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Audit - 1946 '.., ' ;q:",,~~', e i' CITY OF SALIIJ:iJ... KAITSAS e FINANCIAL BEFORT Covering the period from January 1. 1946 to December 31. 1946 DAVID R. WHITING CERTIFIED PUBLIC ACCOUNTANT SALINA. KANSAS C IT+_QE,...gLINA, KP.~~ I IJ P. E..J: e " Comments Exhibit 1IA11 Sununary Statement of Receipts, Disbursements, Transfers and Balances of Cash and Investments Exhibit "B" Comparison of Actual Receipts 'With Budget Exhibit "Cn Statement of Expenditures and Encumbrances Compared with Appropriations and Unenclunbered Cash Balances at Close of Year Exhibit ltDII Cash in Custody of City Treasurer Exhibit "Ell Investme~ts in Custody of City Treasurer e Exhibit II]!'" SUffi.lnary and Reconciliation of 1945 Tax Roll Showing Taxes Assessed and Collected by the County Treasurer and Uncollected Balances Exhibit "GIt Statement of Taxes Received from County Treasurer Showing Year of Assessment and Distribution to Funds on Basis of Assessment Exhi bi t ItHt! Clerk of the City Court - Statement of Receipts, Disbursements and Balances of Cash Exhibit \I III Summary of Police Court Records Exhibit t! JIt Summary of the Records of the City Building Inspector e Exhibit "Kit Comparison of Depository Bonds and Balances of Deposits Exhibit tlL'I Fidelity Bonds in Force Exhibit ItEtt Insurance in Force Exhibit !tN' Accounts Receivable Exhibi t "0" Statement of Bonded Indebtedness Exhibit "Fit statement of Temporary Indebtedness Schedule It I" General Fund - Receipts, Disbursements and Balances ~f Cash Schedule "l-A" General FlL~d - Detail of Receipts - Licenses, Fees and Permits _e Page Numberl:?.t. 1- 20 21 22 23 .24 25 26 27 28 29 30 31 32 33 - 34 35 36 37 38 39 _ .. Schedule Ill_Ell Schedule 1I1-G" Schedule 1I1-D" Schedule lll-E" Schedule III_Fit Schedule "1-G" e Sd.ledule "1-HII Schedule Ill_Ill Schedule "1-J1I S ched ule II 211 Schedule It 311 Schedule 1I3-A.1t e SChedule 11411 Schedule u511 Schedule 116" Schedule 117" Schedule II 811 Schedule 119t1 .- Schedule II Ion C I'rY [1" S.ALnib.. KAlTSAS niDEX (Contin~ Page .N.1.Y.llbers. General Fund - Detail of Disbursements - Administrative and Finance Department 40 General Fund - Detail of Disbursenents - City Court Department 41 General Fund - Detail of Disbursements - Police Department 42 General Fund - Detail of Disbursements - Engineering Department 43 General J!'und - Detail of Disbursements - hIilk Inspections and Health Department 44 General Fund - Detail of Disbursements - Legal Department 45 General Fund - Detail of Disbursements - Building Department 46 General Fund - Detail of Disbursements - Garbage and Rubbish Removal Department 47 General Fund - Detail of Disbursements - Parking Meter Department 48 Fire Department Fund - Receipts, Disbursements 8.11d Balances of Cash 49 Park Department Fruld - Receipts, Disbursements and Balances clCuh ~ Park Department Fund - Receipts, Disbursements and Balances of Cash - S.wimming Fool 51 Memorial Hall Fund - Receipts, Diseursements and Balances of Cash 52 Sewage Disposal Fund - heceipts, Disbursements and Balances of Cash 53 General Improvement :B'und - Receipts, Disb,-lrsements and Balances of Cash 54 Water, Light, Heat and Power Fund - Receipts, Disbursements and Balances of Cash 55 Airport Fund - Receipts, Disbursements and Balances of Cash 56 Cemetery fund - Receipts, Disbursements and Balances of Cash 57 Street, Alley and Sewer Fund - Receipts, Disbursements and Balances of Cash 58 e Schedule It 1111 Schedule 111211 Schedule 111311 Schedule It 1411 Schedule 1l151l Schedule 1I15...a" e Schedule It l5-BII Schedule 1t1611 Schedule It 17" SCl-cedule u18n Schedule 111<)" e Schedule 112 ()II Schedule 1121'1 Schedule 1t221t Schedule 112311 SChedule 112411 Schedule 1t25" .- Schedule u2611 CITY OF SALINA. KAHSAS IIID:~ (Continued) Page Numbers. Public Health Nursing Fund - Receipts, Disbursements and Balances of Cash 59 Band Fund - Receipts, Disbursements and Balances of Cash 60 Library FWld - Receipts, Disbursements and Balances of Cash 61 Bindweed Control Fund - Receipts, Disbursements and Balances of Cash 62 Trust and Agency Funds - Receipts, Disbursements and Balances of Cash 63 Firemen's Pension Fund - Receipts, Disbursements and Balances of Cash 64 Police Relief and Pension Fund - Receipts, Disbursements and Balances of Cash 65 Industrial Developement Fund - Receipt s, Disbursements and Balances of Cash 66 Special Fund in Lieu of Bonds - Receipts, Disbursements and Balances of Cash 67 Bond and Interest Fund - Receipts, Disbursements and Balances of Cash 68 Waterworks Department Fund - Receipts, Disbursements and Balances of Cash 69 Condemnation Funds - Receipts, Disbursements and Balances of Cash 70 Construction Fund - Receipts, Disbursements and Balances of Cash 71 Income Tax FWld - Heceipts, Disbursements and Balances of Cash 72 Bridge or Street Building IJIachinery and Equip;'lent Fund - Receipts, Disbursements and Balances of Cash 73 State and Federal Tax (Swimming Pool) - Receipts, Disbursements and Balances of Cash 74 Parking LIeter Receipts Fund - Receipts, Disbursements and Balances of Cash 75 General Fund Receipts Paid in Advance - Receipts, Disbursements and Balances of Cash 76 e " e e "e Schedule 1l27" Schedule "2811 Schedule "29'1 Schedule "30" Schedule 113111 Exhibit ".A" Exhibit liB" Sd1edule ifIll Schedule 1l2" C ITY 01<~ SAIJDiA. KAISAS 1llQ~ (Continued) Trust and Agency Funds - Increases, Decreases and Balances of Investments Cash in the Custody of the City Treasurer and Reconciliation of Ban~ Balances - December .31, 1946 Outstanding Checks - December 31, 1946 Cash in the Custody of the City Court - December 31, 1946 Reconciliations of Salina Fiscal .Agency Accounts - Outstanding Bonds and Coupons l,;ATERvWRYuS DEPARTI,JENT FUl'l'D Comments Balance Sheet Profit and Loss Statement Operating and General Administrative Expenses Plant and Property Accounts Page Num bars. 77 78 79 80 81 82 - 87 88 89 90 91 ..;~~:, }"':<)~~~,':'ii,-":.n,.~~. ... e e i _,~ ,"'~A-..~'lj:l!j:":..::,.-;,, "','~",;;'C',.';'iO;' ....,.. '. ~ j,.,. "i.<f ,:.~: ..).i..,;::.,....:~':'., .~':~ '.'_'\/~~ :., ~.,.;.; ;It\o:'':':'L. '_' ,~~,.. ,,;r ','C~ ;,':>::',"~~f ,'!t :-;c.:,,1.i.' ,l>'f;iC;'\;, ;-',~,'",''- ,J 'i.,jr;';''-" ,''''"~" '. , TURNER AND WHITING GERTIFIED PUBLIC ACCOUNTANTS SALINA, KANSAS To The N:ayor and The Board of City Commissioners Salina, Kansas Gentlemen: Fursuant to your instructions we have made an audit of the books and records of the City of Salina, Kansas covering the year eIXied December .31, 1946 and now submit our report thereon. A separate section at the back of this report presents comments, exhibits and schedules covering the operating results of the Waterworks Department during the year under review. SCOPE OF THE AUDIT The audit was performed in accordance with the general and specific requirements of the Minimum Standard Audit Program approved by the State Municipal Accounting Board, November .31, 1935, and as revised October 25, 1940, and included an examination of the records of all City offices and officers except the Municipal Band Board, the Public Library Board and the Fub1ic Health Nursing Association, which Boards receive money appropriated by the City but have exclusive control over the disbursement of both the amounts appropriated to them by the City and other money which they may receive. We were not authorized to audit their activities and no report is being rendered on them. ~;~:,!",:~'- :I,".'_;';'.",.;", Ji,;. .-:; ,.:>:).~,~:.\~~~g;;>'7>,:>i:.<;,~_t';:.~ :\,':.;<./1,.... ~,<~~~..';;.\,~_ ",,;'1(;' '-'I' . 'f~_ 'f(!'~';" ~.~~, ',', '.~!..fh'. '~,( c'':" ':"'.:#i'..,,:, ',',','#",i ,- :,~>--,; "', '-~iir".~::" ('/)' ,!~. ~~.,.~J ";.'-, -:..... :~.,.::" f' . ",~ ~"f('~~'1< ,.. ~_'_ ,,\~ ;> ,',\Ii ,':;'.~'''',~I.: J; 2 e COliIMENTS The following comments are presented for your information: SUMMARY STATEMENT OF RECEIPTS. DISBURSEMENTS. TRANSFERS AND BA.IAl'CES OF CASH AND Th'VEST!v::ENTS - EXHIBIT "A~ This exhibit 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 foot of the exhibit. The cash receipts and disbursements together with the December 31, 1946 bank oolances are shown in Exhibit "DIl. The detail increases and decreases in the Fund Investment Accounts are given in Exhibit "Ett. Reference is made on Exhibit "A" to the exhibits and schedules showing a detailed analysis of the various fund receipts and disbursements. COMPARISOli OF ACTUAL RECEIPl'S Vv ITH BUDGET - EXHIBIT DBIt 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 $59,100.68. STATEMENT OF EXPENDITURES AND ENG'(jMBRANGE3 GOt'JPARED ViIT!! APPROPRIATI015 AND UNEIDUMBERED CASH BAIAIDFS AT GUISE OF YEAR - EXHIJ?IT 110" This statement sets forth the cash disbursements charged against each fund together with the adjustments for beginning and ending period encumbrances thus arriving at the amount Chargeable to the Budget. This latter amount is compared with the actual 1946 Budget figures. This exhibit also shows the cash funds balances at December 31, 1946 together with the encumbrances and unencumbered fund balances at that same date. SGHEDUIES 1 TO 26. INCWSIVE These schedules set forth the detailed receipts, disbursements and beginning and ending balances by funds for the year under audit. A comparison .. e '~':"'~'~)',;'-:t..-;::<,;,..,,3~ ,_!',,",~,~ '. l;_,'~:' ,'~;~l'~,~ .~.; ~~-:;'. ,~.>~i, ':..:,.....:~),~:'1;*,.1 ';:",.-.~.-,,\ .,;:,,; ..*~'_f:....~ "'" ,$",.~~-,,,,,~,,,, p<\-'A ~,;~j~.J-_.J!I:'tt-,.i: 1;.,,, ,". ,\I.:~'J.'\ .0\:.... ~ _ li"'::" . 3 of actual receipts and disbursements with budgetary amounts is shown for all funds included in the budget. ;\ Salaries pdd to officers and regular employees during the year 1946 were found to be in accordance with the rates specified by ordinances and the limitations prescribed by the statutes. GENERAL FUND - SCHEDUIE It III Receipts of the General Fund exceed those of the preceeding year by $25,655.39 and disbursements increased by $22,724.40 as shown by the following tabulation. 1946 1945 Increase Balance, January 1 $ 77,770.,30 $ 74,315.95 $ 3,454.35 Receipts 14g .145 .14 123.489...25 25,655_39 e Sub-Total ~22 ,9l5.44 $197 .805.20 $ 29,l09.74 DiSbursements f ~:I~~:~ 120 0~5 ~o $ ~:~~:;f Balance, December 31 ~ 77:7 0 0 The 1946 General Fund receipts were not classified mlder the various departments used in 1945. Consequently no analysis of the increase in receipts was mde. The following summary comp:l.res the various General Fund departmental disbursements for the year 1946 with those for the preceeding year: e De'OOrtment l~ Actr1 DiSb~~~ts Decrease 1945 . Increase Administration & Finance $ 25,242.78 $ 21,690.64- $ 3,552.14 $ - City Court 5,379.25 5,343.50 35.75 - Police 57,044.50 48,238.27 8,806.23 - Engineering 9,465.10 7,OlS.83 2;446.27 - Milk Inspection & Health 6,256.26 3,62l.47 2,634.79 - Legal 3,382.65 3,408.25 - 25.60 Building 3,290.45 4,695.71 - 1,405.26 Garbage & Rubbish Removal 30,191.95 23,623.26 6,568.69 III Parking Meter 2,506.86 - 2,506.86 Street Dep:l.rtment - 2,395.~7 - ~,395.47 Total ~142.759.80 $120,035.40 :Ii> 22.7U.~0 ~ - f .1;' ( € f . ! It should be noted in conneotion with the above tabulation that the Parking i~ ii~. ~~~ 't . v t~ Meter Department was created in 1946. No disbursements were classified under the Street Department in 1946. The 1945 disbursement in the Street Department, as :'.>i<~:~~~~;."",,:~}i,, _ :;.Ii' ;:"<""_~~ . '~\1 ~,~'-'i.""\;',~; '';f;;, <~.';~4..b~~"'_ .", 'i~:\ ' ;i>'...".""., "", ...." :~ . +,-'iot;,iJ", ',1::. . '~":-~'" t ;~'._~. " /,,",,.',,,,,:'~""~'; ;... <~",,-;:,o;_ ,~,.,,~ 4 shown by the prior years a~it, was made for equipment. During the year the City collected $20,210.70 from licenses, fees and permits, an increase of $4,855.56 over that collected in 1944. Schedule "11._1" presents the classification of the various fees, licenses and permits and compares them to the budgetary estimates. Franchise Ordinances in effect during the year were examined. In each case receipts were found to be in accordance with the ordinance and franchise agreements. The amount due from the Gas Company for the last half of 1946 amounting to $1,778.61, was received by the City in the early part of 1947. This receivable is shown in Exhibit 1I1~. Police Court fines and forfeitures in the amount of $27,291.50 were ~ imposed during the period. This represents an increase of $5,444.50 over the preceeding year. A statement prepared from the police court records in submitted in Exhibit \I III. Distribution of the Cigarette Tax was checked to the County Clerkl s records. Receipts of City Court costs and fees amounted to $1,567.88 and were traced to the records of the City Court as shown in Exhibit "IP'. e During the year under review the City purchased the Parking Meters installed by the Micheals Art Bronze Company. The excess of the Parking Meter receipts over the amount paid to the Micheals Art Bronze Company has been shown as a receipt to the General Fund. GENERAL FmrD DEPARTMENTAL DISBURSE1~NTS The detailed departmental expenses are compared with the budget estimates in the schedules listed below: Administrative & Finance Department City Court Dep3.rtment Police Department Engineering Department Milk Inspection & Health Department Legal Department Building Department Garbage & Rubbish Removal Department Parking Eeter Department Schedule lll-B1t Schedule lll-Gll SChedule "I_D" Schedule "l-E" Schedule 1t1_Ftl Schedule t1l-G1I Schedule "l-Htl Schedule Ill_I" Schedule "I-Jlt ,,~'~, / ~~ ,,;f-:':: ~ ,.' ;,"",,,i., <- ,;t,...." ~- ,. ~""...~ .~,:,,,,,,-~;\f~'lJ;", g;:1>"~'.! ,,,::~~,,,'_i.!f'''',.;~~ \J " .~ ',__ ,-,':'1'~~ lJ,'i; . '",c_ l-'" 5 All payments were traced to the related warrant and over 30;& of the disbursements were compared with the vouchers. No irregularities were found. FllI.E DEP.ARTI.:ENT FUND - SCHEDULE 1t211 No attempt ViaS made to make any reclassifications of the items charged to materials and supplies. Nothing worthy of comment was discovered. PARK DEPARTI,Il7l.' FUJD - SCHIWULE 1t;311 Schedule 1t3-A" shows the detail of receipts and disbursements for the swimming pool and is compared in totals with the preceding year as follows: 1946 1945 Decrease Receipts $ 7,418.44 $ 8,693.45 $ 1,275.01 Disbursements 5,458.82 5.846.0'7 387.25 Income $ 1.959.62 ~ 2.847.38 (l, 887.76 4l Year - MEMORIAL HALL FUND - SCHJWULE It 4 It A comparison of the 1946 Rental and Concession receipts with those of 1945 is shown below: 1946 Rental and Concession 1945 Rental and Concession 1946 Increase over 1945 $ 3,290.08 2e460:oo $ 830 08 SEWAGE DISPOSAL FUND - SCHEDUIE "51t Nothing worthy of comment found in this fund. e GENERAL IMPnOVEMENTS FUND _ SCHEDULE If 611 The income from this fund consists mainly of taxes including ad valorem and special assessments for weed cutting. All tax receipts were confirmed by inspection of Saline County's records. WATER. LIGHT. HEAT AND pellER FUND - SCHEDUIE 1f7lf All transactions in this fund were found to be in order. AIRPORT FUND - SC:HEDULE 1t81t Receipts in this fund consisted of taxes and rents. All disbursements were found to be properly approved. e e "'~" i~\';ill. "~~~':~"'" -.~';,t'!$.';:,'\~~'.~i,."~"...J};.>o''-, 'h'.; ,.""-st,,;,, ~ .~<J.' .....o-,~,' "'-,"';';>'. ~:.:.-~ o(~~- ....~, 6 CEMETERY FunD... SCHEDULE n91t Verification of Lot and Space Sales was made from the Deed Stubs and checked to the receipts record. Settlement of the outstanding indebtedness due from the Hillcrest Memorial Trust Fund was received during the year as follows: Amount due from Sale of Space Interest on above amount to date of settlement Amount Received $ 900.00 2~1 8~ $1.1 l:~ All transactions appeared to be in order. STREET. A~"'Y AND SEWER FUND ... SCHEDUIE Itlon No irregularities were found in the examination of this fund. PUBLIC HEALTH NURSING FUND... SCHEDULE II lIlt All receipts in this fund are from taxes and all disbursements were made to tl~ Salina Public Health Nursing Association. BA~Tl) FUND - SCHEDULE !ll211 Taxes are the on~ receipts recorded in this fund and all disbursements were made to the Salina Municipal Band Board. LIBRARY FUND - SCHEDULE It 1311 Taxes comprised the only receipts to this fund and all disbursements were made to the Free Public Library Board of Salina, Kansas. BINDWEED CONTROL FUND ... S_CHEDULE tI ~ All transactions in this fund appeared to be in order. TRUST AND AGENCY FUNDS ... SCHEDUIE \I 15" Statements of receipts, disbursements and balances of cash for all Trust and Agency Funds are included separate~ under the above schedule. Supporting Schedules lt15-4'..1t and "l5_B" set forth comparisons of cash receipts and disbursements with budget estimates for the Firements Pension Fund and the Policemen's Relief and Pension Fund respectively. The balances shown to the credit of these Trust and Agency funds on this schedule represent cash balances and do not include the investments owned by certain of the Funds. These fund investment balances are shown in exhibit "Ell. " '<J'~1tJ. . .'1<.M.'. '\j "';:~"'. ,::~~'~':.i."'.<l.\ '. ":~~"'I">'":s),~,:.,'t!,:.;':\_i '\. ,'II".' ,'J,,: _ 'i' ,"''''~,J.,. ",,_,_ ;;,.;{. '~. ,-', . "'" '~"" . '~..;..r.~ ..~, ,.:'~,...' ...... " 7 During 1946 the Hillcrest Memorial Trust Fund paid the remai.l1ing balances of notes and accrued interest thereon due the Cemetery Fund and the Hillcrest I,lemorial Endowment Fund as well as making a substantial payment to the Clerk of the District Court. The classification of the various receipts and disbursements of the Trust and Agency Funds is set forth in a self-explanatory manner and it is felt no further COllmlents thereon are needed. Particular attention is called to the fact that the balance of Firemen's J Pension Fund as shown on Schedule I'15-A!1 is under ~J;lO,OOO.OO. Schedule 1'15-B" shows the balance of the Police Relief and Pension Fund to be over $10,000.00. INDUSTRIAL DEVELOPEMENT FUND - SCHEDULE It 16" e This fund was created during 1946. All receipts were from the current ad valorem taxes and disbursements consisted solely of the director's salary together with offices supplies and traveling expense. SPECIAL FUND IN LIEU OF BONDS - SCHEDULE "17" This fund was created in 1946 with the purpose of leveying current~ for the City's share of improvements made in stead of issuing bonds therefor. All receipts were from current ad valorem taxes and all disbursements were made b,y transfer to the construction f~~d. e BOND AND I:t.1'J'ER.EST FUND - SCllliDULE It 18" Receipts of this Fund include ad valorem taxes levied for the payment of principal and interest on general bond issues and for the p:tyment of principal and interest on the City's share of special improvement bond issues. The proceeds of special assessment taxes assessed against property owners for the retirement of principal and payment of interest on bonds issued to finance owner's share of the cost of special improvements are also included in the receipts of this fund. WATERWORKS DEPARTMENT - SCHEDULE 'tlQ'I This schedule shows a summary of the receipts and disbursements of the a Waterworks Department, which cleared throt~h the City Treasurer during the year. The balance shown at the end of the year consists of cash only and does not include . ~,t ,,': "i.t.:' ,,/ .o,;i,".', ;..:( ~'ti,',;~ ;P~ ,~\'" '."';"~" 8 investments owned by the Waterworks Department. These investments are listed in detail on Exhibit "EIt. Addi tional comments, exhibits and schedules pertaining entirely to the haterworks Department are submitted in a separate section at the back of this report. It should be noted cash collections by the Waterworks Department on December 31, 1946 amounting to $288.57 and a cash fund of $700.00 ~aintained in the ;laterworks Department office are not reflected in this fund or on any of the other fund records at the close of the year. A summa:ry of the Waterworks Department's cash and investments at December 31, 1946 is shown below: .e Cash in the custody of the City Treasurer Investments in the custody of the City Treasurer Cash Fund maintained in the Waterworks DePlrtment Office December 31, 1946 collections transmitted to the City Treasurer subsequent to December 31, 1946 Total Cash and investments $227,035.58 89,196.26 700.00 288.57 G317.220.41 CONDEIdNATION FUND - SCHEDUIE "2()11 There were no receipts into or disbursements from this fund during the year. CONSTRUCTION FUND - SCHEDUIE 1121" The various Construction Projects accounts are grouped wlder this schedule and the receipts, disbursements and balances of each construction project e account as well as the total receipts, disbursements and balances of all construction project accounts are shown therein. El;OI.JL TAX WITHHELD FUND - SCHEDULE 1l221t IncoILe taxes withheld from employees throughout the year are recorded in ~ ,~,j this fund and periodically disbursed to the Federal GoV'ernment. The balance at "I ii! " ; c , December 31, 1946 of $1,255.60 represented taxes withheld but not yet transmitted to the Federal Government. BRIDGE OR STREET BUILDING MACHINERY AND EQUIHlEIJT FUND - SCHEDULE It 231t A transfer of ~;;2,275.00 from the Street Alley and Sewer Fund was the only receipt into this fund during the year. Tools and Equipment purchases amounted to '~~'ji;>",~';;;.;":i'iJ.,""4I}",, ;'p<..#,~,j...,,~.~.,~.,;: .':" :.;A.,',',.: ,>1 ~X'"" , ';':'< . 9 $947.26 in 1946 and at the close of the year the unexpended balance amounted to $8,827.74. STATE AND FEDERAL TAX (SWllvlMIN'G POOL) - SCHEDUIE nUIt Collections of State and Federal Taxes on the swimming pool activities are recorded in this fund prior to their disbursement to the proper authorities. PARKING IiETER RECEIFTS lWND ... SChEDUIE II 25rr A portion of the parking meter receipts during the year 1946 were recorded in this fund and disbursements were made to the l\licheals Art Bronze Company. The City applied these disbursements on the purchase price of the machines and closed the fund by transfering the balance to the General Fund receipts. GENERAL FUND RICEIFTS fAIn IN ADVANCE - SClICDULE lt26U e The balance at January 1, 1946 representing payments received in 1945 covering fees, licenses and permits for all or part of the year 1946, was transfered to the General Fund. Such advance payments received in 1946 applicable to the year 1947 were recorded in this account pending the close of the year. STATK.Iar OF IlJCREASES. DJOC:R8ASFS AND BALAHCES OF INVESTMENTS TRUST AIiID AGENCY FUNDS - SCIIEDUIE tl27" There were no increases in the investments of the Trust and Agency Funds e during the year. The only decrease in the investments during the year resulted from the maturity of a $500.00 bond oi'med by the Firemen's Relief Fund. CASH IH TH.I<; CUSTODY OF TEE CITY TREASURER - EXHIBIT ltDU Under this exhibit is shown a sUIlllIlB.ry statement of the Treasurer's cash balance at the beginning of the year, the receipts and disbursements clearing the ). - ~ k Treasurer's bank accounts during the year, and the Treasurer's cash balance at the close of the year. Schedule lt28U shows the reconciliation of the bank balances confirmed to us by the d~positories with the December 31, 1946 balances on the Treasurer's books. A list of the outstanding checks at that date is set forth in Schedule "29n. In accordance with the customary procedure, the City's books and records .'.t.."':'~'p..,.. "~\i'..').", ....'" 10 were not closed until a few days after the close of the year in order that all receipts and disbursements applicable to the year 1946 might be entered. The 1947 deposits shown on this reconciliation (Schedule It 28" ) consisted of collecti.ons applicable to the year 1946. INVESTMENTf). TIi CUSTODY OF THE CITY TREASURER - EXHIBIT "Elt This exhibit sets forth a complete description of the investments in the custody of the City Treasurer as at the beginning and closing dates of the audit period together with details of the changes in investments during the period. Investments in the custody of the Treasurer on June 9, 1947 were verified by inspection and changes therein during the period from December 31, 1945 to June 10, 1946 were received by us. Interest coupons on bonds were properly accounted for ~ and the income from investments collected during the period was traced into the records of cash received. TAXES - The Cityts share of the 1945 taxes collected by the County Treasurer was traced into the various City of Salina 1946 Fund Tax Accounts maintained on the records of' the Salina County Treasurer. From the records maintained by the County Treasurer and without a detailed - examination, it appeared that the County had distributed to the City its share of 1945 Tax Levy collections together with collections during the year on taxes assessed in prior periods, and that these distributions were w~de to the City on the basis of the tax levies for the years in which the collected Taxes were levied. It was determined that the City credited receipts from the County Treasurer to the City Funds on the same basis. The Connty Treasurer(s allocations of sales tax residue to the City appeared to be in accordance with the statutes. ~;, e e '~j,l'!'::'~,-.r..~:f ,',:\ ,:'".' .' ,_'!i.~4.' rj, ,~~; < <_l_;t! " ,. ~".;.. ,A -_-~~.... II SUi,1:r.iARY AND RFCONCILIATION OF 1945 TAX ROLL SHONING TAXES ASSESSED A:'m COLLECTED BY TIE COUNTY TREASUIi.ER A~m UNCOLLECTED BALAIJCES - EXHIBIT "F" This exhibit sets forth the original tax roll applicable to the City of Salina, as certified by the County Clerk to the State Tax Commission, is adjusted for additions to the tax roll, taxes refunded by the County, and taxes remitted to the City, for the purpose of developing the amomlts of 1945 taxes assessed but not collected bjT the City. The amount shown as not collected by the COtL'1ty Treasurer is in agreement with the County Clerk's records. Sl'A'l'EMEIJT OF TAXES RECEIVED FROM THE COUNTY TREASlJRER SHOWING YEAR OF ASSESSMENT AIm DISTRIBUTIOIJS TC FUl>I'DS ON BASIS OF ASSESSn1ENT - EXHIBIT "G" This statement shows the total amount of taxes received by the City during the year 1946 and the years in which such taxes were levied by the City. The allocation to City funds is based on the tax levy for the years in which the collected taxes were levied. Included in this exhibit is an analysis of delinquent, current, tangible and intangible taxes received. The individual fund statements of receipts, disbursements and balances of cash for tax levying funds, Schedules "1" to "18", inclusive, shows the total ad valorem taxes received by cash tax levying ftL~d. SUi:I:1ARY OF ACCOUNTING PROCEDURE AND VERIFICATION OF RECEIPTS AND DISBUESELTENTS OF CITY CLIO:RK AND CITY TRFASURFR Receipts: The City Clerk and Director of Finance is the principal collecting and accounting officer. All items of cash received, except taxes and infrequent collections received directl;.' by the City Treasurer, are handled first by the City Clerk. The City Clerk and City Treasurer are provided with standard triplicate receipt forms numbered by the printer and a receipt is issued for each individual collection made by these officers. The Ci.ty Clerk deposits collections made through his office on the averaae of every two or three days, and a test check of his records indicate that his collections were made intact and promptly. e e :~_- "-JJf::..t,',,.:,. -;. - ~<> .;tii':~'_~,>~~,' '; ":'- ...., "',s.n;- (<. _":",,,,',,'4 ~ 12 The City Treasurer reports each of his collections separately to the Clerk and such collections are recorded on the Clerk's cash receipts record. The City Clerk's records, indicated that the City Treasurer had promptly deposited all sums of money coming into his hands. Duplicates of receipts issued during the audit period qy the City Clerk and City Treasurer were traced into the Clerk's record of cash received and the J~thematical 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 distribution and the classification of receipts within the funds was test-checked. Monthly totals of fund receipts were traced from the cash receipts record into the fund ledger. The entries in the cash receipts record were also traced into the receipts analysis record, and that record was proven to be mathematically correct. Records of licenses 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 accounts. Collections of the Treasurer were also traced into his various bank accounts. The three local bankS were approved as depositories by the Governing body on June 19, 1933. A count of cash on hand in the office of the City Clerk was made on January 21, 1946. Cash receipts from January 1 to January 21, inclusive, were traced to the deposits shown on the bank statements. All 1947 deposits applicable to the year 1936 were entered on the books as at December 31, 1946 except the Water Department collections on December 31, 1946. Certain collections, made in 1936, were applicable to the year 1947 and are shown in a separate Fund called "1947 Receipts Paid in Advance". Disbursements: Approxi~~te1y 35% of the claim vouchers paid during the year were examined and test checks of postings and extensions were made. Claim vouchers were traced into the Clerk's warrant register, and the fund distributions was test-checked. The mathematical accuracy of the City Clerk's warrant register was proven and the fund totals of each appropriation ordinance wer traced into the , ::~~_,~'T:r~'~;~'\'\'j~~~s;~~z1~1t7li~1S;l;:'~:~:;'.C,\:;;':f.~,:j;~;L,1t::L~~~~,~.li'~j'_:':~~:'r~~'].~:~~,~~~\~t;~'::e~~/~.f,,~,~.,~~~,j~~'tl~;,~,.:'" ',';: ,~.'.fnr.R<,~~"~-;"",,..';!f!~~.'M..,.~~.;,..i" ..1> .""7.-"""I",,....~"""II.,"o/>~,,,... 13 fund ledger. Postings were test-checked fro:cl the Clerkl s warrant register to the disburse:nents analysis record and that record was proven to be rJatbematically correct. The City uses a warrant form for making disbursements, which becomes a check on being signed by the City Treasurer. The Treasurer uses a rubber sta~p facsimilie of his signatt~e for this purpose. All checks ca~celled during the year were examined and traced to the appropriation ordinance record except five checks numbered 7540, 7573, 10601, 13460 and :14293 which were not included with the cancelled checks presented for OID' examination. We were informed by the City Treasurer that these checks had been cancelled and mislaid subsequent to his original bank reconciliations L~de at the time he received them from the bank. These checks were written for an e aggregate amount of $363.70 and upon exaLlination of the bank statements, charges, corresponding to the arnounts written on these checks, were found from one to three days after their issue. Fund Led~er: The City maintains separate fund accoUIlts for the cash and investments of each City fund. postings to the Fund Ledger were traced from their source into the Fund Ledger, and the mathematical accuracy of the ledger was proven. Fund Ledger balances Viere computed and a trial balance was abstracted fr:Jil1 that record. Treasurer's Records: The Treasurer's record of checks issued and deposits and bank e balances is maintained b~r a bookkeeper in the office of the Cit;; Clerk. This record Vias not maintained by funds as requ:tred under 12-1016 GS 1935. CLERK or THE CITY COURT STlI.TE;r.:EN"'T OF HECEIPTS. DISmTHSELIITT3 AND BAkl.~TCES OF GASH - EYJ-IIBIT "HlI This exhibit sets forth the cash balances in the custody of the Clerk of the City Court, at the beginning and end of the audit period together with receipts and disbursements during the year 1946. These figures were taken from the records ~ ~ i. of the Clerk of the City Court. A comparison of fees on hand and cash balances as of December 31, 1946, is shovm at the foot of the statement. A list of the individual case balances are not .'c' Y"'<""";;'~f:"<~ T9"'\l,i"'\..";,' . ".. f"~'. ',J'J" < '.,vW..,~,""N,,"0<.' ~~';l'c'.>:.l'<"""'iII'l.'~''''~;<''iH'''l!liIi:~'''''''''''."''',~ .';Cj) c=_"".... ;'''70/'''''''''''""., ;,...... "'..l' ~... ,Lub' ., .."'r............,.,.~.,~ _~. '._ .______ ",t;:~r:/'.'';.'$Sil"j'.l':;_:.'} .;~ '~:r~<': :V.,-;'"", " ,t.},'- ~'_j,:,,>., .I/.,!: - ."".';. ~" '..:..~.!,>l-, . ":';"". '__ ~ .._-;y,>;"",.,~t-"",., .""':" .t, ,"-'< C'. '~'''', .,.__ ",..... "", _,,' "'- . ' ."1', ','>. ,,_ , ''', " '..' , '.' . _ ',," e e 14 set forth in this report, since it is a part of the Clerk's permanent records. Reconciliation of the Clerk of the City Court cash balance at the Farmers ~Jational Bank, Salina, Kansas, is shown on Schedule 113011, cancelled checks were examined for signature and endorsement. The Clerk of' the City Court maintains a record of cash received and disbursed, a ledger of cases and a lilOnthly reconciliation of case balances with the cash balances. Verification was made by comparison of cancelled checks with disbursements as recorded; by proof of monthly footings by addition, by additions of duplicate receipts bjr months and comparison of such totals with amounts recorded and by test-check of indiVidual items to the amolmt recorded; by verification froE:. the records or reports of City and COQ~ty officials as to amounts shown paid to the~; by test-checking of items of receipts and disburse:r.ents to the Dockets. In connection with the testing of case balances to fees charged and disbursements made thereof to the City Clerk, an overpayment of ten cents was noted in case numbered 4194 which we were informed would be adjusted on the Clerk's next report. POLICE COm~T }?IHES AIID FORFEITUE.ES A Police Sergeant acts as collections officer for the Judge of the Folice Court. Entries on the Police blotter show the amount of the Appearance Bond deposited; fine i~pos€d or other deposition of the case; fine collected or paid by work; and other information regarding the case. E~eceipts for fines paid are issued from a duplicate receipt book, the duplicate being retained. Cash, as received, in fines and Bond Forfeitures, is placed in numbered case envelopes 1,';1:ich are accumulated until the end of each month, when these envelopes together with other similarly numbered case envelopes containing fines, workout, parole or dismissal evidence, are turned over to the Police Judge who reconciles the cash and other items with his docket records and prepares an analysis thereof whicl he submits to the City Cle~k together with the cash received. 'V _, - ~ '~'-';;':'::;?r.iii;':;~'~,:?', ~';:<-:b',' . r.i1f.'-.":":':';-:~,i'., :o.t~ !:-f~~._",*,: ,.,~ ',~ c;"", _,:'il>'" ,~ . ",' 15 The anal;y-sis of fines imposed for the year 1946, aa prepa!~ed and submitted by the Police Department to the City IIanager, was verified and fOUl1(i correct. The cash analysis of cash received by the Police Department was, likewise, found correct as submitted. SUkIMARY OF POLICE COuRT RECORDS - EXHIBIT uln This exhibit shows the January 1, and December 31, 1946 balances of uncollected fines by the following years - 1941 and prior, 1942, 1943, 1944, 1945 ~~d 1946 together with the 1946 collections, paroles, workouts and dismissals for each year and group of years. Verification was nmde by addition of the duplicate receipts by months and comparison with cash reported and paid to the Cit;y- Clerk. Tests were made e from duplicate receipts to the envelopes and from envelopes to the Folice Blotter. Each page footing of' the Blotter was proven and compared v;ith the page analysis for each month. Summary of monthly fines and collections was made fOr the year 1946 from the Blotter and compared with those reported to the City Clerk and City Eanager. Sm.lTYIARY OF THE RECORDS OF THE CITY BUILDIIJG IUSfEC'I'OR - EXHIBIT IIJn This exhibit shows a classification of the collections made by the Building Inspector together with the remittances made to the City Clerk during the 4It period from January 1 to December 31, 1946. Cash received from the collection of fees and issuance of permits as shown by the duplicate receipts, were traced into the Register of Collections maintained in the Building Inspector's Office, and from that register to the monthl;y reports and re,;:ittances t.o the City Clerk. Fees charged appear to be in accordance with the rates set by ordinance. COJiiifARISOH OF DEPOSITORY BermS AND BAI1~2JCES CE DEPOSIT - f2:HIBIT llKll This statement compares the balances on deposit as at December 31, 1946 with the amounts of depository bonds pledged by the banks as collateral to secure ':;.' , the payment of these deposits. The local banks have pledged United States ~ ~, Goverrunent or Kansas I,;un:.cipal bonds as collateral for deposit of public moneys. ~,~ ,.. , " -:~~kij~',,~~ _'. " :r";;';;~",":i/~;'~:,.,~~~ ~:(;:~ - ;';).~':'~':';';~';' :'~I.~:.;}:;~ ~<:~~., ~':~";-~.;,''';~'_il!, :/,,:~~~f - ~ ;',~':.",';Il.fo.\':> ~' ,~..\ , e e .,,,:~'-t..,-,.. .~~.:-:'~, .'-;;":';_';" #; ,':'j.l,.. ;"... -1'"..;.,:\/, 'lHJ' , ,!I:':-"li~_. 'e'." 16 The governing body does not approve depository bonds as required under section 13-2107 of 1943 Supplement. It was ascertained that depository bonds pledged by banks adequatel;y- secured the deposits as at December 31, 1946 and it appeared that deposits were adequately secured at all times during the year. All depository bonds were confirmed by correspondence with banks holding same for safekeeping. FIDELITY BONDS lIT FORCE - EXHIBIT If L" Fidelity bonds in force as of December 31, 1946, as detailed under this exhibit were inspected and checked to the statutes to deterlliine that such bonds met statutory requirements as to type, amount and approval. All fidelity bonds except those of the Clerk of the City Court and the Llarshall of the City Court are in custody of 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 County Clerk as is provided for under 20-1420- and 1421 and 80-204 and 205 G.S. 1935. The bonds of the Clerk of the City Court and the 1.Iarshall of the City Court are drawn in favor of the State of Kansas rather than in favor of the Cit;y of Salina. All other fidelity bonds were drawn in favor of the City of Salina. The liability of Surety Companies on all fidelity bonds was confirmed by correspondence with the Home Office of the Surety Companies, and it was ascertained that each of these companies was authorized to do business in the State of Kansas. INSlJRAiJCE III FORGE - EXHIBIT ttMlI This exhibit presents a suruoary statement of the insurance coverage on the various properties owned by the City together with the type of insurance thereon. Policies are issued, in most instances, to cover a period of either three or five years. The properties listed under the heading of City Buildings and properties with a total coverage of $160,590.00 are insl~ed by a group of 19 companies with each policy having a ninety percent co-insurance clause. The Memorial Hall Building and contents are insured by a group of ~','t!} O<"~.~"'~Y'J_ .1;",1,. :"""',; . '. ,,~' ~ -.:' ,.,' :"'h',,~,!:' ~;\ '~"" 17 ?l) compa:n.:ies. :B>.Cll of th0 policies in t.his ::r,ronp cont"5ns " ninety pel:'cent co-insurence c1.,115e. In?'1'T',,nca c("l~.rer"ge on other properties not included in t.he :tbove groups and ot.her t.ypes of n!'otect~...,n "l!"e 1:l:'lt.e~ lHv'Ier m:isc9Jl"~'e(\n~. II1~urf'J'ce covernpe 'O~)rt95nin?, try tl:e ......"!tf'lt'w,orks deT'f'rtrr'<>nt :ls ~.~o':;n sep~.'r'':1.tely on <: s chedu} E! in the lr::t,ter part of +'1->i,<':' re':'ol"t. It V'r.'."1 dete1:'!'\lmd t.hat ~.11ins"7'"r>fle c0111:,ames wrHi.ng jn!3urance on the Ci.t=rt s property were c.'lJ.thorized to do businp.'3s in the St!':.t.e of l.(-:.n':;'18. ACQQUNT~ HE Qr1ryt~JE..-_Jt:KH.J]3Il_r~F' :\mo1mts due. tr) the vnrioll: f'1m.d~ of the C:tty as e.t December 31, 19L6 '?S "letermjned by our examin?tion are shown on tM.9 exhibH,. No independent - ver:tf.'icntion was made with debt.ors. Th:ts ey:~ibit doe~ not include unpaid tl'l.xes. ~.CQPJllir.$, J?1\7{A,lUE No separete ~Qhednle h:1s been presented of '?ccounts paYG bIe P.S they are cl"'flsi:f'ied by funds under Exhib5.t "e". The !llIlOl'.nts included G:'l liabili ties were detemined frOI!' i.nspection of the records Jl1::dnt,:1,ined b~r the Ci t~r Clerkt:;, Office. <3T !\TgMENI' 0;" BONDED INDEBTEDNESS - EXHIBIT 1I01t -~". ,.,' '.-'",-.., ........,.,...'-, <,...-.,...._.".,..__...~,''''.i,...._.~...__.,...."..',~_...',._'"'__~,~:...~~,. .,"'-........,.,. ."....,....0'""".-__ Tl-1s statement pre!'le"t.9, ind"lt?li, t,l,.e bonded indebtedne,ss of the e C~ ty of.' S".l:i.na, "t December .31, 1945 and December 31, 19/.;-6 top-ether wit!l bonds issued and retired d1.1Ting 191~6. The f')l].o'N.ing is ~ summ"ry of Bonded indebtedness ch!ssified 8.S to t7,rne of Bnnds outstandj.n~: Outstanding De~p.~r .~1 . _:Vtl,t.~L. General Bonds Special Improvement Bonds T ot.ala $139,000.00 $ - .9~J..2~3)_t~ sr..5.2.87~..!7..~ 12.3~;t2?~~ b29~:I?~~Z~ $ 49,000.00 2/u1'J'?~ l....U, TI3 .20 .. ~.' -,. '~,,, ...._h _~..,..." '."'^'. .'.< Outstanding Q~~!!~m:t:>e6,,}1 _ _'.J-2!x.____ $ 90,000.00 J~~15~ :~~ .....~",.-.;o, _; . ",,,.,,,,-,,,_, __......... ,,,., .''"' 1946 ~'" '...._'_."~......~._ '..' .'Gr.,....".~ '_' ''''-''''c "~'''''''' ...._ Iss'l~1 'i.et1.red -...,........-"""...-----..--.... .-..... ",.,-""..~,..'._... ~':" ->~'1.f,(;k{Ji.'tii._~i~'.J:,~{,i):, ".*' .,~.,..~" ;;.'~ ~"'.~. ,:;', ,'. I'~::~"<f<). '::;il,'. -. ]$ 'T'1).8 fo11ow:lng stet,ement gnOWB t.>:t8 m:"l,+"l'r:H.;<" rl..t13S o~ "!:lands outste1"l':3.ing December. 31, 1946: Year General 1211e_, ~J.3.Q.t1d,s". City's 3ho.'t"e Speci'11 _...'8. c:>.I}g.~." _ _._! ~i:,a1, Property Owners Grand 5.J?[I~.2peci'i:L~ond~ __':r:o.t.e.1 19/~7 1 9L:J~, 191;9 1950 1951 195? 1953 195/ 10F') 1956 $39,5('1).00 25,000.00 18,500.00 7,000.00 ~~ 7,22,9 .8? 7,2~9.82 1,L:.25.31 1,058.L:6 985.53 119.03 1,1; 46,729.82 32,229.82 19,925.31 8, 058 .L~6 985.53 }]0..93 ci'o U \7 ~5,O ..50 '11),037.72 18,199.69 JJ., 86f. 5':. 7,439./+7 6,030.07 5,500.00 5,500.nf) 5,ooo.no ."'_ ..3~Q0f) ..QQ ~"'11? ~'fJI 00 ..-.:::~~---.! .-- 1~90,0o'~QQ. i ~.~,6.!:P ~B7 1?JQ~; QK~ :87 $ 71,7!~1.3.? 57,267.54 .38,125.00 19,925.00 8,4?5.00 6,150.00 5,500.00 5,500.00 5,mo.00 ..__.1..LQ.~2 ::~2?(,\ ".h 31186 . Gener~l ~~nds ~mounting to $90,000.00 a1"l1 the C1tvfg ~here of Specie1 Impro"emen+. Bonc'1 ?mounting to $18,OL8.87 o11tst.'1nding at December 31, 1046 are na,y'1b1e out of the procp.ed~ of t.he Bond and InteN~st tax levy. The Propert.y 0wnp.'t"'s sh~re of Special Improvem(mt. Bond::;, 9.mo1mt.:i.n(' t..... ~ll?,58!;-.99 ~.~ of Decemb8r 31, 19L6 9.re n",y':!ble from special p..ssessment t.<:xes le,d .'d 3,gainst. property benefitted. There were no Wat.er Department Bon0.s outstg,ndi.ng at. December 31, 19L;.6. The following schedule "hows t.he BOl'lded Indebtednef'9 011t<1t...nr'!.iJ"ll!, at. ~ t~e close of each of the l~st ten years. December 31, 1937 1938 J939 1911-0 191+1 1%2 1943 10U~. 10/,5 10/6 B onrlerl r:t}~~l?:t_~~.~ ~J., 1/;1.800.00 1,1/;5,/:80.02 J.,005,2R8.LO 830,73":> _4.9 703,266.26 564,990.09 429,7,0.00 309 .892.35 ? 3'3 , 9".:l3 ..28 2~0,6~3.8f, ~~~. .:'.~t'.,:.c:)~-.k';.:~~_' ..:'.:';",.-~< )"';: ~~;,~ l,'~;':" i ,A-''",,;'i':;'~ ,,\'~:.'<," "'~'-..:l:,,, :"~j:1.,'~~!:t.''"t;,,;,''~,,,~;:,; ;(k'~~:-:-:"'; j:';;~)~,:;;"", ,.:. "'~'J;'-'~'; c. ", -.~.' ,; >~ '~, ......,. -j".....' 19 P.ECONCILIATION OF' TH:F~ CITY OF SALINA FISCAL AGEHCY ACCOUNT - SCHEDULE 1t]1" The balance shown as unpaid December 31, 1946 has been confirmed by the State Accountant. Cancelled bonds and coupons paid by the Fiscal Agency during the year 1946 were carefully examined and checked against bond record and found to be proper charges. TEMPORAF.Y NarE Il\JDJJ;BTEDN:ESS - EXHIBIJ' Ilpll This statement shows the amount of Temporary Note indebtedness owed by the City at December 31, 1946. All of these unpaid notes were owned by the Wa te rw arks Department as shown on Exhibit 'fElt. These notes will be repaid out of the proceeds of bond sales. e IViINUTE-S ~~IID ORDIIifAHCES The minutes of the meetll1gs of the governing bOdy during the audit period, ordinances enacted durillg the period and the 1939 revised ordinances were received for matter pertaining to the audit. The minutes appeared to be complete and in good order. GENERAL - During the cotLrse of the audit, explanations of various matters were obtained from officers and employees of the City. \Ve wish to express our appreciation for the co-operation and assistance of all those with whom we came in contact. A~,.<::.3it...F. ~S~: -."',,''O:....i':_~ ~.jr;.,.~,;. ',;;<.-}': :,0:,';'-' . i~i1f "',~~, ".'>,:'/>,'1' ,~..;,-\,;_<;,:" ",''''''';' " ~_", '"':'e,,-^;J'''::~,,,,_,;;,''.!:,,;: ~..'_-;:',.:ii...,/';", .,."~,'11.,', 20 CERTIFICATE We certify that, in our opinion, subject to the foregoing comments, the accompanying exhibits and related schedules properly reflect the financial condition of the City of Salina, Kansas, as at December 31, 1946 and the results of its operations for the period from January 1, 1946 to December 31, 1946, inclusive. We further certify that, subject to the comments pertaining to the Waterworks Department Fund, as shown on the pages immediately folloWing e Schedule "3111 of this report, the exhibits and schedules pertaining to the Waterworks Department Fund correctly reflect the financial condition of that Fund as at Decenber 31, 1946 and the results of the operations of that Department for the period from January 1, 1946 to Dece~ber 31, 1946, inclusive. Respectfully Submitted, Turner and Whiting e r- J 7/ /9'f7 By ~;l ;ljJB:p David R. Whiting, Licensed Municipal Public Accountant, in charge of and actively engaged on this audit. 21 Exhibit "An schedules" 1...&1l to "1-J1t schedule "3-A It Schedules 1115....A.1t and 1I15_B" OF SALINA. .KAl~AS CITY AND STATEMENT SJJWJlARY BUANCFS OF_CASH AND Fund Balances December .31 elusive Fund Balances January 1 l' 6 6 to December Ja supporting supporting "III and tt21t 1t.3" and supporting It 4" "SII Ite' "711 118" lt9" 11 Ion II 11" 111211 111.311 11 1411 111511 and It 1tf' "1711 illS!' II 19" 1l20' 11 211l II 22lt It 2.3" 1124" "25" It 26" It 2611 Schedule Schedule Schedule Schedule Schedule Schedule Schedule SChedule Schedule Schedule Schedule S ched ule Schedule Schedule Schedule Schedule Schedule Schedule SChedule Schedule Schedule Schedule Schedule Schedule Schedule SclJedule Schedule $ 84,155064- 9,594070 2,425.6S 7,989009 6,871066 .3,088019 7,.35.3058 7,.379.7.3 4,66402.3 6,2.31041 249.88 481013 432058 2,520.28 .36,947078 10,016.67 41,984.32 14,150.52 227,0.35.58 25.29 13,662004 1,255060 8,827.74 - - - 717000 Cash $142,759080 62,511099 37,729.62 10,.811024 10,914.32 26,232062 24,745.28 6,642 .4.3 8,8.36010 44,495.83 2,700.00 5,750.00 12,204082 1,025.75 29,593.26 2,270.6S - 88,068.36 131,774095 - 174,8.39061 14,573090 947026 1,492082 8,101.78 - ers - - - - - - - - - 2,275.00 - - 1,325.67 2,069.00 .31,7.39.69 - - - - - - - - Tra $ rs 3,391!-.67 - - - - - - - - - - - - - - - - .31,7.39069 - 2,275000 - - - - Trans "" y Cash $145,750.47 48,544.22 24,543.95 9,869.45 12,265.24 25,987.82 22,816.95 6,057.52 8,525028 45,75002.3 2,6S0025 5,519026 11,146.17 1,606.62 .31,726.67 12,287..35 7.3,724001 79,929.25 220,2.31.14 - 150,651.87 14,495020 - 1,492.82 9,427.45 - 717DOO $ 77,770..30 2.3 ,562.47 15,611.35 8,9.30.88 5,520.74 .3,.3.32.99 9,281091 7,964064- 4,975005 7,252001 26906.3 711.87 1,491.23 1,9.39.41 34,8140.37 - - 22,28906.3 138,579..39 25.29 6,110.09 1,.3.34..30 7,500000 - - 2,069000 - ts General Fund Fire Department Fund Park Department Fund Memorial Hall Fund Sewage Disposal Fund General Improvement Fund Water, Light, Heat and Power Fund Airport Fund Cemetery Fund Street, Alley and Sewer Fund Public Health Nurs ing Fund Band Fund Library Fund Bindweed Control Fund Trust and Agency Funds Industrial Developement Fund Special Fund in Lieu of Bonds Bond and Interest Fund Waterworks Department Fund Condemnation Fund Construction Fund IncoI!le Tax Withheld Fund Bridge or Street Building 1~chinery Fund State and Federal Tax Fund (Swimming Pool) Parking Meter Receipts Fund 1946 Receipts Paid in Advance 1947 Receipts Paid in Advance Ound Cash Acco Total All Funds Exhi bi t lIE q Exhibit "Ett Exhibit "Ell Exhibit "Dlt Exhibit "E" Decrease A 'W Increase ~ 'if' 68 6S 30 Investment Accounts Trust and Agency Accounts V~aterworks Fund Total Investment Fund F\lllQ. Total Cash and Invest:a.ent Funds Cash in Custody of City Treasurer Investments in Custody of City Treasurer Total Cash and Investments in Custody of City Treasurer e e e .e t CITY OF SALINA. KANSAS CClJIPARISON OF ACTUAL RECEIPTS WITH BUDGET JanuArv 1. 194.6 to December 31. 194.6. Imdusive Tax Lev:vinsz Funds Total Receipts Exhibit A General Fund $149,145.14 Fire Department Fund 48,544.22 Park Department Fund 24,543.95 Memorial Hall Fund 9,869.45 Sewage Disposal Fund 12,265.24 General Improvements Fund 25,987.82 Water, Light, Heat and Power Fund 22,816.95 Airport Fund 6,057.52 Cemetary Fund 8,525.28 Street Alley and Sewer Fund 45,750.2.3 Public Health Nursing Fund 2,680.25 Band Fund 5,519.26 Library Fund 11,146.17 Bindweed Control Fund 1,606.62 Firemen's Pension Fund 7,526.24 Police Relief' and Pension Fund 2,817.51 Industrial Deve10pement Fund 12,287.35 Special Fund in Lieu of' Bonds Fund 73,724.01 )5~6:~:1i Bond and Interest Fund Total Tax Levying Funds Non-Tax LevYinQ' Funds Wa terworks Department Fund Condemnation Fund Construction Fund Income Tax Withheld Fund Bridge or Street Building Ilachine17 Fund State and Federal Tax Fund (Swimming Pool) Parking Meter Receipts Fund 1946 Receipts Paid in Advance 1947 Receipts Paid in Advance Firemans Relief Fund Cemetery Endowment Fund Hillores t Memorial EndollDlent Fund Hillcrest Memorial Trust Fund Total Non Tax Levying Funds Total All Funds $220,231.14 182,391.56 14,495.20 2,275.00 1,492.82 9,427.45 .. 717.00 1,214.16 1,475.00 4,945.65 )4.~:r~:~ $1..003.155.55 Anticipated Recei'Dts $107 ,139.79 49,919.71 26,501.19 9,304.78 II ,314.93 24,422.90 21,806.46 5,615.28 6,587.54 42 ,294.12 2,545.23 5,269.56 10,663.15 1,530.09 6,696.28 1,021.03 1l,733.95 70,403.70 ~6:lli:8~ 141 7 Exhibit liB- Amount of Budget Surolus 22 Amount of' Budget Deficiency $ 42,005.35 $ .. 1,375.75 1,957.24 544.67 950.31 1,564.92 1,010.49 442.24 1,937.74 3,456.11 13 5.02 249.70 483.02 76.53 829.96 1,796.48 553.40 :3 ,320.31 .1 057a4Z J 59:100.68 $ - - - .. .. --1- 23 C Exhibit CITY Ol" SALINA KAI;$AS .;l;;EI\T erE' ::2:PEIIDITDTGS Al:D :;;'.TCCi,J3Ii.Ai;CES COLliAfLLD v.-ITH APPROPHIATIOlJS Aim UIJENCUl'...BEFJJ:D CASH BALtilTCES AT CLOSE OF YEAH Unenc'LlJ:lbered Fund Balances 12-.21-46 _ Less Fund Encumbrances at 12-31-1.6 Fund Balances 12-31-46 Exhibit A Chargeable to 1946 Budget Plus Encumbrances 12-i1-1..6 Less Er.cumbrances 1-1-1.6 Inc Ius i ye Total Disbursements Exhibit A 6 to Dece!:lber Januar Under Budg~ Over Budget 1946 Budget - - - - - - - - - ~.~ 79,592..53 7,614.07 2,200.70 845..79 3,423<51 3,088.19 5,321+e86 595.D 4,567073 4,812084 24 9088 481.13 1+32058 2,520.28 9,935098 D ,109008 8,197046 3,320.31 14,150.52 ~16 2 /', 'il> 338.53 197 ,199.~97 25029 13,662.04 8,827074 - - - 717000 4,395008 2,651.34 6,1:20030 72.2"OQ V. 6 ;';;398,887.33 530.35 61.28 47061 40.00 23.16 1,149.68 -- 2,372.50 4,563011 1,980.63 134098 7,143.30 3,448.15 - 2,028.72 6,784060 96.50 1,418.57 - - - - - - 1,319021 38,664.01 - .' 68 .081.78 ;> 29,835.61 - - 1,255.60 - - - - - - - - - ~, 3' .091021 ~) 99,172.99 ;w - 84, 155.6L:- 9,594.70 2,425.68 7,989009 6,871.66 3,088.19 7,353058 7,379.73 4,664.23 6,231.41 249088 481.13 432058 2,520028 9,935098 13,109.08 10,016067 41,984.32 1L150 2 232.6 - - - ,I:. (r? $ 7,194009 420075 - - 2,096063 627035 469.82 - 382083 778.93 .3 5 .16 46013 D6047 263.38 392.13 34.54 113 005 8012 774.25 8,728.32 11,003061 7,644.06 - - $ t.:? - - 2,378.13 458033 2,709.99 4,879~ '\ (~? - - - - - - - - - - - - - - - - - - - -i? $ 31,845.00 5,800000 53,863.00 8,962.50 8,400.00 4,050.00 3,768.00 27,307050 ~$144,496000 59,571000 35,875000 11,575000 12,720.00 26,496000 24,965000 8,500 000 8,650.00 44,980024 2,700.00 5,7)0.00 12,204.82 1,800000 16,300000 1l,811.23 11,733.95 70,403 070 88,932.16 Z$5C?JO 1.6, 10 $ 24,650091 5,379.25 56,241.13 9,420.83 6,303.37 3,422.65 3,298018 30,517.49 4,879.36 ,~J.44. ,1D .17 58,792.07 35,839.84 11,523.87 12,583.5.3 26,232062 24,572.87 8,465.46 8,536.95 44,972012 4,700.00 5,750000 12,204.82 1,025.75 7,571.68 807.62 4,089.89 70,403070 88,068.36 ~68 ,259032 33805.3 530.35 61028 47.61 40000 23.16 1,149068 2.372050 4,563011 1,980.63 134.98 7,143.30 3,.448.15 2,028.72 6,734.60 9.6050 1,4]2057 ,- ; - - - - 1,819021 38,664001 ". ~ 930.40 1,333.72 105055 .50 15.43 824.lL" 3,209074 5,700.55 2,024.76 6,425067 1,778094 2,201.D 4,961.57 .395.65 3,217.28 - ~) Co 'll' ~ 25,242078 5,379.25 57,044040 9,465.10 6,256.26 3,382065 3,290045 30,191.95 2,506086 $142,759.80 62,511099 37,729.62 10,811024 10,914.32 26,232062 24,745028 6,642.43 8,836.10 46,770083 2,700.00 5,750000 12,204082 1,025.75 7,571068 807062 2,270.68 31,739069 _ 88,068.36 ~:. 0.09208 Tax Le ing Funds General Fund Administl1ative & Finance Department City Court Department Police Department Zngli1eer~~g DepartD~nt Ililk Inspection & Health Department legal Department Building Department Garbage & Rubbish Removal Department Parking Meter Department Total General Fund F ire Department Fund Park Department Fund hlemoria1 Hall Fund Sewage Disposal Fund General Improvement Fund Water, Light, Heat & Power Fund A irport Fund Cemetery Fund Street, Alley & Sewer }:'und Public Health Nursing Fund Band Fund Library Fund Bindweed Control Fund Firemen's Pension Fund Police Relief & Pension Fund Industrial Developement Fund Special Fund in Lieu of Bonds Fund Bond and Interest Fund Total Tax Levying Fu.'1ds $227,035.58 25029 13,662.04 1,255.60 8,827.74 - 717.00 4,395008 2,651.34 6,120030 6000 - ~~131, 7740 95 - 174,839061 14,573.90 947.26 1,492082 9,427.45 2,069000 - 2,481.10 - - 18.732.86 ~356.338095 ~886,431.78 Non-Tax Le ill Funds 'Waterworks Department ]'und Condemnation Fund Construction Fund Income Tax Y; i thheld Fund Bridge or Street Building 'iachinery ]!'und State & Federal Tax Fund (Swim.ming Pool) Parking l.Ieter heceipts Fu...'1d 1946 Receipts Paid in Advance 1947 Receipts Paid in Advance Firemen's Relief Fund o emetery Endowment Fund Hillcrest bomorial Endowme Hillcrest I.Iemorial Trust F Total Non-Tax La nt f'und und v~ring Funds 060032 &26 ;J498, Total All Funds e CITY OF SALINA. KANSAS CASH IN CUSTODY OF CITY TREASURER Deceaber 31, 19k6 Balance - January 1, 1946 R8Qei'Dts: Fund Cash Receipts (Per record ot City Clerk) Total to be Accounted tor e ;Q~bursem.ents : Fund Cash Disbursements (Per record ot City Clerk) Balance ... December 31, 1946 Blink BaIAn~es - Decem~~ 31, 19~6: The Farmer's National Bank, Salina, Kansas The Planter's State Bank, Salina, Kansas National Bank or America, Salina, Kansas Total Bank Balances e .e 24 Exhibit "DR $ .381,.3.36.55 965.746..,lfl $l,.347,~2.74 &.9.022.a j 49S.060~~2 186,671.80 166,010.67 f45,377aS5 ~ 498..060,32 25 KANSAS SaLINA OJ!' CITY Exhibit IIEII OF CITY TREASDlliJ\. .6 CUSTODY HrVESTlvIENT3 IH December Balance 12-'31-1.6 Balance I-I-J.6 Bond or Certificate Number Date Fund Issued by Decrease Increase Rate Due Issued e T 2,000.00 24,000000 'it' 500000 !'.. ~.) - - $ 2,500.00 24,000.00 rl., W 17-20 C-1947 4-1/4 4-1/2 12-1-4.3-50 12-1-30 12-1-44 Internal Improvement (Flood Control) Uo S. Government Bonds Firemen1s Relief Fund City of Salina U. S. Government Bonds 26,000.00 >\ :;; 500,,00 ,~ 26,500000 !' ;? Total Firemen's Relief Fund Cemetery EndoWInent Fun U. S. Treasury Bonds 7,500.00 ... 7,500000 2 1952-54 6-44 Government Bonds c ..... u. Hillcrest Memorial Fund: U. S. Treasury Bonds 6,500000 6,500000 2 1952-54 6-44 Government Bonds So u. 12,175000 50,000.00 3,000.00 285000 - 8,136022 - 6,798,,11 1,619..73 1,190000 2,556.71 I. .. - - - - - - - - - - - - iht <,p 4,225000 1,500.00 142.54 2,358.84 982.15 483026 1,280095 7,774052 22,1+74.00 1,476.48 5,486085 15,278058 5,569.50 6,319..30 5,061.75 5,060.65 1,05/+.75 1,091.67 1,027.65 - 3,087023 - - - - - $ - - - 5,569.50 6,319.30 5,061.75 5,060065 1,054075 1,091.67 1,027.65 8,1.'36.22 3,087.23 6,798.11 1,619.73 1,190000 2,556071 3 ,43~~ - - - .. .. - - .. - - $ $ 16,400.00 50,000.00 4,500.00 427.62 2,358084 982.15 483.26 1,280.95 7,774.52 22,474.00 1,4.76.48 5,486085 15,278.58 - - - - - - - - - - - - - - - P-129 P.:;13 0 if 6 # 7 ;; s # 9 #10 Il11 #12 #13 #14 # 1 # 2 # 3 # 4 # 5 # 6 =# 7 # 8 /1 9 #10 #11 1)12 #13 "14 ff - 1-1/2 & 2 1-1/2 1-1/2 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 - - 5-1-48 5-1-48 - - - - - - - - - - - - - - - - 1938'='1942 1942 5-1-48 5-1-48 6-19-45 6-19-45 8-21-45 9-18-45 11-14-45 1l-:j.4-45 12-18-45 12-18-45 12-18-45 2-5-46 2-28-46 3-31-46 3-31-46 5-21':"46 6-30-46 6-30-46 6-30-46 6-30-46 7-16-46 7-31-46 8-20-46 9-17-46 9-30-46 Note Note Note Note Note riote Note Note Note Note Note Note Note Note Note Note Note Note Note Note Irote Note Note Bonds Bonds Bonds Bonds Temporary Temporary Temporary Temporary Temporary Temporary Temporary Temporary Temporary Temporary Temporary Temporary Temporary Temporary Temporary Temporary Temporary Temporary Temporary Temporary Temporary Temporary Ternporar;;r Agency Funds Ha terworks Fund City of Salina, Kansas Do So Government Bonds City of Salina, Kansas City of Salina, KanSas City of Salina, KanSas City. of Salina, Kansas City of Salina, Kansas City of Salina, KanSas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, I~ansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas Cit;r of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas City of Salina, Kansas Tota1~atenvorks Investments Trust and Total $ 5241008orq8 Total All Investments 1- 26 ttp'1t Exhibit ClFSALlNA ..KANSAS cr QLL Wi. .AJlD UNOQ s surer short Uncollected Taxes as Shown by County erk'13 RI Collected by County eaa Adjusted TI RolJ.$ Ad Valorem Taxes - - .66 5.15 102.02 ~ 30.22 $ - 31.61 - - 10.80 $ - - 61.: 54.19 43.88 - 80.37 - - - - 53058 - 95.09 80.37 - 14.73 80.50 - - - $ i $ 6.93 - $ - .. 47.40 - 108.28 40.52 8.52 36.98 - 92.47 - - 90.9.3 ff1.47 643 022 559.31 209070 85.44 136.05 286033 260.05 72~12 39.10 453.81 32.09 66030 128.67 19.36 81.60 191029 1,147.78 $ ~ $ 13 ,514.49 35.1..64.65 $ 48,9'79.14 3~, 709..36 13,452.12 5,380.80 8,805.07 18 ,343 091 16,631.73 4,647.0'1 2,445.90 29,105.45 1,956.84 4,157.98 8,315071 1,222.77 5,136.11 12,229.02 73,375.2.3 _60 $ 13,595.03 36.08~.52 49,67 .55 36,312.55 13 ,614.42 5,546.61 8,832.84 l!,589072 16,883.26 4,682.21 2,538.58 29,466.85 2,084.02 4,304.65 8,353.4; 1,256.86 5,298.21 12,419065 74,5l7.86 61 47000 102.04 55.38 20.76 8.46 13.48 28.35 25.74 7.14 3.87 44093 3.18 6.56 12.75 1.92 8.08 18.93 U3064 $ 39.33 J.2&Q7 155040 116.82 43.80 17.84 28.42 59.81 54.31 15.0'1 8.17 94.80 6.71 13 .85 26.88 4.04 17.04 39.95 2.39.74 Ad $ i $ 13 ,602.70 36.020.1..9 $ 49,623.19 36,251.11 13 ,591.38 5,537.2.3 8,817.90 18 , 558.26 16,85.4.69 4,674.213 2,534.28 29,416.98 2,080.49 4,29''7.36 8,339.32 1,254.74 5,289025 12,398.63 74,391.76 00 General: Intangible Tangible Total General Fire Department Park Department Memorial Hall Seage Disposal General Improvements Water, Heat, Light and Airport Cemetery Street, Alley and Sewer Public Health Nursing Band Library Bindweed Control Firemen's Pension Industrial Developement Special Fund in Lieu ot Bonds Bond and Interest Power - 99.87 - 8.7.3 1.50 - $ 491.70 134.68 16.52 61.50 $ $ 11,071086 3,584.74 2.30.76 520.50 . 11,663.43 3,687.81 256.01 583.50 - - - - 30 $ - - .. - - $ $ 11,663.43 3,687.81 256001 583.50 l' Total Ad Valorem Taxes - 00 66 o Total Special Assessments Total Ad Valorem and Special Assessments 27 Exhibit "GD e CITY OF SALINA. KANSAS STATEMENT OF TAXES RECEIVED FROM COUNTY TREASURER SHOWING YEAR OF ASSESSMENT AND DISTRIBUTION TO FUNDS ON BASIS OF ASSESSMENT Jan~.Y 1. 1946 to December 31. 1946. Inclusive e .~ .i'~:~.,;i:~i~:,l~:t.':'::''::'l;':>~,<.- ..,.~ -:,. ~ ~..;,~.,::'::::\;,~i.;' );.,....~::~\.tr: -1."'_>-::-""~ :~.'i}.'/i.. .~~, }',,',,:,-,~ CITY OF SALINA. KaNSAS C LLRK OF THE CITY C Cu'RT STATEr::'LNT OF HECEIPTS. DISBUFtSEI,I:HTS AliiD BALANCES OF CASH January 1. 1946 to December 31. 1946 Balance Januar.f 1, 1946 Receints : e Court deposits and Fees Sheriff's Fees County Attorney - Regular County Attorney - Special Judicial Fees Fines Miscellaneous Total Receipts Total Cash to be Accounted For Disbursements: e Court Fees to Cit;r Clerk Sheriff's Fees County Attorney - Regular County Attorney - Special Judicial Fees to County Treasurer Fines to County Treasurer Bond Forfeiture to County Treasurer Miscellaneous Costs Refunded Total Disbursements Balance - December 31, 1946 Balance per detail Case Balances Cash Long $ 1,955.23 405.89 300.62 200.00 56.40 1,369.00 3,389.50 $ 1,567.88 405.89 295.62 200.00 56.40 1,284.00 500.00 3,350.48 422.88 28 Exhibit "}ifl $ 1,568.78 7.676.64 $ 9,245.42 ~~ 8.083~15 [\. 1,162~27 tW $ 1.157.87 j 4.40 ~- 2? Exhi bi t It In Total f". 7,162075 <? 27,291.50 ...--- ~; 34,454.25 ~) 25,039050 364.00 598.00 >'; 26,001.:;0 - - ~:1. 8 f 2- d~ 'if' 2'1,291.50 .;i) 27,291.50 ';j; 24,871.50 349000 598.00 25,818050 - 00 ~ $ 67000 - - 'iI' 67000 - .;p 52000 15000 - - ~ 67.00 - ;.~ None :1, _ 1944- $ 358.00 - - ~" 358.00 'it' - $ 83.00 - - - - (!,. 83000 <;p - 00 l' --::::.J. $ 523000 - - I' 523.00 .;r - - - '" ".I> - - - - - $ - 00 -..l. $ 980025 - - $ 980025 - - t. - oW - - - ~~ CITY OF SALINA KANSAS SUMliIARY OF' POLICE CCJ1.JRT RECCF.ns Januar 1. 1946 to December ?l .946. Inclusive 1941 and - Prior Balance - January 1, 1946 $ 5,243050 Total Fines Imposed .. - Total to be Accounted for $ 5,234.50 - Less: Cash Collected on Fines * 33.00 Fines Worked Out - Fines Paroled and Dismissed - - - Total Credits $ 33.00 Balance - December 31, 1946 .,-. '''':,lllll'''f 'lIfi'a'~ 'J a:J ' . r,~... :'S--~k,"::,)i'%.~/._~.~_~,:',:'_,,~,~~,: 7.-,:_~:-',,'1'.;:.,' ".~-.;;' ;;:",>~:,J,.-(:-2:,',- -;~~~:t;;..;~ "\~~".(',"'::-fit,';< _ ,.:;:.;/r"\~;, -;'~,:;-:r';~':~';~;i" ;,~{':, :' i' _ '\(7,'\'. \ _.~ o'~!S;~:t.;~tf'~_lii';_:,~1l~t ,\,;.~::"':~~ ;'~;~,:H{~f . l YV ;,.;, '_ - _ - _ - - - ~,' _, ',_._ _ _ _ 'C' _ ." ,",."". ,. CITY OF SALIIIA. EANSAS SUMMARY Of THE RECORDS OF THE CITY BUILDIIIG INSPECTOR January 1. 1946 to December 31. 1946. Inclusive Collections for the Year 1946 'e Building Permits Gas Inspections Plumbing Inspections Electrical Inspections Sign P errni ts Taxi-Gab Inspections Billboard Permits Total Collections Amount Due City Clerk, January 1, 1946 Tota.l Due the City Clerk Remitted to City Clerk Amount Due City Clerk, December 31, 1946 'e Exhibit nJU $ 1,693.50 410.50 727.75 3 gS .45 29.50 60.00 1.00 :i~ 3,310.70 1.50 ;~ 3,312.20 3,309.20 ~~ 3.00 30 .... ''"'''''''''''H''''1'\IiIIf.a_'''''1<:'''~~.''f '~m'!l'1i~ ~ lV~"'_'"",~__"_.~."."M,Q~,""""__~""""",,_,,_,_,,,v ~ _".'i~;\'.)t""..':w".~",''''~,1lIlO''""",:pv',,,..,~.,. 'Io>l~,,;W..\':" ',C .;",. .~, .' ....', . ,& .'~ """.. "'. . . "~~1~~t~~:r,:~,}tl~<<~~~':~~;;~~m:-;-:,..~f,-,.,",,~~;",.',-,y:,;, ''', ,'," 31 Exhibi t nK11 C rTY o.F SA Lli>IA. KA1JSAS C0.ViPAIUSON OF DZPCBITORI BCi~1)S j.l\l}) BAIANCES OF DEFOOITS December 31. 1946 I i. i i !if I ,. ~ ! ~ $. itj ~ Name of Account The Farmers National Bank The Planters State Bank The National Bank of America H. H. Eberhardt, City Treasurer $182,647.82 ;it174,536.89 ~~140 ,413 .35 V;. J. Broom, Clerk of the City Court 1,641.56 ; ~e Total ~184,289.38 $174,536.89 $140,413.35 Less Portion of above balance secured by F. D. I. C. 5,000.00 5,000.00 5,000.00 Balance to be secured by collateral $179,289.38 $169,536.89 *~135 ,413.35 Required 70 Per cent $125,502.57 $118,675.82 ,'j, 94,789.35 \~ Bonds Deposited by Bank as collateral $186,000.00 $167,400.00 $176,000.00 ~!l ~ ~ I t' I ~ ~ I ;~ ~ ~ ~ ~ ~ !\ ~ ~ ~ ~ .~ ~; ~, ~ ---,- 32 'V' Hamilton, Ohio NeVi York, Hew York ~Iew York, liew York Chicago, Illinois Baltimore, Maryland EXhibit Issued B Ohio Casualty Insurance COmpanjT National Surety Corporation Hational Surety Corporation Continental Casualty U. S. lidelity & Casualty Company Bond Amount 5,000000 5,000000 5,000.00 5,000000 5,000.00 ~ Date Expires Term 4- 9-47 4- 9-47 4-11-49 Term Hartford, Connectic New York, New York Sto Iaul, Llinnesota Kansas City, Kissouri Hartford, Connecticut ut Aetna Casualty & Surety Company lJational Surety Corporation St. Paul-Kercury I~1demnity Company American Surety Company Aetna Casualty & Surety Company 5,000.00 5,000.00 5,000.00 50,000000 5,000000 Continuous Continuous Continuous 4-24-47 Continuous Baltimore, Maryland Baltimore, Maryland New York, New York Hartford, COIll1ecticut Hartford, Co~~ecticut Uo S. Fidelity & Guaranty Company U. S. Fidelity & Guaranty Company National Surety Corporation The Travelers Indenmity Company The Travelers Indemnity Company 1,000000 1,000.00 5,000.00 2,000.00 2,000000 Continuous Continuous Continuous 4-10-47 4-10-47 CITY OF SALINA KANSAS FIDELITY BONDS IN FORCE December 31. 1946 Date Title Effective City Cornnissioner 4-19-43 City Commissioner 4- 9-45 City Commissioner 4- 9-45 City COTIIDlissioner 4- 3-45 City Conunissioner 4- 6-43 City Uanager & Superintendent of the Waterworks Department 8-26-43 Director of Finance & City Clerk 7-16-21 DeputjT Director of Finance & City Clerk 1-29-40 City Treasurer 4-24-46 Cashier - Waterworks Depart~ent 1- 2-26 Police Judge 3- 9-37 Building Inspector 12- 9-41 City Engineer 1-15-46 Clerk of the City Court 4-10-45 Marshall of the City Court 4-10-45 ~ J. Ho Moore Al Noyce B. A. BreOn H. C. Simpson Lloyd -ii. Price Ellis J. Allison Charles E. Banker Harold Eo Peterson Henry H. Eberhardt Lois Todd H. N. Eller Thomas L. Bayne Harold F. Harper W. J. Broom L. A. Bartlett 'Mil 1:~xhibi t SALINA. KANSAS CITY OF I.NSUhANCE IN l<'ORCE EXCWSTIJE OF WATERWORES December Amount of C overa!2:e Pro'Qerty 92,000000 3,500000 30,000.00 500000 1,300.00 850.00 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 00.00 0.00 $ e of C overae:e Fire & Supplemental Fire & Supplemental Fire & Supplemental Fire & Supplemental ~"'ire & Supplemental Fire & Supple~ental Fire & Supplerilenta1 Fire &. Supplemental Fire & Supplemental Fh'e & Supplemental Fire & Supplemental Fire & Supplemental Fire & Supplemental Fire & Supplemental Fire & Supplemental Fire 8: Supplemental Fire & Supplemental T and Contents City Hall Building City Hall Contents Fire S ta tion # 1 Building Fire Station #1 Contents - Except Fire Fighting Apparatus City Building, 624 N. 7th City Building, 412 Putman City Rest Room, 110 E. Ash Bath Pavillion, Oak Dale Park Other Oak Dale Park Buildings Bath Pavillion (Contents) 506 E. Ash Garage Street Department Buildings, 320 E. Ash Sunset Park Buildings Street Department Buildings (Contents), 320 Eo Street Department Buildings, 420 E. Ash City Building, 216 W. Crawford City Building, 216 W. Crawford (Contents) Total Coverage - City Buildings & Contents Ash Cit. Group Fire &. Supplemental and Contents 1iemorial Hall Building 1,500.00 850.00 $ 17,800.00 1,000.00 4,500.00 2,000.00 1,000,,00 500.00 675.00 Z7 5 .00 1,500.00 22,647000 5,000",00 500000 25/300,000.00 10,000.00 3,000.00 5,000.00 205.00 7,500000 etc. Fire & 'Iii indstorm Fire & Windstorm Fire & ext Windstorm Coverage ::!ire & Supplemental Fire & Supplemental Fire & Theft Fire & Theft Fire & Theft Fire & Theft Fire & Theft Fire & Theft Fire, Theft & Vandalism Fire & Supplemental Fire & Supplemental Public Liability Boiler Explosion Fire & Supplemental Forgery Bond Loss or Damage Fire, IVindstorm, Hail, Miscellaneous Fire Department Equipment Dwelling & Garage (Dump Ground) Sewage Disposal Building & Contents Ash Street Building & Contents Ahrens Fox Fire Truck International Squad Car la France Pumper 1936 Hudson Coupe 1930 Dodge Hose Truck G.fuoC. Chemical Truck 1924 S eagrove ladder Truck 18 Motor Vehicles & Other Equipment Shop & Contents (Oak Dale Park) Airplane Hanger & Depot City Buildings & Memorial Hall Boilers at Memorial Hall & City Hall Dwelling & Barn - Gypsun Hill oemetery City of SalL~a, Deposit Accounts Police Camera G .Iv..C 0 Trucks (Garbage) nMIJ Exhibit Amount of Coverage Only 3,000000 2,500.00 5,000000 1,000.00 1,000 000 5,000000 Legal Liability 2,000.00 (~.. ';I . "'1..'l>",;,:'.L/i - -- ,',L}.:~-.! . _.~ ~' " ~_:,~.. '~""/;~~" .,'. ",-:if,,",' 't .....':~: ,,',"<ii:. '_J<.;,: ..~- ....:>,~;.~..~: li-;"~';~~,, ~:;_:, Kt.:< u :-,>)#,',,_ .7l;\"':" ': ~,' '~" .",:,.'):,',:\ ;"'<T'~~" ;!"',;~; ~-.,,1'1' CITY OF SALDA. KANSAS ACCOUNTS RECEIVABLE December 31. 1946 General Fund: Police Fi.'1.es and Forfeitures Gas Franchise Fee Building Inspectors Fees not remitted as of December 31, 1946 Total General Fund Waterworks Department Fund: December 31, 1946 Collections not remitted until January 2, 1947 Pettjr Cash Fund in Collection Office not recorded in County Clerks Records Total "oVa tervlOrks Department Fund Total Accounts Receivable $ 8,452.75 1,778.61 3.00 $ 288.57 700.00 35 Exhibi t ItN" $10,234.36 988.57 $11,222.93 ~ ~ 36 Exhi bi t It on Bonds Outstanding 12-31-46~_ Bonds Retired l' 6 Bonds Issued l' 6 Bonds Outstanding 12-31- Amount of Original Issue Maturity Date CITY OF SALIl~. KANSAS STAT~r:ENT Of BONDED IND~TEDlJESS December 6 Series Da te of Number Pur~ose ofI~~ Issue 7,000.00 22,000.00 7,000.00 20,000000 2,000.00 - - - 7,000.00 14,000000 2,000000 10,000000 10,000000 2,000000 4,500.00 1.,200.00 9,000000 900.00 4,000000 10,000000 1,375000 3,900.00 3,000000 285.08 6,000000 4,500000 9,000000 5,475041 11,343.44 28,934.70 220o~ ", ~? 7,000.00 7,000.00 1,500.00 5,000.00 500000 8,000.00 2,00C.00 2,000000 7,000.00 7,000,,00 1,000.00 5,000000 5,000.00 1,000.00 1,500.00 400000 3,000,,00 300.00 500,,00 2,000000 275.00 650.00 1,500000 142054 1,780067 1,214098 1,010001 - - - Q ~? - - - - - - - - - - - - - $ 14,000000 29,000000 8,500.00 25,000.00 2,500.00 8,000.00 2,000.00 2,000.00 14,000.00 21,000000 3,000000 15,000.00 15,000.00 3,000000 6,000,,00 1,600.00 12,000.00 1,200000 4,500000 12,000000 1,650000 4,550.00 4,500.00 427.62 7,780.67 5,714098 10,010001 - - - ~~. <iP $139,662.55 141,671.01 34,287075 85,392.58 9,873.19 72,000.00 13,682036 11,305.50 70,000000 70.000.00 16,760097 42,935.80 44,373.31 7,310004 14,628025 3,915044 27,172.75 2,971.36 6,932.49 18,045.52 2,720.74 6,315009 6,19'7.19 5701)16 7,780067 5,714098 10,010001 5,475.41 11,343.44 28,934.70 22002 Rate 4-1/4 4-1/4 L~-1/4 4-1/4 4-1/4 .. 2 2 2 2 2 2 2 2 I 1-1; 2 1-1/2 1-1/2 1-1/2 1-3/4 1-1/2 1-1/4 1 1-1/4 1-1/4 1 1 1 1-1/4 1-1/4 1-1/4 1-1/4 1-10-(43-47) 10- 1-(43-47) 2- 1- (43-50) 11- 1-(L"3-50) 12- 1-(43-50) 7- 1-(42-46) 7- 1-(42-46) 10-20-(42-46) 7- 1-(42-47) 7- 1-(42-48) 7- 1-(43-48) 2-15-(43-48) 5- 1-(43-48) 5- 1-(43-48) 3- 1-(43-48) 3- 1-(43-49) 3- 1-(43-49) 7- 1-(43-49) 3- 1-(43-40) 1- 1-(JJ.3-51) 1- 1-(43-51) 2- 1-(43-52) 5- 1-(45-48) 5- 1-(45-48) 4- 1-(46-49) 4- 1-(46-49) 4- 1-(46-55) 9- 1-(47-50) 9- 1-(47-50) 9- 1-(47-56) 9- 1-(47-56) Totals 1-10-27 10- 1-29 2- 1-30 11- 1-,30 12- 1-30 1- 1-36 7- 1-36 10-20-36 1- 1-37 1-11-38 1- 1-38 2-15-38 5- 1-38 5- 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 5- 1-44 5- 1-44 4- 1-45 4- 1-45 4- 1-45 9- 1-46 9- 1-46 9-1- 46 9- 1-46 Olive Street Viaduct Curb, Gutter & Paving Ie. teral Sewers Curb, Gutter & Paving Ie. teral Sewers Sewer & Plant He~ir Sewer Curb, Gutter & Paving Curb, Gutter & Paving Lateral Sewer Curb, Gutter & Curb & Gutter lateral Sewer Ie. teral Sewer Curb 8: Gutter Paving Curb & Gutter Ia teral Sewer Paving l'v1ain & Paving General Improvement - Sewage Disposal Internal Improvement- Storm Sewer Internal Improvement- Sewer Re~ir Internal Improvement- Storm Sewer Internal Improvement- Flood Control Refunding Internal Improvement - Paving Internal Improvement - Condemnation Hefunding Refunding Judgement Internal Improvement - Internal Improvement - Internal Improvement - Internal Improvement - Internal Improvement - Internal Improvement - Dlternal Improvement - Internal Improvement - Internal Improvement - Internal Improvement - Internal Improvement - Internal Improvement - Internal Improvement - Internal Improvement - Internal Improvement - Internal Improvement - Internal Improvement - Internal Improvement - Internal Improvement - Internal Improvement - P-1D. R-l12 C-1D R-ll4 R-115 J-116 C-117 P-ll8 S-119 P-121 S -122 S-123 S-124 P-125 P -216 S-127 P-128 129 130 8-131 132 133 P-134 s -135 P-136 S-137 $220,633.86 ;$ 73,273020 59,973.78 ,.;\" 11> ;;;23.3 , 933.28 $932,203049 lateral Sewer ',3?";';,W.:,;2>:~$~f;~:~:~1~~.;'~I~::.~~ ..-!.~~.,\t',~ ',;>,;:~ :~f.'_~~t.: ;>/'~,.:J;'~!~,:!::~ A '~'~:).',' f'~"JIl,~";,l'."';C~$il';~.",",";>"i",,'."" """""C., ,"',~,n..'"~",,," .',".' "_ ..." .... .. - 37 CITY OF SALINA.. KANSAS STATEI\fIEl'JT OF TE;\;FO;::.AF:.Y INDEB'rED:i:J.ESS Dec~nber 31. 1946 Dat,s Amount Given Rate City of Salina, Temporary Note #8 $ 8,136.22 6-30-46 1 City of Salina, Temporary Note #10 6,798.11 7-16-46 1 City of Salina, Temporary Note # 11 1,619.73 7-31-46 1 - City of Salina, Temporary Note #lZ 1,190.00 8-20-46 1 City of Salina, Temporary Note #13 2,556.71 9-17-46 1 City of Salina, Temporary Note #14 3,435.41 9-30-46 1 Total $23,736.18 ~, Ii r,' r. t ~~ ~ WJ ~ ~ r~ ~. ~'- * '.. .;~ 'Si- ~~ :.' ~~ ~ .tI ~ ~r ~ :i: I~, ~ ~~' .~ :.i~:?~,,~~~~::J~!iil~kli'~~~;j~:;~"i..;:/~t~t~1~f,,$\~~,~~~~g,;>~ :~';0d(~~;~i;,l;:;.::::\f';~~1iZ.~'~\.';\f;:~~rt~'~~N~\.'\.~~~~~;i'~";;":'~:;"{"~.'iW_>:~~~~~'~~_~"~"'iIl'.\Y~-:.,;.~jp,7~'~~'~'~?f'5f<;~Jr"' 1" "l., -.-" _ .,M. "_'"' "o"L'4"1"",~ ,.... .~_ ~., .,... +. ._ _.,.. ,e p. ~ , ~ }!.e ~ .~ [, .; ~:: ~! ~; :1 . ~ ";,; ~ f CITY OF SALETA. KAHSAS 38 STATEJ\1LN'l.' OF P.:LCEHTS. DISBUF.s:t~M:sHTS )l.=ID BAIJl.LJCES OF CASH GENERAL l~U.lm January 1, 1946 to December 31. 1946. Inclusive Amoun t of Amount of Actual Over Actual Under Actual Budget Budget Budget Balance - January 1, 1946 $ 77,770.30 $ 37,356.21 $ 40,414.09 $ Receipts: License Fees & Permits, Schedule Itl..A.lt $ 20,210.70 $ 12,002.39 $ 8,208.31 $ Ad Valorem Taxes 50,467.53 48,320.01 2,147.52 Sales Tax Residue 8,721.72 8,531.44 190.28 Cigarette 'I'ax 17,237.95 5,613.78 11,624.17 Franchise Tax 12,190.52 11,660.26 530.26 Fines, Fees & Costs - Police Court 25,039.50 16,407.40 8,632.10 City Court Costs 1,567.88 1,500.00 67.88 Parking Meters 1l,803.97 11,803 .97 Rents 40.00 40.00 Sales & Services 1,525.32 2,256.50 731.18 Refunds & Recoveries 312.32 50.00 262.32 Miscellaneous 27.73 _798.01 - 770.28 Total Receipts $149.145.14 $107 ,139.79 i 42.005.35 $ Total Cash to be Accounted for $226,~15.44 $144.496.00 ~ 82.419.44 ci' . ~il Disbursements: Administrative & Finance Dept., Schedule 1t1_B" $ 25,242.78 $ 31,845.00 (j~' $ 6,602.22 <]j> City Court Dept., Schedule ill_BIt 5,379.25 5,800.00 420.75 Police Dept., SChedule l'l_D" 57,044.50 53,863.00 3,181.50 Engineering Dept., Schedule IIl-E1t 9,465.10 8,962.50 502.60 Milk Inspections & Health Dept., 6,256.26 Schedule 1l1_F" 8,400.00 2,143.74 Legal Dept., Schedule Itl-G" 3,382.65 4,050.00 667.35 Building Dept., Schedule 1I1-H1t 3,290.45 3,768.00 477.55 Garbage & Rubbish Removal Dept., Schedule Ill_Ill 30,191.95 27,SC17.50 2,384.45 Parking Meter Dept., 2.506.86 2,506.86 Schedule IIl-J1t - Total Disbursements $142.759.80 ~144.496.00 ~ $ 1.736.20 Balance - December 31, 1946 $ 84,155.64- $ $ 84,155.64- $ 39 Schedule If 1-.1\.11 Amount of Amount of Actual Over Actual Under Budget - Budget $ .. $ 25.00 .. - 965000 .. - 2,609020 - 30.00 - 89000 .. .'2IiO.OO - 150.00 - 10000 - 118.00 - J42 0 00 ... .. - - 50. CO 75.00 .. .. 15.00 5.00 - 15000 .. 100.00 - 50000 .. 126.00 - 120000 - 1,010.00 - 162.50 - - - 1,850.00 - 50000 - 162050 - 18000 - 8000 - 105000 .. 100000 - 18011 - - $ 8,208 .a1 $ Inclusive GENERAL FUND 6 to Dec~mber et 100.00 150.00 1,800.00 100.00 Bud $ Actual 75000 150.00 2,765000 100.00 (" ';P Licenses Auction and Auctioneers Auto 'Wrecking Licenses Beverage Dealers Licenses Bill Board Licenses Build in. Permits and 700.00 50.00 150.00 700.00 200.00 40.00 20000 25000 450.00 202.00 200.00 750.00 52.00 45000 450000 50.00 30.00 900.00 750.00 100.00 10.00 2,500.00 850.00 - 30.00 3,309020 80000 239.00 910000 350000 50000 138000 167000 450.00 152.00 275.00 735000 57000 60.00 550000 100.00 156000 1,020.00 1,760.00 262.50 10000 4,350000 50000 1,012050 18.00 8.00 135.00 100.00 616.50 1,693000 410.50 727.75 388.95 28.00 61.00 (:l" W ection Fees Building Permits Gas Inspections Plumbing Inspections Electrical Inspections Sign Permits Taxi-Gab Inspections Cpncrete Construction Licenses Dance Permits Dog Licenses and Impounding Electric Wiring licenses Gas Fitters Licenses House Moving Permits HUCkster, Peddler and Vendor Licenses Insurance Cqmpany and Agent Licenses Junk Dealer, Buyer and Collector Licenses Plumber and Gas Fitters Licenses Pool Hall and BowlL~g Alley Licenses Plumbers Certificate Fees Pop Corn Stand Licenses Show and Theater Licenses Skating Rink Licenses Street Advertising Licenses Taxi-Gab Licenses Taxi-Gab Drivers Licenses Truck and Team Licenses meat Packing Permits Amusement i.lachine Licenses Oil Drilling .Fermits Music L~chine Permits Fireworks Licenses Lluseum Licenses Photographers Licenses Sewer Connection Permits Milk Food Inspection Licenses Ins 598039 12,002.39 $ $ 20,210070 Totals ';1$~.,--,.\'..:-,;/'/~ :Ii';':';;':' , ;,~;..." '.. d;r.d,;''".I ("'~;"" '" -.,-;.~~., . ,. ...'~,....,. '-a' 40 ~lchedule ill_Bit CITY OF SALINA. ll.ANSAS DETAIL OF DISB1i1lliEk'lEl'lTS GENERAL FUND - ADMINISTfi..\TIVE AND li'IJ'iANCE DEPARTMENT January 1. 1946 to December 31. 1946 , Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Salaries and Wages: City C ornmis sioners $ 375.00 t~ 375.00 $ $ ;;p City Manager 2,700.00 3,600.00 900.00 City Clerk 1,500.00 1,500.00 City Treasurer 499.92 750.00 250.08 - City Bookkeeper 1,777.50 1,740.00 3'1.50 City Iv:anager's Secretary 1,017.50 1,044.00 26.50 Building Inspector 2,040.00 2,100.00 60.00 Dump Ground Caretaker 950.00 900.00 50.00 Restroom Caretaker & Police Matron 280.00 240.00 40.00 Deputy City Clerk 2.100.00 2.400.00 300.00 Total Salaries & Wages $13,239.92 $14,649.00 $ "+,, 1,409.08 ;;1' Professional & Contrasted Services 1,259.70 1,800.00 540.30 Office Supplies & Expenses 2,554.27 2,500.00 54.27 Printing 473.88 500.00 26.12 Election Expense 4,5.31.64- 5,000.00 468..36 f\.laintenance of Equipment 112.84 250.00 1.37.16 - Insurance & Bond Premiums 242.50 650.00 407 .50 Travelling Expense .396.52 150.00 246.52 Furniture & Equipment 328.5.3 2,000.00 1,671.47 Appropriations, Dues & Donations 406.90 300.00 106.90 Refunds 9.00 46.00 37.00 M.iscellaneous 1.687.08 4,000.00 2.312.92 Totals $~25,242.78 $31,845.00 $ $ 6,602.22 - - :;,,:\._.,~~\\; ~_ ;,t;it,.,..'_\-r' ~~ '/. "!J:~H.) .~. ,..~_.;....:..,;f ", .." : ;,. ,_.,.. >;,0 CITY OF SALINA. KANSAS DETAIL 0]' DISBURSEMENTS GENERAL FUND - CITY COURT DEPARTMENT January 1. 1946 to December 31. 1946. Inclusive Salaries and Wages: Judge Clerk Marshall Total Salaries & Wages Office Supplies & Expense Traveling Expense Miscellaneous Totals Actual Budget $ 2,400.00 $ 2,400.00 Q ~p 1,200.00 1,200.00 1,500.00 1,500.00 $ 5,100.00 $ 5,100.00 $ 196.10 83.15 300.00 375.00 25.00 $ 5,379.25 $ 5,800.00 ,f~': ~ ,~':';"- .',~ _ .. .,--~ ','If;,$i. ;Schedule tll-Cn 41 Amount of Actual Over Budget $ Amount of Actual Under Budget " ~ <I'. ~) 103.90 291.85 25.00 $ 420.75 ""i~ ;, 'I~'~, .i ::<.;, :>:- .i,.'._:_'t. ~~,'t/il:'!l.";". J.".)j';.'~V-,;""",, .,;1'~'Ji;d' .'-fl' 1....1';',. CITY OF SA LIN.4.. KA.NSAS DErAIL OF DISBUIiSEMEN'TS GENERAL FUND - POLICE DEPART~dEIJT January 1. 1946 to December 31. 1946. Inclusive , ;",.~..-,..t "; ',..:.."".~ ,_ 42 Schedule It l-D" " :'~;~"J,., l*"~~:l!;(:"",-:i":.~,' ,-;':::~'f~':' Jw,;;}. ',",' ':,~-;~ ':',,-1.'.\..;. :-:..~' !, ;"" ;.t~ ;,..../. ;'v:'4~.~',<,,:- .-,:0;. .-":';._'...."'- ~~,,!~ .:';',-";,:':'.<"" ",,;"'".f'; h!'~ 43 Schedule ftl-E1t CITY OF SALINA.. KA~ DETAIL OF DISBURSEMENTS GENERAL FUNDy -. ENGINEERING DEFAHTNIE;I'J'!' Jan~.r...Y. 1. 19A6 to December 31. 1946, Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budge..i...-. Budp:et Salaries and Wa~es: City Engineer $ 3,141.40 %'> 3,000.00 $ 141.40 $ Other Employees 3,416.95 3,800.00 383 .05 Professional Services 655.35 500.00 155.35 e Total $ 7,213.70 $ 7,300.00 C~,I $ 86.30 '"' Office Supplies & Expense 246.75 150.00 96.75 Legal Printing 1,622.11 500.00 1,122.11 Maintenance of Equipment 113.26 300.00 186.74 Materials & Supplies 156.92 150.00 6.92 Insurance & Bond Premiums 21.$6 12.50 9.36 Gasoline, Oil, Grease & Anti- Freeze 83.83 150.00 66.17 New Equipment 6.67 300.00 293.33 Miscellaneous 100.00 100.00 e Totals :$ 9,465.10 <1+. $,962.50 $ 502.60 <If, 1? W -. . ;~"..,. ...".>"."....:,,:\... ..,.,;'.'#'..W.' ~""",,,;,:,...~;..,:.'_.'::1. ,~ik:<.;:u'r"~_;;j,,T:I. ~"-,'C';r,' ;,t:.o ;,::"'};t 44 Schedule 1I1..Flf CITY OF SALINA. KA.NSAS DErAIL OF DISBUP.8EMEnTS GENFmL FUND - MILK INSPEC'J'IONS Aim HF~LTH DEPARTMENT January 1. 1946 to December ,21J. 1946. Inclusive Actual Budget Amount of Actual Over Budget Amount of Actual Under Budp:et Salaries and Wages: e Milk Inspector Sanitary Inspector Laboratory Technician $ 1,705.00 2,277.50 ;;ji 3,000.00 2,400.00 1,200.00 ir:'. 'W *~ 1,295.00 122.50 1,200.00 Total ~~ 3,982.50 $ 6,600.00 $ ~~ 2,617.50 Office Supplies & Expense 73.76 300.00 226.24 Materials & Supplies 276.00 200.00 76.00 Traveling Expense 225.00 300.00 75.00 Equipment 500.00 500.00 Miscellaneous 1,699.00 500.00 1,199.00 Totals $ 6,256.26 $ 8,400.00 ~, $ 2,143.74 .;p e ,...Z..~:~j't~;\~:: ~.~ :';""'<1" ", ".i]..,(-.5'&;',-''f!f.ti~~p::,r.{~~TC .::~;+;~,_'.f'f:,.:;;\tIA~~;:;~~k,""> ~i,'::;:'~':~., '::"~""..:..::t,'-: "'/~~'~, t~r,;,';:.;J::,_\f1,~~~"'!":m'"o:..1-,,,:;'jSf:>i~,!,;.c ..__",.:..._C'-:",,'~,~~~.~ . :~~:~;';:';'.,"fif: -;~v:~-:,,,.'';', ~":;"'~i"",,,','" ,.:,:.;.:~ ~,:J.;.~!oIo"i. - ,"i~.,('i:!l~.,'iiW' 45 Schedule It I-Gtr CITY OF SALINA. KANSAS DErAIL QEi' DISBUF.sEL1E~rrS GENERAL FUND - li'~GAL DEPll.RTMENT January 1. 1946 to December 31. 1946. Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Salaries and Wages: City Attorney $ 2,400.00 oi. 2,400.00 $ $ tii' Police Judge 900.00 900.00 e Total ;-\ 3,300.00 d~ 3,300.00 $ i.~ ;:p 'if' .~ Professional Services 8.00 500.00 492.00 Office Supplies & Expense 14.70 100.00 85.30 Miscellaneous 59.95 150.00 90.05 Totals $ 3,382.65 $ 4,050.00 $ $ 667.35 e e e ~j:" ,:-~~:; ~: u:; ':;",-)~,:',,~~'.:'''./,7j.'.';;;:-}\:' <'~" ' t.;",~-,<; *.;.., C 1'1'1 OF SALINA. KANSAS DETAIL OF DISBtJ-asEMENTS GENERAL FUND - BUILDING DEPARTMENT January 1. 1946 to December 31. 1946. Inclusive Salary of City Hall Custodian Professional & Contracted Services Maintenance of Buildings Iv1aterials & Supplies Insurance Miscellaneous Total Actual $ 1,505.35 5.50 970.59 809.01 $ 3,290.45 Budget $ 1,518.00 1,500.00 600.00 100.00 50.00 $ 3,768.00 ~.,;..Cj:,_; . .::);. t'" ~:'~~",".'..~, '';-,;~i ...., ."'i.."",'..-'ft Schedule Ill-HI! 46 Amount of Actual Over Budg~ d~ * 5.50 209.01 cl" iI? Amount of Actual Under Budget ~p 12.65 529.41 100.00 50.00 $ 477.55 /H' ;r,,;:,',~~t.. \iF-,'::-. ;;6":':-~' /t~';.': :/~ .;,~_:_~-tL;~~:$,~.:;f,f':.e;.:.~ ;,.' ;: '!.,' .l':~',.~,1::r '. ;."~_,~...,;,,.<o;,:\ ',&i:..;,.'.;\.~ ",,_,:~~:.,:~ ..,:". . i-~,:'-'lt:".'% ",...,;.,;-.\1ili.,iot, '(.',;"i,.,;d.,..;...._ ;~;"~"o;':!>":~.l'~,,' 'c._,j"n. ~, 47 Schedule "l-I" CI~.'Y OF' SALINA. KANSAS DErAIL OF DISBURSEMENTS GENERAL FUND - GARBAGE AND RUBBISH REMOVAL DEPARTMENT January 1. 1946 to December 31. 1946. Inclusive Amount of Amount of Actual Over Actual Under Actual Bud;;!et Budget Budget Salaries and 'Wi ages: Superintendent $ 2,007.50 $ 2,100.00 $ $ 92.50 Other Employees 23,638.10 21,540.00 2,098.10 e Total Salaries & Wages c;;, 25,645.60 .;p 23,640.00 ~? 2,005.60 l~:. ~? 'w Office Supplies & Expense 20.00 20.00 Maintenance of Equipment 2,168.01 1,500.00 668.01 1~terials & Supplies 203.34 50.00 153.34 Insurance & Bond Premiums 108.75 97.50 11.25 Gasoline, Oil, Grease & Anti-Freeze 1,223.56 1,000.00 223.56 New Equipment 84.69 1,000.00 915.31 1liscellaneous 758.00 500.00 258.00 e Totals :$ 30,191.95 " $ 2,384.45 $ $ 27,807.50 ,~~~l!t;1~'/,: e e ,~>-,<,_"__~'_". .:.! ,,~ lli.;" ".."::~' ',~~~_,~;,'if ~",::'i',", '.~': .~~,~ '. . '-. -'.~"'.. '. ."', CITY OF SALIli~. KANSAS DETAIL OF DISBURSEMENTS GENERAL FUND - PARKING METER DEPARTMENT Actual Budget Amount of Actual Over BudR:et ~ 53 .35 66.99 2.386.52 $2,506.86 Maintenance of Equipment $ Materials & Supplies Tools & Equipment 53.35 66.99 2,386.52 $ Totals $ 2,506.86 $ 48 S ched ule It 1-J1l Amount of Actual Under Budlret $ ... ... ... '*' t'W::i'c', ~~,':,_",.;,"~...,; ./f", ~!.' '. ~ " ...-/f..... ..-{ -. '.~- 49 S ched ule It 211 CITY OF SALINA. YJUJSAS STATEliiEN'I' OF RECEIPTS. DISBL'RSEMENTS AND BALAtJDES OF CASH FOO; DEPiI.RTh:iEIIT FUlID January 1. 1946 to December 31. 1946. Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Balance - January 1, 1946 $ 23,562.47 $ 9,651.03 t(. 13,911.44 " ojj> ,$ Receipts : Ad Valorem Taxes 36,994.86 35,057.72 1,937.14 Services & Sales 384.40 197.65 186.75 Sales Tax Residue 10,902.46 10,664.60 237.86 e IdisceD.aneous (Refunds & Recover- ies) 262.50 4,000.00 3,737.50 Total Receipts 1~5~22 $ 49,919.97 $ $ 1,375.75 Total Cash to be Accounted For 2:1 :62 $ 59,571.00 $ 12,535.69 $ Disbursements: Salaries and Wages: Salary of Fire Chief $ 3,000.00 $ 3,300.00 $ if. 300.00 'iY Salaries of Assistant Chiefs 4,561.25 4,536.00 25.25 Salary of Fire Inspector 2,089.50 2,205.00 115.50 Salaries of Firemen 41.045.63 40.980.00 65.63 Total Salaries $ 50,696.38 $ 51,021.00 $ $ 324.62 Office Supplies & Expense 370.33 150.00 220.33 Building & Equipment Maintenance 1,958.% 400.00 1,558.96 e Materials & Supplies 2,902..44 1,000.00 1,902.44 Gasoline, Oil, Grease & Anti- Freeze 348.85 400.00 51.15 Insurance & Bond Premium 106.00 100.00 6.00 Furniture, Tools & Equipment 5,893.67 6,000.00 106.33 Travel 72.86 100.00 27.14 Miscellaneous 162.50 400.00 237.50 Total Disbursements $ 62,511.99 $ 59.571.00 t~'" 2.94-0.99 cl" .;p 'lP Balance - December 31, 1946 '"' 9,594.70 $ $ 9,594.70 Jj. ~ - 'IP "..!>j:\ ":;"~"";~ " ,i..,~., .... ,..,~~> "'.;.... . ,,. .~../......,:...., ~J~:~':<. -,:...,;;':.....".~:.c..,','?:...,_i>~..;."".. ;.'~r-..:p,...:.-..A ~< . '.t: . ~?M:' ':';\V"'~' ;,)',-'__,,'F,~\,.:.-r^~'..;" e ,\" " -~~"'~' 50 ~;chedule It.31t CITY OF SALINA. KANSAS STATEL1ENT OF RECEIPTS. DISBlJ}{SEL;El-1TS MID BAIAIJCES OF CASH PARK DEI:ARTL'iEl.JT FUND January 1. 1946 to December 31. 1946. Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Balance - January 1, 1946 $ 15.611.35 $ 9.373.81 ~ 6 ,2;3'~ ~~ Receipts : ., Ad Valorem Taxes t. 13,860.90 (, 13,1.37.75 ('. 72:3.15 'lj) ill' Q ;,p Rent & Equipment Rental 120.00 120.00 Services & Sales 9.75 74.75 65.00 Sales Tax Residue 3,106.47 3,038.69 6'7.78 e Gross Receipts -Swimming Pool 7,41G.44 10,250.00 2,831.56 Miscellaneous 25.00 25.00 Refunds & Recoveries 3.39 3.32 Total Receipts $ 24,543.95 .; 26.501.19 $ " 1.957.24 ~ ~ Total Cash to be Accounted For $ 40.155.30 $ 35.875.00 ~ 4,280.30 c' ;.:JI w Disbursements: Superintendent's Salary ~p 2,300.00 ;.) 3,000.00 ~-. $ 700.00 .", 'il' Labor 19,544.20 20,000.00 455.80 Office Supplies & Expense 67.37 50.CO 17.37 Water, Light, Heat & Power 171.34 150.00 21.34 Building & Equiprr~nt Maintenance 944.30 500.00 44i~.30 M.aterials & Supplies 5,645.11 1,300.00 4,345.11 Rent - Thomas Park 100.00 100.00 e Gasoline, Oil, Grease & Anti- Freeze 284.09 350.00 65.91 Tools & Equipment 1,323.54 1,500.00 176.46 New Improvements 1,925.80 1,000.00 92 5 .80 Insurance & Bond Premiums 30.44 50.00 '- 19.56 Swimming Fool (Gross Disbursements) 5,458.82 7,775.00 2,316.18 Traveling Expense 5.25 5.25 Miscellaneous 29.36 100.00 $ 70.64 Total Disbursements $ 37,729.62 $ 35.875.00 1.854.62 b - ;jp Balance - December 31, 1946 ,~10. 2,425.68 6 ;t;. 2,425.68 d"\ <ll' ,'" ~( 'IP ",'~,i~ :-,~/ '.,l".'" .,.. '_ ;:y-, -~ ',. ft;. f.3~ ':l1,_t. ,.',,~~\:.,,;. ...',~;"i-io.:, ,~;-,.,~" .:., .." ;~~:';,:'. . .,':~':'/''''U-: ~', ';_:;~'Ji.'::~~ ,/:"~,;4'" ~,.." "",:;,:"'~'~i...<...:~-t.~;:,';,;:,, y,!;""~_,, .->i. _'.':~..,;. ,"bh.-r..: '~r.;<i..,.,,';"(~~,,~:; ... . ~~';-~-( 51 Schedule 1l3-Au CITY OJ? SALINA. KAI;SAS STATEL::El'J'l' aF" FLCEIPTS. DISBD'D.3EEEl,TTS AnD BAIAlJCES OF CASH PARK D:;i;F:ART~,lE~;T FUND - SWDiilillNG POOL :FUND Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Balance - January 1, 1946 (~ r"', $ /" 'iI' <if .;,> Receipts: Rent & Concessions 173.57 " 250.00 $ $ 76.43 ;;? ljji e Services & Sales 7,240.15 10,000.00 2,759.85 Refunds & Recoveries 4.72 4.72 Total Receipts - Schedule 11311 $ 7,4l8.44 $ 10.250.00 d~ $ 2.831.56 5" Total to be Accounted For ~ 7,418.44 4~ 10,250.00 v" $ 2,831.56 Q Disbursements: Salaries & Wages $ 3,547.89 $ 4,000.00 ~ d\ 452.11 ~r Office Supplies & Expense 114.11 100.00 14.11 Vi ater 209.55 300.00 90.45 Light, Heat & Power 47.42 75.00 27.58 IiIaterials & Supplies 1,024.01 1,200.00 175.99 Building & Equipment Maintenance 121.69 1,500.00 1,373.31 Furni ture , Tools & Equipment 137.70 500.00 362.30 e Miscellaneous 256.45 100 . 00 156.45 Total Disbursements - Schedule "311 ~'1- 5.458.82 $ 7.775.00 ,I', :$ 2.316.18 iilI 'll> Net Income - Reflected in Schedule 113" 1,959.62 "1 2,475.00 $; {.~. 515.38 ~t ~~ ,'t' Balance - December 31, 1946 $ $ ~fP ~ e e . ,,is':''';':, ...-." ',"',~'4(\:.-('l' > ~ '11. '\ ,~!~ .... ~.,.. "~'. "-t;,,~ ~ri)h:~~" ;,w'. ,"'.<::"tj:" l,~/ .::k:.." .,...~'..i~_,,~it_.;;;',4,';t/, '~..'_ -'_ ,N'!,. "'-~. CI1'Y OF SALIHA. KANSAS , t~ \~,.:,:Y<~~-,.:.'4".l.:~t,.,;;, '/... 'l:.....f'..;:_/iJ...; 52 Schedule 1141l STArmEEIIT OF RECEIPTS. DISBURSEi"EilfS AND BAL{~NCES OF CASH l.LE:,WRIAL HALL FUND January III 1946 to December 31. 1946. Inclusive Balance - January 1, 1946 Receipts: Ad Valorem Taxes Rents & Concessions Services & Sales Sales Tax Hesidue Refunds & Recoveries Miscellaneous Total Receipts Total Cash to be Accounted For Disbursements: Custodian's Salary Other Salaries Office Supplies & Expense Water, Light, Heat & Power Building & Equipment Maintenance I,Iaterials & Supplies Insurance & BondPremilli~ Furniture & Equipment IHscellaneous New Improvements Total Disbursements Balance - December .31, 1946 Actual Budget Amount of Actual Over Budget ~l) 8,930.88 ~ 2,270.22 ii> 6,660.66 ;~; $ 5,571.79 3,290.08 72.25 677.83 257.50 ~,869.45 ;;p 5,290.38 3,100.00 51.35 663 .05 200.00 ~j 9.304.78 ~:~ 281.41 190.08 20.90 14.78 57.50 564.67 $ 18,800.33 $ 11,575.00 ~~ 7,225.33 ~~j ..r 1,500.00 1,718.40 75.89 1,195.35 4,383.99 302.16 1,624.68 3.00 7.77 ;;ji 10,811.24 (; 7 ,989.09 ;~ ~) 1,500.00 1,700.00 75.00 1,500.00 1,000.00 500.00 1,350.00 500.00 50.00 3,400.00 :15 11.575.00 ;~;) 18.40 .89 3,383.99 274.68 {..., {!i) , $ 7,939.09 Amount of Actual Under Budget C' t'i1' $ r;. ';v :;? .304.65 197.84 .;~ 497.00 42.23 3.400.00 763.76 ";1, ~p 53 Schedule It 5tt e CITY OF SALINA. KANSAS STATELlENT OF RECEIF'rs. DISBlJRSEhIENTS AND BAIANCES OF CASH SEWAGE DISPCSAL FU'ND January 1. 1946 to December 31. 1946. Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Balance - January 1, 1946 .;;, 5,520.74 (~ 1,405.07 $ 4,115.67 $ <;;> ,!? Receipts: e Ad Valorem Taxes $ 8,970.19 $ 8,495.18 $ 475.01 *~ Sales Tax Residue 2,370.23 2,318.52 51.71 Miscellaneous 501.23 501. 23 Services & Sales 924.82 924.82 Total Receipts '" 12.265.24 $ 11.314.93 $ 950.31 $ ~p Total Cash to be Accounted For $ 17,785.98 <L~ 12,720.00 $ 5,065.98 $ '.t' Disbursements: Superintendent's Salary (Includes use of personal auto)$ 3,000.00 (,~.' 3,300.00 (' -, 300.00 1',) ~;? v Other Vi ages 1,9.93.90 3,520.00 1,526.10 Office Supplies & Expense 49.66 50.00 .34 Water, Light, Heat & FOller 2,885.02 2,700.00 185.02 e Building & Equipment Maintenance 1,490.60 1,500.00 9.40 Materials & Supplies 457.28 500.00 42.72 Insurance I$: Bond Premiums 11.00 100.00 89.00 Tools & Equipment 970.86 1,000.00 29.14 Miscellaneous 56.00 50.00 6.00 Total Disbursements "' 10.914.32 ~ 12.720.00 ~; $ 1.805.68 ~p Balance - December 31, 1946 $ 6,871.66 $ $ 6,871.66 ;'> ;,p e ,~. ~'.;(,jt 54 Schedule 1t61l e CITY OF SALINA. KANSAS STATEl:;ENT OF RECEIPTS. DISB1JRSEI,;;:E.lnS Aim BAIAl.,)CES OF CASH GENERAL DEPROVEIi,ENT FUl\J'D January 1. 1946 to December 31. 1946. Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Balance - January 1, 1946 $ 3,332.99 $ 2,073.10 $ 1,259.89 $ - Receil)ts: e Ad Valorem Tax $ 18,802.94 $ 17,863.37 $ 939.57 $ Special Assessment Taxes Weed Cutting 525.30 700.26 174.96 Water Service Lines 200.00 200.00 Sales & Services 6.35.49 635.49 Sales Tax Residue 5,785.48 5,659.27 126.21 Refunds & Recoveries .81 .81 Miscellaneous 237 80 - 2')7.80 .. Total Receipts ~ "25-'l987:8~ ~24,422t90 ~ 1.5Q~ L_=___ Total Cash to be Accounted For $ 29,320.81 $ 26,496.00 $ 2,824.81 $ . . DisbuJ;'~ments: Salaries & V.jages $ 12,852.00 $ 18,996.00 ..~.\ $ 6,144.00 ;,p e Professional & Contracted Services 6,099.46 200.00 5,899.46 Maintenance of Equipment 170.01 500.00 329.99 Materials & Supplies 6,982.0.3 4,000.00 2,982.03 Gasoline, Oil, Grease & Anti- Free ze 9.72 100.00 90.28 Tools & Equipment 1,200.00 1,200.00 1!isce1laneous 106.20 1,000.00 893.80 Equipment Rental 13 .20 500.00 486.80 Total Disbursements $ 26.232.62 ~ 26.496.00 ;3 ~~ 263.38 ~. Balance - December 31, 1946 &. 3,088.19 (:1' 6 ,", 3,088.19 'iI' 'R ~l' tW "e 55 Schedule "711 e CITY OF SALINA. Kl\.NSAS S'I'ATE:"EiIT OF Fil,CEIPTS. DISBURSElvIENTS AHD BALANCES OF CASH WATER. LIGHT. :H:E:AT AND FOV1ER FUND Janugry 1. 1946 to December 31. 1946. Inclusive Amount of Amount of Actual Over Actual Under Actt18.1 Budget Budget Budget Balance - January 1, 1946 ~ 9,281.91 $ 3,158.54 $ 6,123.37 :;]> Receipts: Ad Valorem Taxes J? 17,242.65 $ 16,401.13 ;.:7. 841.52 $ e 9 'i? Sales Tax Residue 5,055.46 4,945.17 110.29 Refunds & Recoveries 518.84 460.16 58.68 Total Receipts ~ 22 .816 .25 $ 21.806.46 (j. 1,010.49 (~ "" ;,p Total Cash to Be Accounted For $ 32,098.86 $ 24,965.00 $ 7,1.33.86 d> 'i? Disbursements: Water Hydrant Rental $ 615.00 d} 615.00 (., q. ;u> \P .;( Water, City Buildings 286.35 350.00 63.65 Street Lighting 5,873.90 6,000.00 126.10 Traffic & Christmas Lights 237.48 250.00 12.52 C j. ty Buildings - Lights 513.88 600.00 86.12 City Buildings - Heat 903.06 1,000.00 96.94 e Street Whiteway Lighting 15,504.54 15,500.00 4.54 Street Light Kaintenance 687.96 150.00 537.96 Miscellaneous 123.11 500.00 376.89 Total Disbursements tit. 24.745.28 $ 24.965.00 $ c> 219.72 iil) ~ Balance - December 31, 1946 ,;' 7,353.58 ~ $ 7,353.58 'I' .;p ',? e 56 Schedule US" e CITY OF SALINA. l'iANSAS STATEh:El1T OF 1,1;GEI?TS. DISB1JRSE1,JEi'j1'S A~m BALANCES OF CASH AJRFORT :FUND January 1. 1946 to December 31. 1946. Inclusive Amount of Amount of Actual Over Actual Under Actt1al Budget Budget Budget Balance - January 1, 1946 t'~ 7,964.64 $ 2,884.72 $ 5,079.92 :~ 'ti} Receipts: e Ad Valorem Tax (.~. 4,676.49 $ 4,448.69 $ 227.80 (:~ ..,; 'Il' Sales Tax Residue 561.03 548.79 12.24 Rent 820.00 617 80 202.20 Total Receipts ~$ 6.057.52 ~ 5.615:28 $ 442 .24 G~ ~ Total Cash to be Accounted For ~~ 14,022.16 Ii> 8.500.00 :$ 5,522.16 $ ~~ Disbursements: Salaries & Wages $ 106.00 $ 5,000.00 G' 6 4,894.00 ~p '*' 1JVa ter, Light, Heat & Power 3.39 4.00 .61 Materials & Supplies 21.55 3,496.00 3,474.45 Insurance 241.15 2L~.15 Equipment 3,647.00 3,647.00 Professional & Contracted e Services 2,590.34 5,590.34 Miscellaneous 33.00 33.QQ Total Disbursements $ 6.642.43 $; 8 .500.00 $ ~> 1.857 .57 <lP Balance - December 31, 1946 ,u, 7,379.73 $ $ 7,379.73 ;... ~ ., <iP .e 57 S ched 1.11e II 9" e C 1'1'Y OF SA LIH..'1.. KAnSAS ST1l.TELElTT OF REC"f'~IPTS. DISBDRSELlEI'ITS AIJD BALANCES OF CASH CE1lETERY FUND January 1. 1946 to December 31. 1946. Inclusi~ Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Balance - January 1, 1946 ~p 4,975.05 ..;4-, 2,062.46 :$ 2,812.59 ;jp ;11> Receipts : Ad Valorem Tax c;. 2,536.66 ~~ 2,417.47 $ ll9.19 ~; 'iY ojp e Fees & Permits Burial 2,074.00 2,000.00 74.00 Markers 98.00 100.00 2.00 Lot Transfers 25.00 20.00 5.00 Interest 150.00 100.00 50.00 Lots Sold 1,920.00 1,500.00 420.00 Grave Space Sold 245.00 200.00 45.00 Care of Lots 256.25 200.00 56.25 Miscellaneous 28.50 50.07 21.57 Note Settlement from Hillcrest Memorial Trust Fund 1,191.87 1,191.87 Total Receipts <Ii> 8,525.28 ~ 6.587.54 $ 1,937.74 ~~ 'iP Total Cash to be Accounted For $ 13,500.33 G; 8,650.00 ,'l, 4,850.33 $ ojp t;jl e Disbursements: Sexton I s SalarJr $ 1,660.00 $ 1,980.00 $ $ 320.00 Other Salaries 5,225.35 3,200.00 2,025.35 Office Supplies & Expense 90.32 70.00 20.32 Water, Light, Heat & Power 59.85 100.00 40.15 Maintenance 519.60 300.00 219.60 Materials & Supplies 123 .55 300.00 176.45 Gasoline, Oil, etc. 158.61 150.00 8.61 Tools & Equipment 371.40 50.00 321.40 Miscellaneous 627 .~ 2 .500.00 1,872.58 Total Disbursements {'!- 8.836.10 Q' 8,650.00 186.10 (;. ijjl ijjl '" 'Ii' Balance - December 31, 1946 d',' 4,664.23 4P {';'. 4,664.23 J:~. ,;> <it' 'ti' .e e e e CITY OF SALINA. KAl'l3AS STATELlEIJT Of' RECEIPTS. DISBUP..SE1,:EHTS A=m BALAlJCES OF' CASH STREET. ALLEY AND SEV'fER FUND January 1, 1946 to December 31, 1946, Inclusive e Balance - January 1, 1946 Receipts: Ad Valorem Taxes Rents & Equipment Rental Services & Sales Street & Alley Repairs Other Sales Tax Residue Miscellaneous Highway Maintenance, Total Receipts Total Cash to be Accounted for Actual $ 7,252.01 $ 29,82.3.92 205.50 2,604.66 3,769.82 7,679.81 State & County 1.666.52 :Hi 45,750.23 $53.002.24 Disbursements: Salaries & Wages Superintendent's Salary City Mechanic's Salary Paved Streets & Alleys, Maintenance Paved Streets & Alleys, Repairs Unpaved Streets & Alleys, Maintenance Sewers, Maintenance Snow Removal Sweeper Operator Bridges, Maintenance I\Iaintenance of Buildings r,Iaintenance of Equipment Miscellaneous labor Total Salaries & Wages Equipment Rental Office Supplies & Expense Water, Light, Heat & Power Maintenance, Street Sweeper I\iaintenance, Buildings & Other Equipment Materials & Supplies Rent Travel Insurance & Bond Premium Gas, Oil, Grease & Anti-Freeze Equipment & Tools Miscellaneous Transfer to Machinery & Equipment Fund Total Disbursements Balance - December 31, 1946 $ .3,000.00 3,701.00 8,659.05 2,737.70 4,653.90 1,159.90 1,782.60 .351.95 36.00 314.05 2.669.10 $ 29,065.25 61.20 84.36 253.90 1,551.49 5,008.72 2,1.38.86 180.00 500.00 82.02 5,281.13 275.90 13.00 2.275.00 ;j,) 46.770.83 $ 6,231.41 Amount of Actual Over Budget Budget $ 2,686.12 $ 4,565.89 $ 28,239.97 75.00 800.00 3,500.00 7,512.26 500..37 1.666.52 $ 42.294.12 $ U.980.2;4 $ 3,300.00 2,100.00 5,200.00 2,400.00 5,000.00 5,000.00 2,400.00 2,400.00 1,600.00 1,500.00 500.00 1.000.00 $ 32,400.00 500.00 100.00 350.00 1,000.00 2,000.00 1,500.00 170.00 250.00 5,000.00 1,000.00 710.24 :;P U. 980.24 :;p ~~ 1,583.95 130.50 1,804.66 269.82 167.55 $ 3.456.11 $ 8,022.00 ;,p 1,601.00 3,459.05 3.37.70 1.669.10 ~ 551.49 3,008.72 6.38.86 10.00 500.00 281.13 ~ 2.275.00 1. 790.5..2 i;;i 6,231.41 58 Schedule If l()lt Amo'U..'1 t of Actual Under Budget $ :;;; 500.37 ;[) d~ ~ $ 300.00 346.10 3,840.10 2,400.00 617.40 1,248.05 1,464.00 185.95 ~ 3,334.75 438.80 15.64 96.10 167.98 724 .10 697.24 (~ ~ :,,; ;'; .~ .~ l'~:" '?1I"~:\",::"~;;:'f1i:5'li..";~~"';"";,~': '> "Jf,:";~.; ~ ,:" '-". '"" .... '" 59 Schedule IIlltt e CITY OF SALINA. KANSAS STATEME1IT OF RF..:GEIPTS. DISBUHSEMENTS AND BALANCES OF CASH PUBLIC HEALTH NURSING FUND January 1. 1946 to December 31. 1946, Inclusive Amount of Amoul1 t of Actual Over Actual Under Actual Budget Budget Budget Balance - January 1, 1946 ct' 269.63 $ 154.77 $ 114.86 ~ w Heceipts: - Ad Valorem Tax $ 2,116.74 $ 1,994.01 "" 122.73 $ 'ill Sales Tax Residue 563.51 551.22 12.29 Total Receipts $ 2,680.25 $ 2,545.23 $ 1.3 5.02 ~. ijj> Total Cash to be Accounted for $ 2,949.88 &> 2,700.00 $ 249.88 ;!; 'Of \i'> Disbursements: To Public Health Nursing Association q' 2,700.00 rlh 2,700.00 $ G;" 'Ii' ijj> 'w e 1946 6 ,":' ~~ 24 9.88 <'" Balance - December 31, 'i,I 24 9.88 Ii} .;> ~t~:.w $,::.;'r~;1fi.-i9L L'~,);'~'~.ii'~t;~".,);,;#<,';<~t>~>,';'~: .\:."~ ,...' ''l~. ;;'.,~: e ..~ <, e ~ ' lfI , "tt1 ~- ~'ii ; " i~ ~.; ~ ii' I t;: '<II ~" '~Jj ~J . ~ r~'! ~1 ~. ~~: . I. ~ r!i, _~ ~:;;~'M'i.1,::..':" .:,lb.... ~'J _~, "--"~r. ,';" 60 Schedule 1112" CITY OF SALINA. EAI'6AS STATE1vlENT OF RECEIPTS. DISBUHSEMENTS AND BAIANCES OF CASH BAND FUND January 1. 1946 to December 31. 1946. Inclusive Balance - January 1, 1946 Receipts: Ad Valorem Tax Sales Tax Residue Total Receipts Total Cash to be accounted for Disburseme!lts: Salina Band Board Total Disbursements Balance - December 31, 1946 Amount of Amount of Actual Over Actual Under ~ Actual Budget Bud.Q:et Budget (~. 711.87 $ 480.44 $ 231.43 $ .;;> d'. 4,385.40 $ 4,160.44 $ 224.96 0; ijj> <Ii> 1,133.86 1,109.12 24.74 (I.;, 5,519.26 $ 5,269.56 $ 249.70 $ ~ ,"' 6,231.13 $ 5,750.00 ,JI. 481.13 ;~~ w ~? 'II $ 5,750.00 $ 5,750.00 :;$ ~ i:~ 5,750.00 {:~ 5,750.00 (:;, " '"' ;u> w ~p ;;;; 481.13 ;;;; :j;; 481.13 $ *~.' .' "'~";",'1';..*/ ".,., ..'~" 11.. ~,~,.-'(' ,;~ "',."" 'J ,;. ." ,','><"';1.-- ".:- ''', 61 Schedule 1113" CITY..O]!' SALIHA. KANSAS STATEI.IEIIT OF RECEIF1'S. DISBL'P..SEI,IENTS AND BALAHCES OF CASH LIBHARY FUND January 1. 1946 to December 31. 19.46. Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Balance - January" 1, 1946 {J+, 1,491.23 $ 1,541.67 ;,ji $ 50.44 <Ii> Receipts: e Ad Valorem Tax :;p 8,569.05 $ 8,142.25 ~, 426.80 ;;;; ~ Sales Tax Residue 2,577.12 2,520.90 56.22 Total Receipts $ 11,146.17 ('. 10,663.15 p, 483.02 <W 'if ~.( Total Cash to be Accounted For $ 12 ,637.40 $ 12,204.82 cl,' 432.58 c:, 'W ~? , ~', i:~ Disbursements: {i ;i c-1-, $ q'. <,. To Library Board 'iI' 12 ,204.82 12,204.82 <l? '<i' ;:;, e Balance - December 31, 1946 (.-, 432.58 .1\ $ 432.58 q'. 'if ijp .", ~ t. '~' ~; ~. j~' ~, '~l' \.'-'. ~ :~j \" ,~,,: l'; IN: ~ \,' ;"" ~;, , ~;I ,"J 'I;~~ . f,; Itl ~ r ....:~ ~~: ~, !t~ "",o;~,~::;-,'.:: -~.:,~,.i.. "'~l'n ! , 4. e # ~ ~ i. c~ c1;1 !l; ~ I. loI;d tJ i- ~ ~ 0,,'_, ~ Il" :f~ R~ 'lX ~'i.~! 'i~ ~2 ~? ~. ~ ~Ji' ~! ;e. 8,' t' .it ~ ';\< ..;.- '~~',i:':.;t..,~~_.,-~~y ,':', , .;;.-,,'" ''"'':~ . 62 Schedule 1114" CITY OF SALLJ-l.. lilil'TSAS STATELIENT OF RE.'CEIPTS. DISBlJ?..sEkENTS AND BAI.Al'i'CES OF CASH BINDll{EED CONTROL FUND January 1. 1946 to December 31. 1946. Inclusive Balance - January 1, 1946 Receipts : Ad Valorem Tax Sales Tax Residue Total Receipts Total Cash to be Accounted for Disbursements: Salaries & Wages Materials & Supplies Tools & Equipment Total Disbursements Balance - December 31, 1946 Actual Amount of Act1..1al Over Bu~et_ _ Budget $ 1,939.41 269.91 $ 1,669.50 ('-:c' 'ii' $ 1,264.29 ~f\ 1,195.23 " 69.06 $ 'lJ> ~? 342.33 334.86 7.47 (~'. 1,606.62 ((~ 1,530.09 d~ 76.53 r> <ii> 'lP "IP 'ii' $ 3,546.03 $ 1,800.00 a- 1,746.03 " ('". ..... ..;; Amouxlt of Actual Under Budget t[. 'iP $ 474.05 fJi 1,000.00 $ dC. 525.95 'l? 492.20 800.00 307 .80 59.50 59.50 r~ 1,025.75 $ 1,800.00 (:. h 774.25 oj( ~l) $ 2,520.28 p "',' 2,520.28 ;;;) .... ~ji --~ 631- Schedule 111511 Hillcrest Hillcrest r,iemorial l,;emorial Endowment Trust Fund - Fund - - <:t- 1.174.1 ill> 5.720072 ~ r> - t .. 'rl' iJ> - - - .. 130000 ... - .. - .. 1,078.50 8,440.00 - 3,737.15 - - - - - A lu.2 ~ L 8 ,440000 :l? '. 6.1 0 (. 4,160.'(5 ! . - ~ $ - $ .. - - - - - - .. 3,737.15 - 712,,50 - 1,773 . 80 ... - - - - 01(;.23 .. 191.87 a: - - - - ~24. 7j - ;.. 0 " 736.00 Cemetery Endovilnent - Fu-'ld i 1.176. $ - - .. ... .. 1,475.00 - - - - 00 .. - - .. - .. ~~ Policemen IS Relief and Pension Fund Schedule It l5-B" 73.62 997080 15000 - - - .. $ 13.9l~ - .. 720.00 - .. .. 87.62 - - $ $ ? Firemen's lie lief - Fund 1 5.6620 " :w - .. 129.25 492.48 500.00 - - - 92.43 - ~ 1.214.16 it ~ 6.876.18 t' 320.09 .;p 1,236001 720.00 - - - - - 205000 .. - 1010 08 Firemen's Pension Fund SChedule tt 15-A" 9.98104 It', 5,340.88 <if' 781.59 - - - .. - .. 1,403077 - i. 7.526.24 :it. e1. 7.507.66 ~ $ - .. .. 7,526025 - - .. 45.43 .. - .. 71.68 98 CITY OF ~INA KAi~SAS STATEMEN'I' OF RECEIPTS. DISBu"RSEIbENTS AlJD BALANCES CF CASH TRUS'l' AND AGENCY FUNDS January 1, 1946 to December )1. l' Inclusive Total _All Funds Balances - January 1, 1946 i 4.81403 Receipts: $ Ad ValoreID Taxes' 5,414.50 Sales Tax Residue 1,779.39 Membership Fees and Dues 1.44025 Interest and Premiums 622048 Investments ~~tured 500.00 Sales Perpetual Care 1,475.00 Sales LIosoleum Space 9,518050 Settlement of Note & Interest from Hillcrest Memorial Trust Fund 3,7.37.15 Refunds, Recoveries, Etc. 2,848.10 Miscellaneous 379019 Total Receipts A 6.418.56 i. Total Cash to be Accounted for ~ 1.232.93 Disbursements: Life In~nce $ 320.09 Health and Accident Insurance 1,236.01 Relief Fa~nents to Disabled Men 720000 Pensions :Paid 8,246025 Settlement of Note & Interest due t.o Hillcrest L:emorial Endowment Fund 15 Endowment Paid to Hillcrest 50 Corr.missions on Sale of Space 00 Refunds 05 Professional Services 00 Distributed to Clerk of District Court 23 Distributed to Cemetery Fund [l Total Disbursements 12 Balances - December 31, 1946 '18 ~. 62 08 iI\,\.',. 0""" foJ :'!i. .,"',~ 0 ,,,,.,.~"_t';' c,;..i oR '~ ~_",.....,,1l' "'''''','. ;i" ~.. \.,;.,,", . ~'~l - ,'. ,,'<,' .,' -;~ " . . ,.j;;... ~"-:'-l'''~ !~... 64 Schedule It 15...A.1l ..'~ CITY OF SA LINA. KANSAS STATE1'LlJT Of FJ.:;CEIPTS. DISBURSEME?lTS A~m BAlANCES OF CASH FIREI,lEIJlS PENSION FUND January 1. 1946 to December 31. 1946. Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Balance January 1, 1946 ;~ 9,981.42 9,603.72 rH.. 377.70 ~;) - ',,> ':P Receipts: e Ad Valorem Taxes ~ 5,340.88 $ 5,031.74 $ 309.14 ~. ;. ';'> Sales Tax Res idue 781.59 764.54 17.05 Refunds & Recoveries 1,403.77 900.00 503.77 Total Receipts $ 7,526.24 6,696.28 ('. 829.96 )\ ;;jI 'il' :;p Total Cash to be Accounted for $ 17,507.66 , 16,300.00 ,> 1,207.66 ;~ "" <J> Disbursement~: Pensions Paid .'~ 7,526.25 (~ 16,300.00 $ ,:~ 8,773.75 'Il' ;;p <iP e RefWlds 45.43 45.43 Balance - December 31, 1946 Q 9,935.98 ~ $ 9,935.98 ~; 'lP '.:".5 """';"," ~,',..,:' '._' ;,':,1; 65 Schedule 1l15-BIt CITY OF SALIITA. KANSAS STATEI.JEHT OF RECEIP'l'::). DISBURSEI"JEIITS AND BAI1:..rrCES OF CASH POLICE RELIEF ANn PEl~ION Januarv 1. 1946 to Dece~ber 31. 1946. Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Balance - January 1, 1946 'iY 11,099.19 4> 10,790.20 4" 308.99 ('. <it' .;;> '*' Receipts: e Ad Valorem Taxes $ 73.62 $ 45.00 $ 28.62 :~ Sales Tax 997.80 976.03 21.77 Membership Fees 15.00 15.00 Refunds & Recoveries 1,351.90 1,351.90 Miscellaneous 379.19 379.19 Total Receipts $ 2,817.51 ;; 1,021.03 $ 1,796.48 ~~ {j) Total Cash to be accounted for p. 1.3,916.70 $ 11,811.23 $ 2,105.47 \~,,' ~l' ',p Disbursements: e Refunds $ 87.62 $ 500.00 $ $ 412.38 Pensions Paid 720.00 720.00 To Pension Fund Reserve - 10,000.00 10,000.00 Miscellaneous 591.23 591.23 Total Disbursements q" 807.62 ~~ 11,811.23 $ $ 1l,003.61 'lP oW Balance - December 31, 1946 $ 1.3 ,109.08 :;p $ 13,109.08 $ ~ ..... ... ..._,.... .... . ._.._."'...""'_.~".,...~"'.~,..=.~..,... """~,""""""''''''''""",,,,,,''JI.''(<-'''''''' .w.,./" '.fic"...,';" ;l'..,~.!;'.~,:;:m'?'H~.r,.' 66 Schedule 1116" CITY OF SALHIA. KAIJSAS STATEr'EN'!' OF HECEIPTS. DISBURSE!.:iENTS AlJD BALANCES OF CASH INDUSTHIAL DEVELOPMENT FUND January 1. 1946 to December 31. 1946. Inclusive Amount of Amount of Actual Over Actual Under Actual Budget Budget Budget Balance - January 1, 1946 ~; $ G' $ 'Ii' ojjl Receipts: e Ad Valorem Taxes It: 12,287.35 (-'0 11,733.95 ~. 553.40 $ 'W <;;I 'ijl Total Receipts $ 12,287.35 {ii' 11,733.95 ;\ 553.40 (h oji> 'iP w Total Cash to be Accounted for $ 12,287.35 $ 11,73.3.95 '" 553.40 $ ~ Disbursements: Salary - Director 'f, 1,500.00 ) iJ? Office Supplies 438.94 ) "" 11,733.95 $ 9,463.27 .;p Traveling Expense 3.31.74 ) e Total Disbursements b 2,270.69 ",110 11,733.95 (::. $ 9,463.27 'Il' <;l> iR Balance - December 31, 1946 $ 10,016.67 $ $ 10,016.67 $ 67 Schedule 111711 e Q,J'I'Y OF SA LINA.. KAHSAS STATEMENT OF HECEIP'l'S. DISBl.HSEIilENTS AND BAIANCES OF CASH SPECIAL li'urm IN LIEU OF BOnDS January 1. 1946 to December 31. 1946. Inclusive Disbursements: Transfered to Construction Fund $ 31,739.69 $ 70,403.70 ," $ 38,664.01 e ';iJ Total Disbursements b 31,739.69 70,403.70 " ,;.. 38,664.01 ~ <;;> ;;p tt:) Balance December 31, 1946 $ 41,984.32 0' d\ 41,984.32 'il. - ~ 'iI' 0/. .e 68 Schedule n18" e CITY OF SALINA. lViNSAS STATEI/;EI1T OF FiECEIF'I:;?. DISBUESEIP-;:I,1TS APD BALANCES OF CASH BOND A~D IIfrEREST FUND January 1. 1946 to December 31. 1946. Inclusive _. e e __. _ _......,.' _"_"_,>_,.,..",,,,,-"'.-,_e~~~..l'l:'0~,li' ".",..-""?,;.'eJl:';,,:,,,-' ~,~~\fis':'W'~~'-;;~7'f. ~;":'!'.'111i'.' "".'_.':';1'1""'. '1I1l'..;' . "; f,' ".. ,.,-tJ. ",..-,:"..,,' h....,.._.-'='Ii,;~":.l",,.'1I~'<.....:.;r~~i.\~r-~~.:' ~;,,,",!:1i.J!:~,;;~::..r"":;~.,. CITY OF SA LINA. KANSAS 69 Schedule ttl9" STATEI:IENT OF RECEIPTS. DISBlJRSEiJEIITS AND BALANCES OF CASH \.ATEm,oRKS DEPARTh:ENI' FUND January 1. 1'146 to December 31. 1946. Inclusive Balance - January 1, 1946 Receipts: Hydrant Rental Operating Receipts Investments Interest Miscellaneous Temporary Notes Special Assessments - Water Service Connections Total Receipts Total Cash to be Accounted for Dis bursements : Commissions and Postage Operating A ppropria. tions Investments - Temporary Notes Vacation Pay Total Disbursements Balance - December 31, 1946 $ 615.00 125,1.35.27 5,867.54 1,249.72 518..35 86,694.30 150.96 $ 79,312.77 52,008.68 453.50 ~ <';, ,- ::~: $138,579.39 , :'1. $220,231.14 " ;;1 I ~ ~~ ; ! 'J.~ ~~ ,1~' :', !iI'.. .'!'It'; 4r~i "ii I '4, i, ~!~ .-',f .~~ t ,'1\' j1;' t~ ~l :ftI I ;ll ~~ i:\f, ~ ~ , I ~i~\; ~ $.358,810.53 :W131,774.95 $227,0.35.58 'l1 i l~:~ ~!; ~'f! J/f-. Ij ~ ~ - _ _ .' . , .',~ _,..~,"''','''' ',,,.,",",,",,,, f" ',,'/ ;;""'i~;'~~;'i:.;j';'K~,~";.,~\i,:ff";~~:?;';i('[\~:;t'l2:! ...,... I '~ ~ Schedule 1120" CITY OF SALINA. KANSAS STATEldENT OF RECEIFTS. DISBlJfi.SE:!.EI'ITS AND BAIANCES OF CASH CONDEMNATIon FUND JanuarY 1. 1946 to December 31. 1946. Inclusive Balance - January 1, 1946 $ 25.29 Receipts NONE Total to be Accounted for $ 25.29 e Disbursements NON& Balance - December 31, 1946 $ 25.29 j ;,' . ~ ;> :;., ;li~ ~~ ~~ ,:Jt' ~j ;~ :i~ ~,;~ ~{~ ; .~ ~. \,~ e >" $\I .'~ ~~ ~:~ . .~ [,(, i 'II! i \Ii' ;~ -!.'" ~~ ~.~" "'J; ~~ .~ k' i~1 "'.. .~ ~ ~, 4'~: .". ~ ~. t\ :t' OJ ~ ~": 71 Schedule "211 J!'edera1 Public Lateral Housing ~wer_ A v.th,<2tl:hL $ - <f. - \? ----- ---.....-,.-.....,....--- *' 24 ,157 062 .. ~r - - - 25,699016 - 5,249.99 - ... - 31,739.69 - - _~11l27.lt.~ a_ -- (, 86 (} 1 ~ !J:.6 ):, 1 'jr-Jr't 0'" )( .u40. Jl' "';" J.~d.L9-CJ..,t.. ~ 86.846.46 . 1 ,~,..""" !12 :M.:. & . ,[.:. I L....r-j ~ 55,~202.21 ., 'i? ... - - 29,262082 - - 513035 - - - - 642014 ... ~ 85.107017 t-.JI 5:13 .85. !R )6J..9J> Chaflin ~ Hall $ 3,884.90 - - ;$ - - - - - - - - ~ ... c' 884t<Z0 :ll: $ ... - - 698.30 ... - - - 0 Curb ~ c;,: Gutter Paving $ 1,417043 $ 27,851006 - 34,592.48 19,538055 8,965.68 - - ~ 90.947 ..77 $ 92.365020 :$ 27,851.06 ... 56,605.31 - - :Q 10 10 $ 683.05 - . ~ $ - 3,319.50 ... - ... - - . ~ 3 .3l9.~0 ('. 4.002.55 oiP d} 'it> - 3,095.86 - 322.30 65040 10.63 - 2 6 124.71 - - - - - - .. ... - - - S r. 'it> $ ~'. <Ii> 71 CITY OF SALINA. KANSAS STATEi,::EI,:T OF EECLIPTS. DISBDUS:8UIE.:NTS MID &\.f!>.:ICE.'S OF CASH COAS1'RUCTIOlT FW'{D January 1. 1946 to December ?l 1 q Total Balance - Januar;y- 1, 1<146 $ 6,110.09 Receipts: ~~ 52,008068 Temporary l'Totes Benefit Assessments faid 3,319050 Bond Issue and fremiuJll Thereon 60,291.64 Special Assessments 24,788.54 City's Sr.a.re of Paving g,965.68 Transfer From In Lieu of Bonds Fund 31,739.69 Gifts, Grants and Apportionments 1.277.8,:3 Total Receipts ~~182.391056 Total Cash to be Accounted for 3188.501.65 Disbursements: Professional and Contracted Services ~ 83,053.27 I,laterial and Supplies 3,095.86 Temporary Notes Paid 85,868013 Salaries and lJagos 1,534045 Equipment Rental 65.40 Gas, Oil, Grease, Etco 10.63 Uliscellaneous _1.211.87 Total Disbt~sement8 $, 12 61 Balance - December 31, 1946 ili>. 1: e 72 Schedule 1122" CITY OF SALINA. I\AJlJSAS STATEL1ENT OF RECEIPTS. DISBliRSEL'lSNTS AND BAlANCES OF CASH INCOME TAX WITHHEID FUND January 1. 1946 to December 31. 1946. Inclusive Balance - January 1, 1946 $ 1,334.30 Receipts out of Wages due in 1946 :14,495.20 Total to be Accounted for tf. 15,829.50 w e Disbursements: Payments to United States Government $ 14,547.50 Refunds Made 26.40 Total Disbursements $ :14,573.90 Balance - December. 31, 1946 $ 1,255.60 e e e CITY OF SALINA. KAN3AS STATEMENI' OF RECEIPTS. DISBIJRSEMENI'S AND BAIANCES OF CASH BRIDGE OR STREET BUILDING ~CHINERY AND EQUIPMENT FUND ,January 1, 1946 to December 31. 1946. Inclusive e Balance - January 1, 1946 Recelipts: Transfers from Street, Alley & Sewer Fund Total Cash to be Accounted for Disbursements: Tools & Equipment Balance - December 31, 1946 e e ,,' .. " " ,',' 73 Schedule 112311 $ 7,500.00 2,275.00 $ 9,775.00 $ 947.26 $ 8,827.74 :'..,. .. ,~ '<l;'~~~~' ,!"~'. ;;'d'l,j, ~~",';'''d..._i ',r,,/ ;;",""-~'<,'i.*__ " ' ..,., '~~'."" .'t"'."" ....' "'..1,:....-,... 74 Schedule U24\l CITY OF SALIHA. KANSAS STATELlENT OF r:lECBIPT3. DISBURSELEIITS 1'13D B.ALANCES OF CASH STATE A.i:m FEDEHAL TAX (SV.IIvJ,IING POOL) January 1. 19Lt.6 to December 31. 1946. Inclusive Balance - January 1, 1946 ~ " Receipts 1,492.82 e Disbursements 1,492.82 Balance - December 31, 1946 ~t, e e e '....",.,,' )'-Uv-~ ~,~;, "'~~'<.':",., .-...':,>,' ",,!):.f.';;, ..~,~:.".;.";.-.,,,,"_-, ," -'~'-"';:"""~' "'ifi.f' '_ ,..I,", .;"_.",,,,' ,'~ ~-,~">I: .th_ ..r, : ,,_:"fif',.;i,', &J:;i. CITY OF SALIiIJA. l\i>.NSAS STATF.L[81-1T OF I-:ECEIPTS. DISBTJHSEidZIJTS AND BALAnCES ill' CASE Pll.RKING METER RECEIPTS FUIID Januarv 1. 1946 to December 31. 1946. Inclusive Balance - January 1, 1946 Receipts : Parking L;eter Collections Total Cash to be Accounted For Disbursements and Transfers: Parking Meter Receipts paid to Michaels Art Bronze Company Transferred to General Fund Total Disbursements and Transfers Balance - December 31, 1946 ~"~';" ;"o;J.- 'Ii!:, ~ ",',0',,:1 ~;--:,~-'-'t';;:_J;':O'~"", ~.,~ ",:i?'~' 75 Schedule "2511 $ ~ 9,427.45 :$ 9,1;27.45 $ 8,101.78 1,325.6.7 $ 9,427.45 ~ 76 Schedule "26" e CITY OF SALINA. KAM>AS STATEl'.ENT OF RECEIPTS. DISBURSEMENTS AND BAIANCES OF CASH GENERAL FUND RECEIPTS PAID IN ADVAl'lJE January 1. 1946 to December 31. 1946, Inclusive A pulica b1e to Year 1946 1947 Balance - January 1, 1946 $ 2,069.00 $ e Advance Payments Received $ ,;. 717.00 ;;p Total Cash to be Accounted for $ 2,069.00 $ 717.00 Transfered to General Fund 2,069.00 <"> 'lY Balance - December 31, 1946 $ $ 717.00 e .e ~ ~... .;" " . -- '.- . , ',' " . .- ", '.'... 77 Schedule 1127" e CITY OF SALINA. KAN3AS STATEliJEN'}: OF llCREASES. DED~1i.E~ AND BAIANCES OF INVEST!Jrf;;I'J'I'~ TRUST AND ~GENCY FUNDS ~~uary 1. 1946 to December 31, 19&6, Inclusive Hillcrest Firemen's Cemetery Memorial Relief Endowment Endowment --L.un~ Fund Fund Total e Balance - January 1, 1946 $ 26,500.00 $ 7,500.00 $ 6,500.00 $ 40,500.00 Increases $ $ $ <t'> 'It' Sub-Total $ 26,500.00 r\l, 7,500.00 $ 6,500.00 $ 40,500.00 ojjl Decreases $ 500.00 $ $ $ 500.00 Balance - December 31, 1946 $ 26,000.00 $ 7,500.00 $ 6,500.00 $ 40,000.00 e .e , ~. "'. if, .';' _+"~ .,.' ". ~~'l 78 Schedule "28'l e CITY OF SALINA. K1\,M)AS CASH IN CUSTODY OF CITY TREASURER AND RECONCILIATION OF BANK B8.IANCES December 31. 1946 The The The Na tiona1 Farmers Planters Bank of National State Bank America Bank Totals Balance - Certified December 31, 1946 $174,536.89 $140,413.35 $182,647.82 $497,598.06 e Outstanding Checks - December 31, 1946 - Schedule u34lt 15,728.18 35.50 707.10 16,470.78 $158,808.71 $140,377.85 $181,940.72 $481,127.28 Add: 1946 Receipts Deposited in 1947 7,084.46 271.00 7,355.46 Advance Payment - Bond & Interest: Check Number 14504 5,000.00 5,000.00 Check Number 14505 4,460.08 4,460.08 e Checks paid by the Planters S tate Bank, written on The Farmers National Bank & included in the outstanding list as follows: Check Number 14100 97 . 50 97 . 50 Check Number 14146 20.00 20.00 Balance - December 31, 1946 - Per Exhibit nAil $166 ,010.67 $145,377.85 $186,671.80 $498,060.32 .e .if...., ../.'<-!....,'" 79 Schedule 1t29" CITY OF SALINA. KANSAS OUTSTANDING CHECKS December 31. 1946 The The The National Farmers Planters Check Total Bank of National State Number Amount America Bank Bank 13132 $ 2.00 $ $ $ 2.00 13823 375.00 375.00 14050 25.00 25.00 14053 25.00 25.00 14100 en. 50 9'7.50 e 14146 20.00 20.00 14152 25.00 25.00 14167 82.20 e2.20 14228 55.40 55.40 918 1.20 1.20 9591 9.30 9.30 13931 25.00 25.00 94000 10.65 10.65 10248 ..30 .30 13498 82.20 32.20 13 513 25.00 25.00 l4276 10.00 10.00 l4278 5.00 5.00 l4289 29.9'7 29.97 14310 1.00 1.00 e 14321 47.69 47.69 14326 1.00 1.00 14.3.31 .50 .50 14369 17.50 17.50 14385 1.00 1.00 14398 169.66 169.66 l41.4 7 4.91 4.91 U493 2.50 2.50 14494 2.00 2.00 14502 10.63 10.63 14507 to :1.4765 15.306.67 15.306.67 Totals ~16.470.78 $ 35.50 $15.728.18 $ 7C17.l0 80 e C IT1 ClI' SA LIi'J.A. LA1,SAS CASH IN CUSTODY OF THE CLERK OF ':'}lli CITY COunT Decernber 31, 1946 Farmers Natio~al Bank. Salina, Kansas: Balance: Per Bank Certifications Deduct: Outstanding Checks: Number e 607 850 987 1158 1898 1910 2076 2078 2111 2172 2318 2377 2610 2708 2769 2810 2811 2826 2935 2937 2941 2942 2943 2945 2946 2947 2948 2950 2952 e Cash on Hand December 31, 1946 Cash Accounted for December 31, 1946 .e .$ 1,641.56 Amount $ .50 1.54 .75 .75 1.00 1.00 16.65 3.00 .35 2.10 .21 5.00 1.00 .75 5.00 .75 .75 1.00 10.00 11.00 25.00 1.90 2.10 1.25 25.00 168.15 101.49 6.30 90.00 i 4?4.29 1,157.27 5.00 $ 1,162.27 . A.... ,; .,........':0\;_",,; .~:~,.,~ e e "'.'" ..~~ '~:""P' ,\.j!\l ," """.,\, .~ \"" ,''';,_'~I :--~',-:,-,<,""'~'J,.. ..-.-..... .',.i:. , ' .:',''41:', . . +. 81 Schedule lt311t CITY OJ? SALINA. KANSAS RECONCILIA.TION CF SALDrA FISCAL AGENCY ACCOUNTS Purpose of Issue Refunding Tax Judgment VI a teI"W orks Sewer Repair Total Remittance to Fiscal Agency Bond & Interest Payments Due January, 1946 OUTSTi-l.l'lDING BONDS AND COUP02'rs December 31. 1946 Date of Date Bond Coupon Issue Due Number Nunber Detail Amount 1-1-38 7-1-45 57-8-9-60 37 4 at $10.00 ;;p 40.00 1-1-46 57-8-9-60 38 4 at 10.00 40.00 7 -1-46 57-8-9-60 39 4 at 10.00 40.00 1-1-38 7-1-45 16 15 1 a.t 10.00 10.00 1-1-46 16 16 1 at 10.00 10.00 7-1-46 16 17 1 at 10.00 10.00 10-1-25 10-1-36 579 22 1 at 22.50 22.50 2-1-30 8-l-46 .36 33 1 at 22.50 22.50 $195.00 f;;9.447.90 $9.642.90 Balance - Certified by Fiscal Agency e e e .e 82 WATERYiORKS DEPART!:iIENT FUND In accordance with instructions received the books and records of the Viatervlorks Department Fund City of Salina, Kansas have been audited for the year ended December 31, 1946 and Vie now submit the following report based on that examination. SCOPE OF AUDIT The audit was performed in accordance with the general and specific required provisions of the Minimum Standard Audit Program, approved by the State Municipal Accounting Board applicable to such funds. The audit included a verification of the assets and liabilities of this fund at December 31, 1946, in the manner and to the extent hereinafter indicated and a general review of all revenue and expenses for the year 1946. HISTORY The Waterworks system, supp4ring the water needs of the residents of the City of Salina, Kansas, was purchased from private interests in October, 1925, by the City and since January 1, 1926, has been operated as a municip:11 activity. The Waterworks Department is governed by the City Commissioners, in conjunction with the \~aterworks Advisory Commission, which originally consisted of five members who serve without ply and are appointed by the Board of City Commissioners. There were only two members on this commission during the entire year 1946 due to resignations prior to the first of the year which were not filled by reappointments. No meetings were held during 1946. The Advisory Commission was created to consult with and advise the Board of City Conunissioners with reference to the operations of the V'{aterworks De:r:artment. """",,,,,,,',',',~." ,:, .,""",_~",', .."'.""'..,.."""'.1."''''"'.'',...,'""'''''....''''''...'''.,'',, .' ."f."'.'..,,,<, """"'"",""" ".,,' "'",'".,. ~'.. _,.,.."""""~_" "W "'"..........."..,~ .".' "","..,. """",7',. ..,.J'...'''''''"''!''..,.....,." ....-....I".~~ ,. .,", ""''','1!'4''",,,,,,,,~,,,,c,....,,~ I, e e BAIJ.NCE S:HI.;ET The balance sheet of the Waterworks Department as at Dece!nber 31, 1946 is presented in Zxhibit lIA" and is briefly summarized belo'w: As sets Plant and Property Current Assets $1,032,384.22 .331,873.67 Total Assets " 64 5 0 ~1,3 .2 7 .09 APPLICATION OF FUNDS 83 Liabilities. Reserves and Surplus Surplus Reserve for Depreciation Current Liabilities Total Liabilities, F.eserve & Surplus $1,198,027.34 136,394.94 29.835.61 $1.364.257.39 The source and application of funds realized during the period under review is shown by the following statement: Funds Provided: From Net Income for the year ended December 31, 1946 Add back Depreciation taken for the year 1946 for which no cash was required Total F~~ds Provided Funds Applied: To Purchase of Plant and Equipment: Net Increase in Fixed Assets - Schedule tt2" Fixed Assets Charged to Reserve for Depreciation Total Applied to Purchase Plant & Equipment To Purchase of Fire Truck To Payment of Prior Years Compensating Tax To Increase in Working Capital Total Funds Applied $16,704.79 1.039.81 ,.l,1.. W 59,012.83 1l.772.~ 70.785.fY7 ~~ ci.~' 'iI> 17,744.60 1,176.88 3,307.15 48.556.44- 70.785.07 $. ",' ., ~..,~, ."k'" _, W., " .'" 'W. ."". ......,~",~.,,' " ,"h" '"",,, ".""" "." . r, , ,. .,,"'~, ~ "..;r., ...."".'" ''',..' 'V",,, '"" ",,,.,,,., . ,." . ...., _<1".",' ,.. ". '" .<.,,, "." ''''', .' ".~..""".. . ".., HM . "".....-."".... .,,"''1'" ~_,,~. 84 The increase in working capital represents the net increase of current assets over current liabilities as follows: Current Assets: December 31 1947 1946 Total Current Assets $282_.J~89.68 $228,024.15 50,000.00 15,460.08 23,736.18 5,706.73 8.946.53 $~3l.873.67 Increase (Decrease) *9 88,744.76 ( 5,867.54) ( 33,859.45) 201.78 ( 235.56) Cash United States Bonds City of Salina Bonds City of Salina - Temporary Notes Accounts Receivable Materials and Supplies $139,279.39 50,000.00 21,327.62 57,595.63 5,504.95 ~.182.09 ;j!i 48.983.99 Current Liabil~: Total Current Liabilities ~. 22,037.06 i'-~ 22,511.61 ... 474.55 .;p <il> 11 7.371.00 7.324.00 ( 47.00) J-1, 29.408.06 $ 29.8;35.61 $ 427.55 <lP $253.481.62 $302.038.06 I:~ 48.556.44 :jJ) e Accounts Payable Meter Deposits Working Capital 51Alf.l.' AND PROPERTY The net increase in plant and property accounts is shown in Schedule 1l21t together with the balances in the various accounts at the beginning end close of the year. CURRElljT ASSETS e Cash in Office &~d City Treasurer: Cash on hand in the office was counted on J'anuary 21, 1947 and traced at that time into the day's bank deposit. Collections and other cash receipts from January 1, 1947 to the date of the cash co~~t were scrutinized and traced into the bank deposits. Cash disbursements for meter deposits refunds, miscellaneous payrolls, freight, e:;cpress and petty claims are made from current cash on hand. Reimburse- ment for these items are later received from the City Treasurer through appropriations made by the Board of City Commissioners. Cash in the hands of the City Treasurer was verified and compared <~-<:'....~~ _,1-.'4.~ ~.~~. . ,;,-;,":-',!,~-. "'i;- '''( 7,~~1~ ',; ki '-':'~,.k~." ,'1:,' ..;":,\-h~; 85 the records of the City Clerk. The pa;yments of vouchers for the ';;aterworks Department are now being handled i.n the same manner as all other fund payments are, under the same type of authorizations, and the warrant-checl~ are issued by the City Clerk and entered on his records, the same as those for other funds and departments. United states Bonds and City of Salina Bonds were presented for our inspection by the City Treasurer who keeps them in the Hational Bank of America. All coupons were found attached to the bonds and the bonds on l~nd agreed with records of bonds held. City of Salina Temporary Notes represents money advanced to the Cit;r by the \'/atez-vvorks Department. Date of issue, interest rate and amounts e of these temporary notes are listed below: Date Issued Interest Rate Amount 6-30-46 7-16-46 7-31-46 . 8-20-46 9-17-46 9-30-46 1% 1% 1 % 1% 1% 1% $ 8,136.22 6,798.11 1,619.73 1,190.00 2,556.71 3,435.41 Total ~;23, 736.18 e Total billings for the year plus outstanding accounts at the beginning of the year were accounted for either in the form of cash received during the year, discounts and rebates allowed, bad debts charged off, or outstanding accounts due at the close of the year. Inventory of materials and supplies represents the value of these items on hand December 31, 1946 as inventoried under the supervision of the Superintendent, who stated that the quantities were correct and the items were priced at the lower of cost or market. The extensions and footings were verified. ",",,' """",~"~"""'''''''''''''''='-'''''"'''''''''''''-''''l'"_"""""""'';,,.,,.:"',' '..,,,,,, ~",.,,,,' .,""w,,'_'...."'''',,'~,._.~ _, '.._ .' .""~.."".,...,,"'" .~_"'~".,..'..'....'M ',.., ",. "'"'.....',-"'''''''',,'"'''..,..,.... ~"_,,__~""""""""""''''''''' 86 CURRENT LIABILITIES ACCOWltS Payable represent amount due on open accounts as at December Jl, 1946 as shown by the City Clerk's furchase Order Record. The total outstanding deposits at the end of 1946, as shown by the General Ledger, was reconciled to the detail of individual depositors. Your attention is directed 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 set forth in Exhibit "A". The payment of prior years compensating tax, purchase of a truck for thc3 Fire e Department together with the credit realized in writing off the "Reserve for Street Construction ]'lush Tanks" were entered directly into the Surplus Account as they were not factors in the current years operations. RESEE1L;r.f!t,.J2.....~I~7TI0N The following tabulation sl.1lID~rizes the changes in the Reserve for Depreciation during the year. e Balance - January 1, 1946 1946 Provision for Depreciation Sub-Total Fixed Asset Reti.rements charged to the Depreciation Reserve during the year Balance - December 31, 1946 $125,662.jl 1l.772~ $l37 ,434.75 1,033.81 ~3136,394.94 The amount added to the reserve account in 1946 representing the depreciation expense for the year TIas calculated by us and found to be correct. The reserve account represents book reserve only as no funds are actually set aside or segregated. INSUHANCE All insurance purchased during the year was cbarged to expense. A statement of the insurance coverage in force at December 31, 1946 is presented in Schedule 113". +';-.:.-,i_.<- ~.':";"-'~": e .... e !V;,~,_,~; ",;t',i~ ~ ,',,,-i-!;i' :It.~,,,,: ~,'..' c.-.,' ",,' '-..1- 37 FIDE~1..l30l'i'DS Fidelity bonds are in force in the amount of ~;?5 ,000.00 each on the Superintendent and Cashier of the Waterworks Department as shown in Exhibit IIn' in the general report. OPERATIONS A detailed statement of profit and loss for the year 1946 is presented in Exhibit IIBu and its supporting schedule "lIt. GENERAL No adjusting entries were necessary to adjust the books to conform with the audited ba]~nce sheet and profit and loss statement since all necessary entries had already been made. We wish to express our appreciation for the co-operation of the Superintendent, Cashier and other City Officials and Employees during the course of the examination. <.";"".,.,.,,,,,,,, .,.~_ .,,,,,";..".,'''.' ,J.. .',...'....',....,.,,,"",.,'"" h'" .",.. ......,.,... ,." ',.,._,."'''''.,.......'''"". ",.."..,,~ '", ~ ~_ ",",._~""" "'''''''''''''''' ,.,,'~' 'l'>'''''' ,." ,,'....' ,.._'.."..~'.,',....~...... """q,..,.~ =."..>>. """'d,........'. "..".,.~"" .".... '" ....."''-~_ I ' illY OF SALINA. lIANSAS ~iAT.8JmORKS DEPARTliD.~iJT FUN:Q BlI.Lt~NCE SHEET December- 31. 19.4..6 ASSETS Fixed Assets: Plant & Property (Schedule It211) e Current Assets: Cash in Office & City Treasurer Investments: United states Bonds Salina City Bonds Salina City Notes Accounts Receivable Inventories: Mater & Service Department Opera ting Stores Total Current Assets Total Assets SURPLUS. RESERVE_AND LIABILITIES e Surplus : Balance - January 1, 1946 Add: 1942 Profit - EyJ1ibit "Bit Write off of Reserve for Street Constructions Flush Tanks Sub-Total Deduct: Prior Years Compensating Tax Fire Department Truck Purchase Balance - December 31, 1946 Reserve for Depreciation Current Liabilities Accounts Payable Iiieter Deposits Total Surplus, Reserves and Liabilities $ 50,000.00 15,460.08 23,736.18 $ 3,267..39 5.679.1If J\. 'ill 3,307.15 1.176.88 88 Exhibit "A" $ 228,024.15 89,196.26 5,706.73 8,946.5.3 $1,032,384.22 $ 33l.8~ $1,;64.,257.89 $1,343,266..32 59,012.83 232.22 ~1,202 ,511..37 4.484.03 $1,198,027.34 136,394.94 $ 22,511.61 7.324.00 29.835.61 $1,364,257.89 ":.' '~.i~ "'';'' "'_,0':""',:,,.,.. e e ~ '~?.... ,:.. Cl"TY G'F SALINA. KAI'JSAS WATERV.ORKS DEFARTliIENT FUND FRO:r'IT AnD LOSS STATElvIENT Year Ended December )1, 1946 Sale of Vi ater - Private Consumers Railroads County City Schools U. S. Government Total Water Sales Add Penalties Sub-Total Deduct Reflmds Net Water Sales Other Income - Interest Miscellaneous Total Income Operating & General Administrative Expenses _ Schedule Ill" Net Profit to Surplus - Exhibit "A" ".,.......,.." $2,075.89 97.20 89 Exhibit ItBIl $114,526.44 3,260.36 253.80 1,423.75 1,075.80 111.55 *; 120 ,651.70 1,000.47 ~121,652.17 978~9 $120,673.68 2.173.09 $122 ,846.77 63.833.94 $ 59,012.83 ;-<wt,.,;,'.; ".' ,}.'. .'; '.', ....f .,.Jr.~;"',' , .'.." .."":'J:l,,"l ,.,. .~l C~,~" CITY OF SALINE!... KANSil.S WATERWORKS DEPARTUE:r-fI' FUND gPERft.TIHG AND GEl'JERAL ADMINISTRATIVE EXrf~I.JSES Year Ended December 31, 194q Water SUPPlY Expense: Repair Vi ell Pump Rep:tir Flow Lines Power e fumping Station Expense: Plant Superintendence Pump Iabor Power Fuel Lubricants Miscellaneous Supplies & Expense Electrical Equipment - Repairs Building & Ground - Repairs Distribution Expense: Labor Removing & Resettlilg Meters Meter Department Labor Meter Service Department Valve Repairs Hydrant Repairs Distribution Mains - Rep:drs Service Mains - Repairs e Depreciation Expense Commercial Expense: Collection & Accounting Salaries Meter Reading & Delivering Bills General Expense: Administrative Travel Office Supplies & Expense Office Repairs - Moving Insurance Stationery & PrintDlg Compensating & Sales Tax Total Operating & Administrative Expense - Exhibit DB'" ,~ ; 90 :Schedule 111" $ 57.05 $ 11.51 ~.178.~O 4,247.06 $ 2,017.50 6,999.65 8,358.86 114.00 135.76 779.94 127.45 1,390.68 $ 2,105.00 2,810.25 2,794.95 54.44- 20.05 960.00 513.50 19,923.84 9,258.19 11,772.24 $ 5,439.40 2,950.25 8,389.65 $ 3,712.50 .300.00 1,454.92 1,269.04 865.54 2,577.67 63.29 10,242.96 $ 63,833.94 rc, ..,. CITY OF SALINA.. KANSAS WATERWORKS DEPARTMENT PIANT AND PROPERTY ACCOUNTS December 31, 1946 Dia tributiol}: structure & Manho1e;S Cast Iron MainS Hydrants Valve & Valve Boxes Real Estate - Standpipe Meter, Boxes and Accessories Total Distribv.tiotl $ 7,277028 593,778.47 37,251.44 20,848005 55,569084 65.157.98 $779.883.06 , Water SUPPlY: Real Estate Pump House & Derrick Wells Well Pumps & Meters Flow Lines Total Water SupplY' $ 1,747050 14,640.19 44,418.65 25,765062 ?4.623.72 $131.195..68 Pumping: Stations: Real Estate Real Estate Improvements Pump House & Stack Cottage Reservoir Eleetr1c Meters, Pumps, Etc 0 Venture Meters Pipes & Piping Total Pumping Stations $ J4~737.06 3,580.40 lS,750084 3,069037 27,943033 15,603.44 3,170043 l5.lS6088 ~102.04l.75 General Eaui'oment: Garage & Storage Building Trucks & Compressors Chlorinator Laboratory Equipment Furniture Total General Equipment $ 2,282.04 3,988074 4,580.82 1,269.02 7.l1..'3.11 $. 19.263.73 J1,032.384022 Total All Equipment ~ ,,' January 1, 1946 $ 7,277.28 584,132095 37,251044 20,848005 55,569.84 M..051.58 ~769 .131014 $ 1,747050 14,328.;38 44,418.65 25,765.62 1..4.623072 $130.883.81 $ 9,875.00 3,580.40 18,750..84 3,069.37 27,943.33 15,603.44 3,170043 15,186088 $ 0/1.179.69 $ 2,282.04 3,988.74 4,327.97 1,269.02 6.616.96 ~ 18.L..84.73 $1.015.679..43 91 Schedule It zt Increase $ 9,645652 1 106 to $ 10:751: 2 $ 311.81 $ 3ll.81 $ 4,862.06 .. $ 4.862.06 $ 252.85 526.lL~ ~ 779.00 $ 16.704.79