~ " ~ ~.~ ;'i Total COmmercial & General f. , Depreciation Total ~.' , '11' I' ! ., i ;~~ -- -- l' . ~ ~. ~ ~ }~ ~, $ 215.23 14,479.19 2,175.00 7,468.95 144.30 205.82 1,550.98 568.72 960.00 2,175.00 3,125.95 2,291.17 803.77 2.600.~8 $ 6,406.90 4,042.99 4,404.63 1,710.87 2,758.15 731.'27 139.6~ ,Sxh:ibit "B-1" $ 27,768.19 $ 10,996.47 $ 20,194.44 1l.796.00 70.755.10 '",- ,tit4c 1'~.;,. '_._-~-','.~,;"" . ,"- -,i. il-i_.' .,'- ,;, '.,..:. ",' :"'.-- ...~,"'- 92 Sxhedule "l" "-- CITY OF SALINA, KAN~ WATERWORKS DEP.AR~NT PLANT AND PROPERTY ACOOUNTS December 31. 1947 December 31-1947 J aIlUary 1-1947 Increase :10 Di8tribu~: Structure and Manholes $ 7,277.28 $ 7,'217.28 $ - Cast Iron Mains (, i-) 61,254.62 593,178.47 18,768.55 Hydt'ants 38,709.43 3'7, 251.44 1,457.99 Valft. and Value Boxes 20,848.05 20,848.05 .. Real Estate - stand Pipe 55,569.84 55,569.84 ... Meter - Boxes and A.ccessories 71,382.07 65,157.98 ',224.09 Total Distribution $ ~6.333.69 $ 779.883.06 $ 26.450.63 Water Supply: $ $ Real .. Estate 3,247.50 1,747.50 $ 1,500.00 Pump Hf)Uses and Derrieks 14, 640.1' 14,640.19 .. Wells 44,418.65 ~,418.65 ... Well Pumps and Meters 25,765.62 25,765.62 .. Flow Lines 44,623.72 44,623.72 ... Total Water Supply $ 1.32.695.68 $ ma195.68 $ 1.500.00 PuaP~ sta~: l4,"171.06 $ 14,737.06 Real Estate - Real Estate Improvements 3,580.40 3.580.40 .. Pump House and Stack lS,75O.84 18,750.84 - Cottage 3,069.37 3,069.37 .. Reservoir 27,943.33 27,94.3.33 .. Electric Meters, Pmaps,eto. 16,591.44- 15,603.44 988.00 Venture Meters 3,170.4.3 3,170.43 .. Pipes sad Piping 15,186.88 15,lS6.88 .. water Softner Plant 6,038.00 ... 6,038.00 Total Pumping Stations $ 109,067.75 $ 102,041.75 $ ..:!.J. 026.00 General Equillllent: $ 2,282.04 $ 2,282.04 $ G~age and Storage BulldiBg Trucks and Compressors 5,272.36 5,988.74 1,283.62 Chlorinator 4,580.82 4,580.82 .. Laboratory Equipaeat 1,269.02 1,2~.02 - Furniture 8.521.98 7.~.1l 1.~8.87 Total General Equipment $ 21.926.22 $ 19.2 3.73 $ 2. 2.49 Total all Equipnent $ 1:;070.023.34 $1.032.384.22 37.639.12 f~~ ('~' ~~1 ~:~~~ ~~ Vi'ii ~;\ I :~ ?i ),~ ~. 11'<', ~. ~ '&,~' ~..'.'.. J{t (!~ ~.. ~, m ~t ,f'''-~ ,.- 93 Schedule "~It ERWORXS DEP.TMENT INSURANCE IN lOliCE Dfoember tft'L Steel Tower $57, MtoOO B7 6 Companiea, 90% Co-Insuranee WindstorJl. Pumping Stations aDd Equi}a8nt 44,*000 B7 5 Companies, 90 % Co-IBSUranae except on $3,600.00 Fire and Extended >>WU1ag 3,000.00 B7 1 CoJIPaB" .. .. Fire and Extended Gar...- 1,500.00 B7 1 Collpall,. 90% Co-IMuranC8 Fire and Extended Auto. ..(6) - By 3 CoIlPaIUes Fire 8Ild Theft Robbery 1,000.00 WorblaBs Compensation .. Mamrl'acturs Contractors Liabilit1 5/10