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Audit - 1952 CITY OF SALINA.. KANSAS . ,) I ~ FINANCIAL REFORT Covering the Feriod frcml January 1. 1952 to December 31.. 1952 D. N. Turner CERTIFIED PUBLIC ACCOUNT..A!!t SALINA. u..~SAS "~"r' ',J!:!.,. Exhibit itA" Exhibit "Bit Exhibit It Clf Exhibit nDlt Exhibit ttEtt Exhibit ltF11 Exhibit ItGIt . , Exhibit liE": Exhibit "In Exhibit llJU Exhibit uK" Exhibit It VI Exhibit liMit Exhibit It WI Exhibit >>011 Exhibit npu Schedule "II' , ... ~ T'O .'f<'., ,L,V .' ",.{~.'.,.~..;... "..;.... ','. ..'. <s,-_'~"'if'P" ". ,~,"" < ."" .' ..".;.".:'.-',:...., t -~ :-. CITY OF S1J,IN[L..J(A.N~AS I!!P.~! -Page liBmbers Comments 1...18 Summary Statement of Receipts, Disbursements, Liabilities and Balances of Cash and Investments 19 Comparison of Actual Receipts with Budget 20 Ste.tement of Expenditures Compared with Appropriations 21 Cash in Custody of City Treasurer 22 Investments in Custody of City Treasurer 23 Summary and Reconciliation of 1951 Tax Roll Showing Taxes Assessed and Collected by County Treasurer and Remitted to City 'l'reasurer and Unremitted... Uncollected Balances 24 Statement of TaXeS Received from County Treasurer Showing Current and Back Tax Received and Distribution to FlUlds on Basis of Assessment 25 Clerk of the City Court - Statement of Receipts, Disbursements and Balances of Gash 26 Summa.ry of Police Court Records 27 Summary of the Records of the City Building Inspector 28 Comparison of Depository Bonds and Balances of Deposits 29 Fidel:i.t.y Bonds in Force 30 Insurance in Force 31 ~ccounts Receivable 32 Statement of Bonded Indebtedness 33 Statement Showing Balances and Changes in Temporary Note Indebtedness 34 General Operating Fund, Statement of Reeeipts, 'Sxpel1ditures, Liabilities and Balances 35 Schedule "1",,11t General Operating Fund - Detail of Receipts from Licenses, Fees and Permits 36 ^ , -" '....="'," , - CITY OF SALIN~. KANSAS I H ;Q ~ ! (Contrg.J. Schedule Ill..;ntt General Operating Fund - Departmental Breakdown of Expenditures Compared with Budget Schedule ul-a't General Operating Fund ... Detail of Expenditures .. Mayor and Commissioners Page Numbers 37 38 Schedule Ill_btt General Operating Fund ... Detail of Expenditures ... City Manager 39 Schedule "I_en General Operating Fund ... Detail of Expenditures ... City Clerk and City Treasurer 40 Schedule "l-dtt General Operating Fund .. Detail of Expenditures .. City Building 41 Schedule "l-elt General Operating Fund ... Detail of Expenditures .. City Attorney /;2 Schedule III...fV Genera.l Operating Fund .. Detail of Expenditures ... City Court 43 Schedule ltl..gll General Operating Fund ... Detail of Expenditures ... Police Court 44 Schedule "I_hIt General Operating Fund .. Detail of Expenditures .. Engineering 45 Schedule ul...i" General Operating Fund .. Detail of Expenditures .. Fire Department 46 Schedule tl I-j It General Operating Fund.. Detail of Expenditures ... Inspection 47 Schedule Itl...}clt General Operat:tng Fund ... Detail of Expenditures ... Park Department 4$ Schedule 01...1" General Operating Fund .. Detail of Expenditures ... Po1ic~ Department 49...50 Schedule III_mil General Operating Fund .. Detail of Expenditures - Public Health Department 51 Schedule Itl_nit General Operating Fund ... Detail of Expenditures ... Street, Alley and Sewer 52-53 Schedule tll...u General Operating Fund ... Detail of Expenditures ... Garbage Department 54 Schedule ~l..pn General Operating Fund .. Detail of Expendituras - Waste Collection and Disposal 55 Sohedule ttl_qlt General Operating Fund ... Detail of Expenditures ... Sewage Disposal 56 "'f" . ~ Schedule ttl_r" Schedul'3 ill_sIt Schedule "l.tlt Schedule ttl_ult Schedule It2't Schedule It 3ft Schedule It 4'1 Schedule It 51l Schedule It 6ft Schedule "7" Schedule !t8u Sc.hedule tt91f \~, . "', ~", /if',.\:~'.',.>!i... .; , , -'..' ..,...,'.';....,; .. ~, .'- :...~; " ';". ".~ ~.; ., ' ';' <. '.. CITY OF SWN4.a KANS(tS 1 .li !2 ~ ~ (Co.l2t rd.) Page Numb~ General Operating Fund .. Detail of Expenditures .. street Lighting 57 General Operating Fund .. Detail of Expendi turas .. Traffic and Parking Control 58 General Operating Fund .. Detail of Expenditures .. Airport Department 59 General Operating Fund .. Detail of Expenditures ... Swimming .Pools 60 Memorial Hall Fund .. Receipts, Disbursements, Liabilities, and Balances 61 General and Special Improvement Fund .. Receipts, Disbursements and Balances 62 General Improvement Fund ... Receipts, Disbursements, Liabilities and Balances 63 Cemetery Fund .. Receipts, Disbursements, Liabilities, and Balances 64 .Public Health Nursing Fund .. Receipts, Disbursement.s, and Balances 65 66 67 Band Fund .. Receipts, Disbursements and Balances Library Fund .. Receipts, Disbursements and Balances Bindweed Control Fund .. Receipts, Expenditures, Liabilities, and Balances 68 Schedule UIO" Trust and Agency Funds.. Receipts, Disbursements and Balances of Cash 69 Schedule lIIO-A- Fireman's Pension Fund .. Receipts, Disbursements and Balances 70 Schedule ttIO-B" Police Relief and Pension Fund ... Receipts, Disburs€lments, and Balances 71 Sched1.ue "lIlt Industrial Development Fund - Receipts, DiSbursements, and Balances 72 S.chedule "12" Bond and Interest Fund .. Receipts, Disbursements and Balances 73 Schedule "13" Waterworks Department Fund - Receipts, Disbursements and Balances 74 Schedule 1113_aft Schedule It 14" Schedule u15tl Schedule u161t Schedule tt17" Schedule It181t Schedule \1191t Schedule 1120u ,", .,:'.l CITY OF SALIN~. IDU~SAS 1. 1i ;Q ~ ~ iQonVd.J. Page Number~ Waterworks Department Fund - Statement of Disbursements- Year 1952 with Comparison with BUdget Amounts 75 Construction Fund ... Receipts, Disbursements and Balances 76 Material Stores - Receipts, Disbursements and Balances 77 Veterans Housing ... Receipts, Disbursements and Balances 78 Civil Defense Fund ... Receipts, Disbursements and Balances 79 Street Machinery Fund ... Receipts, Disbursements and Balances 80 Clearing Accounts - Receipts, Disbursements and Balances 81 Cash in Custody of City Treasurer and Summary Reconciliation of Bank Balances - December 31, 1952 82 Schedule tt20_Att Outstanding Checks... Bank Reconciliations M December 31, 1952 83-84 Schedule 1t2l" Cash in the Custody of the Clerk of the City Court - W. J. Broom... December 31, 1952 85 Schedule 1122" Reconciliation of FiscalA.gency A.ccounts ... Outstanding Bonds and Interest Coupons 86 Schedule "231l Exhibit "All Exhibit ttatt Schedule "lit Schedule "2u Journal Entries 87 W.I\TERWORfS DEPARTMENT Comments 88-92 Waterworks Department Fund ... Balan~ Sheet ... December 31, 1952 93 94 95 Profit and Loss Statement - Year Ended December 31, 1952 Operating Costs ... Year 1951 Compared with Year 1952 Plant and Property Accounts - January 1, 1952 and December 31, 1952 96 ""~ ~~~.. " , Salina, Kansas May 24, 1953 To The Mayor and The Board of City Comm.i.s::doners Salina, Kansas. Gentlemen: Pursuant to your instructions we have made an audit of the books and records of the Ci t)' of Salina, Kansas covering the year ended December 31, 1952 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 Aud1 t Program approved by the state M1.m1cipal Accountj,ng Board, Novemeer 31, 1935, and as revised 1949, and included an examination of the racords of all City Offices and Officers except the Municipal Band Board, the Public Library Board and the Public Nursing Association, which Boards receive money appropriated by the City but have eXclu~ive control over the disbursements of both the amounts appropriated to them by the City and other money which they may receive. We were not authoriz.ed to audit their activities and no report is being rendered on them. 2 COMM.ElTS The following comments a.re presented for your information; SillI1ItARY STATEMENT OF RECEIPrS. DISBURSEN1E1'TS. LIABILITIES AND BALANCES OF CASH AND IW~MENTS ... EXHIBIT ItA" This exhibit shows fund cash and unencumbered balances at the beginning and end of the year together with receipts and Budget Charges, 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, 1952 bank balances are sh01'lIl in Exhibit 1tJ311. The detail of increases and decreases in the Fund Investment accounts are given in Exhibit "Eft. COMPARISON OF ACTUAL P.ECEIPl'S WITH BUOOET - EXHIBIT "B" This exhibit presents a comparison of actual receipts with the anticipated receipts for each fu~d together with amounts of excess or deficiency in receipts as compared with the budget. A.ctua1 receipts were more than anticipated receipts by $50,184.58. ST ATEMZ~1T OF EXPENDITURES COMPARED WITH BUOOET APl'ROPRU.TIONS - EXHIBIT II ClI This statement sets forth the disbursements charged against each fund and cOffiPaI'ison With the 1952 Budget figures. The General Operating Fund exceeded the amount Budgeted by $26,876.54, however the State Tax Commission authorized the issuance of $27,204.00 Emergency Warrants. Cash in sufficient amount being on hand, the warrants were not issued. EXHIBIT "D" Exhibit "D" shows a Reconcilement of the Receipts, Disbursements, and Balances of the City Treasurer. SCHEDUIES 1 TO 19 INCLUSIVE These schedules set forth the detailed receipts, Budget Charges and be8inning and ending balances by funds for the year under audit. A 3 comparison of actual receipts and Budget charge. with BudgetarJ amounts is shown for all funds included in the Budget. Salaries paid to officers and regular employees during the year 1952 were found to be in accordance with the rates specified by ordinances and the limitations prescribed by the Statutes. Classification of Sala~ies was scrutinized. GENERAL OPERATING FUND - SCHEDUIE "lit. "1_1ll. Itl-Blt. and "l-alf to Itl...u" Disbursements of the General Operating Fund increased by $66,153.77. The 1952 Consolidated Fund receipts were not classifi9d under the various departments used in 1952. The following summary compares the various General Operating Fund departmental Disbursements for the 1952 with those for the preceeding year as nearly as possible allowing for changes made in analysis. 1951 . , Consolidated Funds General Funds Administrative and Finance $ 35,939.59 City Court Department 8,207.88 Police Department and Court 92,409.00 Building Department 8,855.71 Engineering Department 17,612.59 Milk Inspection Health Dept. 6,923.24 Legal Department 5,558.18 Parking Meter Department 15,325.23 Garbage and Rubbish Removal Dept.B7,802.64 Sewage Disposal Fund 26,618.08 Fire Department 10$,290~64 Park Department & Swimming Pool 43,365.27 Water, Light, Heat & Power Fund 22,837.10 Airport Fund 3,516.68 Street, Alley and Sewer Fund 78,636.34 Public Health 14,607 .60 Total J57Z:S05.77 1952 Budget Charges $ 44,189.88 9,871.90 115,029.44 7,593.43 21,688.89 8,631.39 6,062.35 22,386.53 90,636.27 32,386.57 120,601.27 41,840.23 25,404.80 3,741.63 78,277.36 12,317.60 $640.659.54 Increase (Decrea.se) $ 8,250.29 1,664.02 22,620.44 (1,262.28) 4, fJ76.30 1,708.15 504.17 7,061.30 2,833.63 5,768.49 14,310.63 (1,525.04) 2,567.70 224.95 (358.98) (2,290.00) $66.153.77 "''', "" ,,,, " .. 'W 4 During -the year the Ci.ty collected $36,4M..lO from licenses, fees and permits, an increase of $7,138.95 over the amount collected in 1951. Schedule Ill...!" presents the classification of t.he 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 ordinances and franchise agreements. The amount due from the Kansas Power and Light Company for the last nine months of 1952 amounting to $15,267.35 for Gas and $29,960.97 for Electric Franchise were received by the City in April 1953. This re cei vable is shown in Exhibit "E". Police Court Fines and Forfeitures in the amount of $48,066.00 were imposed during the year. This represents an increase of $22,735.00 over the preceeding year. A statement prepared from the Police Court records is submitted in Exhibit ItP" all but $3,127.50 of 1952, fines were settled during the year. Distribution of the Cigarette Tax was checked in the County . ~ Treasurer's records. Receipts of City Court costs and fees amounted to $4,890.88 and were traced to the records of the City Court as shown in Exhibit "Hit. GENERAL OPERATING FUND DEPARTMENTAL DISBURSEMENTS The detailed departmental expenses are compared with the budget estimates in Schedule "l-B" and further analysis is shown in Schedules "I-a to I_un. All payments were traced to the related warrants and all vouchers were examined and over 10% in number and over 50% in amount of the disbursements were compared with the vouchers. No irregularities were found. ,"",,< ", 5 ::'f MEMORIAL HALL FUND... SCHEDULE 1t21t it. comparison of the 1952 Rental and Concession receipts with those of 1951 is shown below: 1952 Rental and Concession 1951 Rental and Concession $5,2ll.65 4.436.32 $ 775.30 52 Increase over 1951 SPECIAL FUND IN LIEU OF BONDS ... SCHEDULE 1t3tt This fund was created in 1946 with the purpose of levying currently for the Cityts Share of Improvements made instead of issueing bonds therefor. All receipts were from current Ad Valorem Taxes and disbursements were made in 1952 as budgeted. Qij;NERAL IMPROVEMENTS FUND... SCHEDUIE "4~ The income from this Fund consists of taxes, sales tax and weed cutting. All Tax Receipts were confirmed by inspection of Sal:ine Countyts records. CEMETERY FUND - SCHEDUIE It 5" Verification of Lot and SPace Sales was made from the Deed Stubs and checked to the reooipts record. The Burial Record was examined. Two sales of Perpetual care amounting to $200.00 was credited to this fund in error. Adjustment has been made in this report and correction made on City Clerks books. PUBLIC HEALTH NURSING F'JND ... SCHEDULE It611 All receipts in this fund are from Ad Valorem Taxes and Sales Tax and all disbursements were made to the Salina Public Health Nursing Association. BAlID FUIID ... SCHEDULE 1t71t Ad Valorem Taxes and Sales Tax are the only receipts recorded in this fund and. all disbursements are made to the Salina Municipal Band Board. LIBRARY FUND... SCHEDULE "8tt Ad Valorem Taxes and Sales Tax comprised the only receipts to this fund and all disbursements were made to the Free Public Library Board of Salina, Kansas. " ,^ .-'1' ,: ','\1- -, ".;'",:-".,,< '. .'1" , ,.,"',.... "'-"'c. ''''',,, .~.. ':<' -:;i";,- ...' , 6 ~EED CONTROL FlJND ... SCHEDULE !l9" All Transactions in this tund appeared to be in order. Only receipts were from Ad Valorem Tax and Sales Taxes. TRUST AND AGENCY FUI'fDS .. SCHEDULE "lOll Statements ot receipts, disbursements and balances of cash tor all 'rrust and Agency Funds are included separately under the above schedule. Supporting Schedules lila-Au and "10...]311 set forth comparison of Cash Receipts and Disbursements with Budget Estimates tor the Firements Pension Fund and the P01icements Relief and Pension Fund respectively. During 1952 whe Firements Relief Fund received payments to Insurance Refunds in the amount of $6,260.16 for the year 1952, an increase over 1951 of $616.57. 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 fo1t no further comments thereon are needed. Particular attention is called to the tact that the balance of the Police Relief and Pension Fund as shown on Schedule "IO-A" is under $10,000.00 by $1,058.28 and Firemens Pension by $18.04~ INDUSTRIAL DEVELOH.~1'T FUND .. SCHEDULE Itlllt There were no receipts during 1952 and authorized disbursements in the amount of $124.91 were made during 1952. BOND AND INTER.H:ST FUND - SCHEDULE "12lt Receipts of this Fund include Ad Val.orem Taxes levied tor the Pa,ymElnt and principal and interest as general bond issues and for the payment ot 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 owner r s share of the cost of special improvements are also included in the re ceipts of this fund. WATERWORKS DEPARTMENT .. SCHEDULE "13lt This schedule shows a summary of the receipts and disbursements of the Waterworks Department, which cleared through the City Treasurer during the year. ,'~~'~ .';r, '!.. ...., '~.' ~" ,;<, ' ~ , " 7 The balance shown at the end of the year consists of cash only and does not include investments owned by the Waterworks Department. Theee investments are listed in detail on Exhibit "E". Additional comments, exhibits: and schedules pertaining entirely to the Waterworks Department are submitted in a separate section at the back of this report. It should be noted that collections by the Waterworks Department on December 31, 1952 are not reflected in this fund or on any of the other Fund records at the close of the year. The Cash Fund of $700.00 maintained is shown in the City Clerkts Records. A swmnary of the Waterworks Department1s cash and investments at December 31, 1952 is shown below: Cash in Water Refund Account Cash in the custody of the City Treasurer - GenI. Investments in the custody of the City Treasurer Cash fund maintained in the Waterworks Department Office ;)Ii 160.72 221,420.3' 66,855.84 700.00 Total Cash and Investments '289.1~ CONSTRUCTION FUND - SCHEDUIE "14t1 The Various Construction Projects accounts are grouped under this schedule and the receipts, disbursements and balances of each construction project account as well as the total receipts, disbursements and balances of all construction project accounts are shown therein. Transfers of :Parking Meter moneys were made to this account as shown. BRIOOE OR STREKr BUILDING MACHINERY ~ EQUIFMENT FUND - SCHEDULE "18" No Transfers were made to this fund during 1952 and $6,157.14 was spent for Machinery and a Truck. CLEARING ACCOUNTS - SCHEDULE "19" A Grouping Fund for all collection accounts, labeled "Clearing" was established. Income tax, Social Security Tax, and Sales Tax Collections, Bond Deposits, and Receipts received in advance, are all included under this ., '. ":;;.. '''1.~. ""'~" ,..," 8 category, See Schedule 1119". CASH IN T~ CUSTODY OF THE CITY TREASURER - EXHIBIT ItD" Under this Exhibit is shown a summary statement of the Treasurer r s Cash Balance at the beginning of the year, the receipts and disbursements clearing the treasurerts Bank Accounts during the year, and the Treasurer's Cash Balance at the close of the year. Schedule 1120" shows the reconciliation of the Bank Balances confirmed to us by the depositories with the December 31, 1952 balances on the Treasurer's books. A list of the Outstanding Checks at that datej is set forth in Schedule "20-A". In accordance with the customary procedure, the City1s Books and Records were not closed until a few days after the close of the year in order that all receipts and disbursements applicable to the year 1952 might be entered. The 1953 deposits shown on this reconciliation (Schedule "20") consisted of collections applicable to the year 1952. INVESTlviENTS IN CUSTODY OF THE CITY TREASURER - EXHIBIT "EIt This Exhibit sets forth a 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 change in ilIVestments during the period. Investments in the custody of the Treasurer on May 15, 1953 were verified by inspection and changes therein during the period from December 31,1952 to May 15, 1953 were verified 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. Im2 The City r s share of the 1951 taXes colle cted by the County Treasurer was traced into the various City of Salina 1952 Fund Tax Accounts maintained on the records of the Salina County Treasurer. :II! '~ ", "f' .,,~ ",. ,"", I' '" ' ",. '" ~, ,..,.., .' 'P, 9 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 1951 Tax Levy Collections together with Collections during the year on Taxes Assessed in prior periOds, and that these distributions were made 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 County Treasurer r s allocations on Sales Tax residue to the City appeared to be in accordance with the statutes. SUlWU.RY AND REOONCILIATION OF 1951 TAX ROLL SHOWIID TAXES ASSESSED AND OOLLEGr.i:i.:D BY THE COUNTY TREASURER AND UNOOLLECI'ED BALA1iCES - EXHIBIT IIF" 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 amounts of 1951 taxes assessed but not collected by the City. STATEM8Nr OF TAXES RECEIVED FROM THE OOUNTY TREASURER SHOWING CURRENT AND DELINQUENT T AXES AND DISTRIBUTION TO FUNDS ON BASIS OF ASSESSMENT - EXHIBIT "GIt This statement shows the total amount of taxes received by the City during the year 1952 and the years in which such taxes were levied by the City. The allocations to the 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 "l" to "1211, inclusive, shows the total Ad Valorem Taxes received by each tax levying fund. ," ,t """r:.<!\., " ..' . ,'", ' ,,",. , "~': .,.l.. ''"',' .' 10 SUMMARY OF ACCOUNTING PROCEDURE AND VERIFICATION OF RECEIPI'S AND DISBURSEArlli;NTS OF CITY CLERK AND CITY TREASURER Receipts,!. The Director of Finance and Clerk are the principal collecting and accounting officers. All items of cash received, except taxes and infrequent collections received directly by the City Treasurer, are handled first by the Director of Finance. 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 Director of Finance deposits collections made through his office on the average of every two or three days, and a test check of his records indicate that his collections were made intact and promptly. 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. Duplicate of receipts issued during the audit period by the City Clerk and City Treasurer were traced into the Clerkfs record of cash received and the mathematical accuracy of that record was verified. The auditor scrutinized the fund classification of the receipts as shown on the Clerkfs cash record, for verification of fund distribution and the classificatioD of receipts within the funds was test-checked. Monthly totals of fund receipts were traced from the receipts record into the fund ledger. The entries in the cash receipts record were also test-checked into the receipts analysis record, and that record was tested as to accuracy of totals. Records of licenses issued and other available evidence of cash received were also traced into the Clerkfs cash book. The collections of the Director of Finance 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 ,. ,. II June 19th, 1933. l-Io cash was on hand in the office of the City Clerk at January 1, 1953 since all cash received was deposited intact. All 1953 deposits applicable to the year 1952 were entered on the books as at December 31, 1952. Certain collections, made in 1952 were applicable to the year 1953 and are shown in a separate fund called 1953 receipts paid in advance, and are included in "C1earing Accountsn. Disbursements: All claim vouchers Paid during the year were examined and test checks of postings and extensions were made. Claim Vouchers were test traced into the Clerk's ordinance registers, and the fUnd distributions were all checked to the Ledger Sheets. The mathematical accuracy of the City Clerk's warrant registers were proven and the fund totals of each appropriation ordinance were traced into the fund ledger. Postings were test-checked from the Clerk's warrant register to the disbursements analysis record and that record was test-checked for accuracy of totals. The City used a warrant form for making disbursements, which becomes a check on being signed by the City Treasurer. The Treasurer uses a rubber stamp facsimile of his signature for this purpose. All checks cancelled during the year were examined and traced to the appropriation ordinance record. Fund Ledger: The City maintains separate fund accounts for the cash and investments of each City Fund. All po stings 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 were computed and a total balance was abstracted from that record. Treasurer's Records: The Treasurer's record of checks issued, and deposits made, and bank balances is rr~intained by a bookkeeper in the office of the City Clerk, as a duplicate of the City Clerk's record. ,c'" L ",:. ~. . , . , . .",' 12 CLERK OF THE CITY COURT STAT~L:I:NT OF RECEIPl'S. DISBl.lRSEMENTS AND BALANCES OF CASH - EXHIBIT "B" 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 1952. These figures were taken from the records of the Clerk of the City Court. A comparison of fees on hand and cash balances as of December 31, 1952, is shown at the foot of the statement. A list of the individual case balances are not set forth in this report, since it is a Part of the Clerk's permanent records, and was verified to the Case Ledgers. Reconciliation If the Clerk of the City Court cash balances at the Farmer t s National Bank, Salina, Kansas, is shown on Schedule "23tt. 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 monthly reconciliation of case balances with the cash balances. Verification was made by comparison of cancelled checks with disbursements as recorded, by proof of monthly Postings by addition, by comparison of all duplicate receipts to the receipt record, and comparison of such totals with amounts recorded and by test-eheck of individual itema t. the amount recorded, by verification from the records or reports of' City and County Officials as to amounts shown paide to them, by test-ohecking of items of receipts and disbursements to the Dockets and to the Case Ledgers. The Detail of Case Balances shows $10.75 less total than the amount of cash on hand, an increase of $.13 over 1951. POLICE COURT FINES AND FORFEITURES A Police Sergeant acts as collectio~ officer for the Judge of the Folice Court. Entries on the Police blotter show the amount of the Appearance Bond deposited; fine imposed or other deposition of the case; fine collected or Paid by work; and. other inf'ormation regarding the case. Receipts for fines paid are issued from a duplicate receipt book, the duplicate being retained for ,. ". .'. . 1.3 all except still traffic violations, which are entered in total each day. These totals were test-checked by addition of tickets. Cash, as received, in fines and Bond Forfeitures, is placed in numbered case envelopes which are accumulated until the end of each Blotter Page, when these envelopes together with other similarly numbered case envelopes containing fines, workout, parole, dismissal evidence, are turned over to the Folice Judge who reconciles the cash and other items with his docket records and prepares an analysis thereof which he submits to the City Clerk together with the cash received. These amounts should not be allowed to accumulate so long but should be turned over orten, never being over the amount of the Judges Bond. Still ~raf'fic Fines are turned over daily. The analysis of fines imposed for the year 1952, as prepared and submitted by the Police Department to the City Manager, was verified and found correct. Quarterly reports filed were correct. The cash analysis of cash received by the Police Department was, likewise, found correct as submitted. SUWfiARY OF POLICE COURT RECORDS - EXHIBIT IfIIt This exhibit shows the January 1, and December .31, 1952 balances of uncollected fines by the following years - 1950 and 1951 together with the 1952 collections, paroles, workouts and dismissals for each year and group of years. Verification was made by test additions of the duplicate receipts for several months and comparison with cash reported and paid to the City Clerk, for all months. Tests were made from duplicate receipts to the envelopes and from envelopes to the :Police Blotter. Page fottings of the Judges Blotter was proven and compared with the Page analysis for each month. Tests of monthly fines and collections was made for the year 1952 from the Blotter and compared with those reported to the City Clerk and City Manager. SUMNiARY OF THE RECORDS OF THE CITY BUILDING INSPECTOR - EXHIBIT "J" This exhibit shows a classification of the collections made by the 14 building Inspector together with the remittances made to the C:ity Clerk during the period from Janu~y 1, to December 31, 1952. Cash received from the collection of fees and issuance of permits as shown by the duplicate receipts, were traced into the !.egister of Collections maintained in the Building Inspector's Office, and from that Register to the monthly reports and remittances to the City Clerk. Fees charges appear to be in accordance with the rates set by ordinances. OverPaYment was made in the Amount of $2.38. COMf'ARISON OF DEPOSITORY BONDS AND BALANCES OF DEPOSIT.. EXHIBIT "Kif This statement compares the balances on deposit as at December 31, 1952 with the amounts of depository bonds pledged by the banks as collateral to assure the PaYIDent of these deposits. The local banks have pledged United States Government or Kansas Municipal Bonds as collateral for deposit of public moneys. 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 did adequately secure the deposits as at December 31, 1952, 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 IN FORCE-=:.JI!HIBIT ltLIf Fidelity Bonds in Force as of December 31, 1952 as detailed under the exhibit were inspected and checked to the statues and 1948 revised ordinances to determine that such bonds meet statutory requirements as to type, amount and approval. All Fidelity Bonds except those of the Clerk of the City Court and the Marshall 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..l420 and 20-204 and 205 C. N. 1935. The bonds of the Clerk of the City Court and ,F ,., : 15 the Marshall of the City Court are drawn in favor of the State ()f Kansas rather than in favor of the City 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. INSURANCE IN FORCE - EXHIBIT ItMtr This exhibit presents a swmnary 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 $195,140.00 are insured by a group of 21 companies with each policy having a ninety percent co-insurance clause. The Memorial Hall Building and contents are insured by a group of 25 companies for $231,000.00. Each of the policies in this group contains a ninety percent co-insurance clause. Airport and sewage Building Policies carry 80% Co-insurance. Insurance coverage on other properties not included in the above groups and other types of protection are listed under separately. Insurance coverage pertaining to the waterworks department is shown separately on a schedule in the latter Part of this report also. It was determined that all insurance companies writing insurance on the Cityl s property were authorized to do business in the State of Kansas. ACCOUNTS RECEIVABIE - EXHIBIT "N" Amounts due to the various funds of the City as at December 31, 1952 as determined by our examination are shown on this exhibit. No independent verification was made with debtors. This exhibit does not include unpaid taxes. .',' . .~ ~ .. .,". ACOOUNTS PAYABLE . " 16 No separate schedule has been presented of accounts payable as they are classified by funds under Exhibit "Alt. The amounts included as liabilities Office . were determined from inspection of the records maintained by the City Clerk's STATEMENl' OF BONDED INlliBTEDNESS - EXHIBIT "0" This statement presents, in detail, the bonded indebtedness of the City of Salina, at December 31, 1951 and December 31, 1952 together with bonds issued and retired during 1952. The following is a summary of Bonded totals: Indebtedness classified as to type Df Bonds outstanding, with yearly Maturity Outstanding December 31. 1950 General Bonds $ 610,000.00 Special Improvements Bonds 928,099.96 1952 Outstanding Issued Retired December 31.1952 $332,000.00 $ 86,000.00 $ 856,000.00 209,746.59 157,829.49 980,017.06 $541.746.59 $243,829.49 $1,836,017.06 Totals $1,538,099.96 Year ~ 1953 1954 1955 1956 1957 1958 1959 1960 1961 1962 1963 General Bonds $152,000.00 152,000.00 152,000.00 153,000.00 153,000.00 79,000.00 15,000.00 Special Bonds $170,005.10 189,911.96 146,700.00 121,700.00 96,700.00 82,000.00 64,000.00 40,000.00 39,000.00 20,000.00 10.000.00 $980.017.06 $856.000.00 Grand TotaJ: $ 322,005.10 341,911.96 298,700.00 Z74,700.00 249,700.00 161,000.00 79,000.00 40,000.00 39,000.00 20,000.00 10.000.00 $1.836.017.06 General Bonds amounting to $856,000.00 and the Special Improvement Bonds amounting to $980,017.06 were outstanding at December 31, 1952. There were $332,000.00 water Department Revenue Bonds issued during 1952 and outstanding at December 31, 1952. at the close of each of the last ten years. The following schedule shows the Bonded Indebtedness outstanding, Bonded Indebtedness 17 December 31, 1943 1944 1945 1946 1947 1948 1949 1950 1951 1952 $ 429,750.00 309,892.35 233,933.28 220,633.86 705,939.15 1,027,014.09 1,474,C$4.86 1,398,901./4-3 1,538,099.96 1,836,017.06 REOONCILIATION OF THE CITY OF SALINA FISCAL AGENCY ACOOUNT - SCHEDUIE It 22lt The balance shows as unpaid December 31, 1952 has been confirmed by the State Accountant. Cancelled bonds and coupons Paid by the Fiscal Agency during the year 1952 were carefully examined and checked against the bond record and found to be proper charges. TEMPORARY NOTE INDEBTEDNESS - EXHIBIT liP" This statement shows the amount of Temporary Note Indebtedness owned by the City at December 31, 1952. These notes will be repaid out of the proceeds of bond sales. MINUTES AND ORDINANagS The minutes of the meetings of the governing body during the audit period, ordinances enacted during the period and the 1948 revised ordinances were reviewed for matters pertaining to the audit. The Minutes appeared to be complete and in good order. GEN"BRAL During the course of the audit, explanations of various matters were obtained from officers and employees of the City. We wish to express our appreciation for the co-operation and assistance of all those with whom we came in contact. ~,. : ..:.": :,.;.."....f:.. (.~:,., ,.,.,. ,",', .,~ or. '"", ""'" .., <,-r.c .. '. 18 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, 1952 and the results of its operations for the period from January 1, 1952 to December 31, 1952, inclusive. We further certifY that, subject to the comments pertaining to the Waterworks Department Fund, as shown on the pages immediately following Schedule "2311 of this report, the exhibits and schedules pertaining to the Waterworks Department Fund correctly reflect the financial conditions of that Fund as at December 31, 1952 and the results of the operations of that Department for the period from January 1, 1952 to December 31, 1952, inclusive. Respectfully Submitted Dewey N. Turner ~y-r j BY'.-} . ,', I . '0-<w-:" .J Dewey N. furner, Licensed Municipal" Public Accountant,#54 in charge of and actively engaged on this audit. 19 Exhibit "AU CITY OF DISBlffiSE;MENTS OF RECEIFTS ST ATEMENT INVESTMENTS INCLUSIVE DE CE.MBER L!ABILITIES~AND B YE Cash 12-31...52 Added Liabilities :1.2-31...'52 Unencumbered Cash 12-'U-'l2 Budget and . Non-Budget Ch es l;.' 2 Cash Accountability Unencumbered Revenue 1952 Unencumbered Gash 1-1-52 Liabilities 1-1-52 Paid 1952_ . Cash 1-1-52 4l,455.86 5,805.(17 100010 3,288.93 1,893.00 o 23.25 228030 946000 9,981096 12,649001 39,057.38 222,120039 8, 941072 $ $21,597 046 2,4l0.88 2,672.30 1,289.29 o o o o o o 26,800022 o $ 19,858.40 3,394.19 100.10 616063 603071 o 13.25 228.30 946.00 9,981.96 12,649001 39,057.38 195,320.17 8,941072 640,659.54 10,303026 12,500000 4l,392015 10,995075 4,700.10 5,870.00 36,349080 1,564.48 8,531058 124091 267,718086 557,989006 11,408.01 660,517.94 13,697045 12,600.10 42,008.78 11,599046 4,700.10 5,893025 36,578.10 2,510048 18,513054 12,773092 306,776024 753,309.23 20,349.73 654,059.25 9,925017 12,525.43 41,816076 10,819.57 4,678063 5,826.33 35,928084 1,318017 8,770.06 ,0 247,496.10 632,096.56 12,978016 6,458069 3,772.28 74.67 192002 779.89 21047 66.92 649.26 1,192031 9,743.48 12,773.92 59,280.14 121,212067 7, Yl1.1J7 - 84.33 - - - - 2,015052 - - 4,828004 $ $ $ $ $ 7,919.51 221054 14,378020 3,993.82 74.67 276.35 779.89 21047 66092 .949.26 3,2C17.8) 9,743.48 12,773092 59,280.14 126,040071 7,371.57 $ Cash ~ds Bu~eted General Operating Memorial Hall General and Spe cia1 Improvement General Improvement Cemetery Public Health Nursing Band Library Noxious Weed Firemens Pension Industrial Deve10pnent Bond and Interest Waterworks Police Pension $54.770.15 <i~291. 720.82 $15,068.94 $ 40,483.49 16,394.23 2,236.11 6,634.46 2,651.80 160.72 2,095024- 6,882.07 2,358021 7,658.27 100.00 o o o o o o o o o $ $ 40,483049 16,394023 2,236011 6,634046 2,651.80 160.72 2,095024 6, 882.C17 2,358021 7,658.27 100.00 912,768.80 65,107.29 6,157014 7,293.77 11,045.91 12.04 5,249.75 43,526.12 4,034063 967.78 10,2'79.00 $ 953,252.29 81,501052 8,393025 13,928.23 13,697.71 172.76 7,344.99 50,408.19 6,392084 8,626.05 10,Y/9.00 $ 906,060000 66,248079 o 8,373.18 11,382015 o o 8,528.48 350000 288025 2,232.50 $ $ 47,192.29 15,252.73 8,393025 5,555005 2,315.56 172076 7,344099 41,et79.71 6,042.84 8,337.80 8,146.50 - - - - - - - - - $ $ 47,192.29 15,252.73 8,393.25 5,555.05 2,315056 172.76 7,344.99 41,et79.71 6,042084 8,337.80 8,146.50 Totals Funds Not BUI eted Construction Clearing Accounts Street Machinery Veterans Housing Material Stores Water Refund Civil Defense Firemen I s Relief Cemetery Endowment Hillcrest Memorial Endowment Hillcrest Memorial Trust $87 ,654 060 $434. 14?57 , - ~24, 770.J2.. $" - ~;15,068,94 Totals Totals - All Funds $ 48,500.00 11,534063 6,500.00 66,855084 Reductions $ 1,700.00 Additions 40,000000 4,034063 $ $ :.L0,200000 7,500.00 6,500.00 118,714.55 Inve~ment8 Firemens Relief Cemetery Endowment Hillcrest Memorial Endowment Waterworks $13,3. ')9Q:l!/ 108,434095 56,576.24 87 Total ".', ~ " q ":,7', ." 20 Exhibit !tE" CITY OF SALINA. KANSAS COMPARISON OF ACTUAL RECEIPl'S WITH BUOOET January 1. 1952 to December 31.-12.22. Inc1u8iv~ Total Receipts (Exhibit A) :4952 T~ LeVying Funds General Operating $ 654,059.25 Memeria1 Hall 9,925.17 General Improvement 41,816,76 Cemetery 10,819.57 fublic Health Nursing 4,678.63 Band 5,826.33 Library 35,928.84 Noxious Weed 1,318.17 Firements Pension 8,770.06 Police Relief and Pension 12,978.16 Bond and Interest 247,496.10 General &Speoial,Improvement ,"12,525.43 $1.046, l42 .i!i Total T ax Levying Funds !i2!t:Tsx Levying: Funds Waterworks Department Clearing Accounts Construction Veterans Housing stores Account Firemens Relief Hillcrest Memorial Trust Hillcrest Memorial Endowment Cemetery Endowment $ 632,096.56 66,248.79 906,090.00 8,373.1$ 11,382.15 8,528.48 2,232.50 288.25 350.00 Total No~Tax Levying Funds $1.635.559.9~ Total All Funds $2.681..702.38 AnticiPated Amount of Amount of Receipts ,Budget . Budget 1952 Surplus Deficiency $609,151.43 $44,9Cf7.82 ~f. 'ill 11,899.02 1,9'73.85 42,986.06 1,169.30 11,555.00 735.43 4,705.51 26.88 5,816.54 9.79 35,770.81 158.03 1,319.48 1.31 8,630.40 139.66 12,818.41 159.75 238,805.23 8, 690.8r1 12,500.00 2~;.43 W5.957.89 $50.184.58 -- .....'- ;,. OITY OF SALINA. KANSAS STATEWJ.ENT OF EXPENDITURES COMPARED WITH APPROPRIATIONS January 1. 1952 to December 31. 1952. Inclusive Tax LevyiIlR Funds General Operating Memorial Hall Cemetery General Improvement Public Health Nursing Band Noxious Weed Firemens Pension Police Relief & Pension Industrial Development Bond and Interest Library General & Special Improvement Chargeable t.o 1952 Budget $ 640,659.54 $ 10,303.26 10,995.75 41;392.15 4,700.10 5,870.00 1,564.48 8,531.58 11,408.01 124.91 267, 718~86 36,349.80 12,500.00 1952 ~udget Over Budget 613,783.00 $26,876.54 13,120.00 11,555.00 43,:)..80.00 4,766.00 5,870.00 1,650~00 8,340.00 191.58 11,208.00 200.01 13,368.42 276,756.88 36,349.80 12,500.00 Total TaX Levying Funds i1..052.1l8.44 $1.052.447.10 Non-Tax LevYiIlR Funds Cemetery Endowment $ Waterworks Department Clearing Accounts Construction Veterans Housing stores Account Firemans Relief Hillcrest Memorial Trust H.illerest Memorial EndoWJllent street Machinery Water Refund Civil Defense 4,034.63 557,989.06 65,107.29 912,768.80 7,293.77 11,045.91 43,526~12 10,279.00 967.78 6,157.14 12.04 5,249.75 Total Non-Tax Levying Funds $1.624..431.29 Total All Funds ~2.676.~~9.73 ""'.' '.,.~, " 21 Exhibit "e" Under IiY~ $ 2,816.74 559.25 1, 7Pf7 .85 65.90 85.52 13,243.51 9,038.02 ~ 328.66 ":';<'~ ..~;,.;-, f";,,' '\;;~~~" ';....;;.''. '",:':;;~.;>,,;,.)J:' 22 Exhibit 1tD" CITY OF SALIN!. KANSAS CASH RECEIPrS. DISBURSEMENTS AND BALANCE OF CITY TREASURER WITH RECONCILIATION OF DISBU@EMENTS January 1. 1952 to December 31. 1952. Inclusive Balance January 1, 1952 Receipts (Exhibit A and B) Total Accountability Disbursements Fund Cash Disbursements Balance December 31, 1952 CaSE December 31. 1952 Bank Balances The Farmers National Bank The Planters State Bank The National Bank of America Gentl. The National Bank of America-Water Refd. Total Bank Balances Water Department Cash Total Cash available (Exhibit 4) 1952 Budget Charges (Exhibit A) 1951 Liabilities Paid (Exhibit A) Liabilities December 31, 1952 (Exhibit A) Cash Disbursed 1952 $139,827.56 153,691.67 139,765.62 160.72 $433,445.57 700.00 $ . 389,291.71 2,681,702.38 $3,070,994.09 $;2,636,848.52 $ 434.14~.t22 $ 434..145.!.iZ $2,676,549.73 15,068.94 $2,691,618.67 54,770.15 J2.636.848.52 23 "ElI Exhibi t Balance 'December 2l-Jill $ $,500.0 to 000.0 $ 8:500.0 $ 7,500000 b1:~~i:~~ , 6.500.00 $ 0 $ 0 0 0 0 0 0 0 0 0 0 0 0 0 0 981.30 1,118.75 2,179055 6,000000 13,140036 18,224085 25,211003 i 66.855.8~ ii133..39004,7 Reductions 1952 A:dditions 1952 1,700.00 $ 950.00 $ 2,$90.92 782.70 1,848.79 4,822.05 1,633066 4,062095 639.75 1,530.20 12,500.00 9,785059 3,058.04 1,,932075 4,860.04 7,437.51 50,000000 $ r:~ lJ.10.134095 87 O,OOO~OO _p.OOO.OO 13,140.36 18,22.4.85 25,211.03 $ $ (tt. <lP Balance January .1..1952 $ 10,200.00 $ 10.200.00 $ 7,500000 j 7.500.00 ~ 6.500.00 $ 950.00 $ 2,890.92 . 782070 1,848~79 4,822~05 1,633.66 4,062095 639.75 1,530.20 12,500~00 9,785.59 3,058004 1,932.75 4,860.04 7,437051 981.30 1,118.75 2,179.55 56,000.00 B'Ond or Qertificate Number Rate ..L- 11-12 5-44 17 18 20 21 23 1 3 4 6 7 11 12 13 14 15 16 17 18 1 2 3 1-4 1 1/2 1 3/4 2 1 3/4 1 1/4 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 CITY OF S, INVESTMENTS IN CUSTODY OF CITY T~ fi December 31. 12 Date of Fund LY:E! Iesue Firemens Relief Fund City of Salina. Paving 11-1-47 City of Salina 8-1-52 Total Firemens Relief Bonds Cemetery Endo_ent Fund u. So Treasury Bonds 1944 Salina Oi ty Bonds 8-1-52 Total Cemetery Endowment Fund Hillcrest Memorial Endowmen~d Uo S. Treasury Bonds Waterworks Fund. City of Salina 1941 City of Salina Tem' Notes 6-26-50 6-26- 50 9-19-50 11-14-50 11-14-50 12-12-50 1-22-51 2- 19-51 3-19-51 3-19-51 6-26-51 6-26- 51 10- 8-51 12-17-51 12-17-51 12-17-51 12-17-51 12-17-51 2-11-52 12-22-52 12-22-52 Total Waterworks Total W Funds 1 Date ~ 11-1(53-57) 8-1-56 1954 8-1-56 1952 .CITY OF 5. 5UMl~All.Y JlI-rD RECONCIUA.TION OF 1 EQLL SHONING TAXES ASSESSED A.ND COllECTED BY COUNTY TREASUREfi AND REMITTED TO CITY TREASUF.ER AI u'NF.EMITTED ... UNCOLIEGrEDBA ~ Original '.lax !dded hol1 Tax ~Uilds Gem fl 0 O~ra..:Y,ng Tangible $300,262001 $1,413097 Intangible 21..546051 808022 Total General Operating $321p808.52 $2~221089 Band 5,209061 2411153 Cemetery 6,2341>27 29.,35 General Improvement Yl g3830()} 1761>01 Library 32,334087 152024 Memorial Hall 4i740~,5 22032- Health 4,184095 "),9070 Noxious Weeds 19171.04 5.51 FiremeDS Pensions 5,1l~5.80 24~3 Police Pensions 10p5C9030 49042> General and Special Improvement 12,746028 60001 Bond and Interest l26p 562 002 59 5086 Totals Ad Valorem and Intangible ~568,030020 f3a381 013 - SpeClials Paving $ 94.,231.84 Sewer 33~472082 Water and Easements 1,627092 Weeds 2~ooo Total Specials $ l' ota1 All TaXes $3.381.13 2.e:, bi t "'Ftt j E.\:l LoDg anu (Shorll Tax S8.lea Unpaid By :I.dger Total Collections ~1bu1!.S Net Adjusted Tax Roll ---- .~ D. & Eo & Abated Tax $ 1013 llu,6'l $15.80 ... .04 029 ..1.3 " ,,) o~~ .02 008 .10) ~15 006) .24 $16c37 ( ( ( $ 6,837 o4l 136.1.'1 $6,973.58 118:.63 141.96 851027 736031 HJ] .94 95.30 26.67 117.17 239.31 290.25 2,881.99 ~12,580.~ $ 6,836<)28 121050 $ 6,957078 118063 141,.92 850098 73fo18 108.16 95028 2.6059 117027 239016 29C~1 2,881075 ,12p 564001 $294,2 ~ lib;244038 5,106014 6,110~48 36p 640 085 31;f.f12074 4,646008 4,101084 1,147 &85 5p043 050 10,300.71 12,493004 124,048.38 99oC/7 $ 540.33 287092 $ 828025 9.37 11.22 67027 58.19 8.53 7053 2~11 9026 18091 22094 22:7 075 $lp271033 5,515084 1,549075 195.70 9(00) $ $ 88,716600 31,923007 1,lt.32022 218000 $ 94,231084 33,472082 1,627092 209000 ....-- L-_ ~,~ 6 ~'7 ~,:.t..d L- -= tJ.2~;80038 ( $7#~52 029 iJ.99816030 28 $ ~~ .">:, ',::,:':1'\: 25 Exhibit ltG" 0ITY OF SALINA. KANSAS STATEMENT OF TAXES RECEIVED FROM COUNrY TREASURER $HOVfIl'iZ CURRENT AND BACK T AX RE~IVED AND DISTRIB1)1ION TO FUNDS ON BASIS OF ASSESSMENT 1950 & Prior :t.951 Total years Ad Valorem Tax Consolidated Funds Tangible $2,509.28 $294,299.07 $ 296, 808.35 Intangible 43.73 ~945.31 21..989.04 Total Consolidated Funds $2,553.01 $316,244.38 $318,797.39 Memorial Hall 46.92 4,646.08 4,693.00 General Improvement 336.56 36,640.85 36,977.41 Cemetery 28.11 6,1l0.48 6,138.59 Public Health Nursing 39.63 4,101.84 4,141.47 Band 49.46 5,106.14 5,155.60 Library 290.72 31,692.74 31,983.46 Bindweed Control 11.55 1,147.85 1,159.40 Firemens Fension 38.33 5,043~50 5,081.83 Folice Benefit and Pension 10,300.71 10,300.71 Special & General !mprovement 12,493.04 12,493.04 Bond and Interest 1,234.63 124,048.38 125,283.61 Total Ad Valorem & Intangible Tax j4.628.92 $557.575.99 $562.204.91 Special Assessments Curb Gutter and Paving $ $ 88,719.00 $ 88,716.00 Sewer 31,923.07 31,923.07 Weeds 218.00 218.00 Water Service 1,432.22 1,432.22 Total Special Assessments l $122,289.29 $122.289.29 Total All TaXes $4.628.92 $679.865.28 ~.494.20 ':-;::-'. 26 Exhibit "HII CITY OF SALINA.. KANSAS .CIERK OF THE CITY COURT ~ATEMENl' OF RECEIPrS.. ... DISBURSEMENl'S AND BALANCES OF CAS]! ~anuarY 1. 1952 to December 31. 1952~ Inclusive Balance January 1, 1952 $ 1,636.39 Receipts City's Fees Sheriff's Fees Judicial Fees Fines Checks Collected Miscellaneous $ 4,888.58 875~97 125.10 5,589.85 5,237.19 6,272.39 Total Receipts Total Accountability $22,989.08 $24,625.1,,7 Disbursements Court Fees to City Clerk Sheriff's Fees Judicial Fees to County Treasurer Fines to County Treasurer Checks Collected Miscellaneous $ 4,890.88 644~36 125.25 4,972.44 5,170.64 6,247.20 Total Disbursements $22,050.77 $'2,574.70 2,563.95 $ 10.75 10.62 :ll-_-ill Balance December 31, 1952 Balance Per Detail of Case Balance Difference 12-31-52 Difference 12-31-51 Added Difference 1952 '~il::-,~"{:~ ;;.' -'i~". 27 Exhibit "In CITY OF SALINA. KANSAS &JIVIMARY OF POLIQB; COURT RECORDS January l.... 1952 to December 31. 1952. Inclusive Fines Imposed 1950 llil ~ Totals Balances January 1, 1952 $707 . 50 $2,132.25 :II> $ 2,839.75 Fines Imposed 1952 48,066.00 48,066.00 Total Accountability $707.50 ~2~132.22 $48.066.00 $50.905.75 A.ccounted For B.:i Cash Collected $ 60.00 $42,013.75 $42,073.75 Fines Worked Out 25.00 1,031~25 1,056.25 Paroled and/or Dismissed 192.50 1,582.50 1,893.50 3,668.50 $192.50 ~667.50 $44.938.50 $46.798.50 Balances Deoember 31, 1952 $515.00 l...-4~ l-.2J27. 50 $ 4.107.25 ; <.,,,~, 28 Ex..hibit IIJIl CITY OF SALINA. KANSAS ,SUMMARY OF THE RECORDS OF THE CITY BUILDING I~OR Collection for the Year 1952 Building Fermi ts and Inspections Gas Inspections Plumbing Inspections Electric Inspections Sign Permits Taxi-Cab Inspections Radio Antenna $9,428.10 1,339.00 3,116.45 3,166.36 33.00 34.00 48.00 Total Collections 1952 Balance Due Inspector January 1, 1952 $17,164.91 .13 $17,164.78 17,167.16 Total Accountability Remitted to City Clerk Overpayment $ 2.38 '.'J..'~ 29 Exhibit ltKII .illy OF SALINA, KA.NSAS COMPARISON OF DEPOSITORY BONDS AND BALANc&S OF DEPOSITS .December 31. 1952 The Farmers The Planters ';l'he National National Bank I state Bank ~ ot Amerioa Name of Aooount -.--- H. H. E"erhardt, City Treasurer $139,482.03 $173,109.53 $140,004.80 . W. T. Broom, Clerk of City Court 4,178.30 Totals $143,660.33 $173,109.53 $140,004.80 Less F.D.I.C. 10,000.00 10,000.00 10,000.00 Balance to be Seoured by Collateral i133.660.3~ $W.109.53 ~130.004.80 Required 7($ L93.562ill $114.176.67 1-21.003.36 Bonds Deposited by Banks as Collateral for Deposits ~286.000.00 ~312,4~ $235,000.92 30 Exhibit ilL" CITY OF SAUN1. KANSAS FIDELITY BONDS IN FORCE December 31. 12,2 Date Datfi of ~ ID!! Effective Expiration Amount Carl Ramsey City Conunissioner 4-5-49 Cont. $ 5,000.00 IJ..oyd W. Price City Commissioner 4-6-51 Cont. 5,000.00 Ruth C. Cobb City Commissioner 4-6-51 Cont. 5,000.00 Ward E. Rarcofer City Commissioner 4..6-51 Cont. 5,000.00 Ed F. Wenger City Commissioner :).1..10..52 Cont. 5,000.00 Ellis J. Allison City Manager and 8..26-43 Cont. 5,000.00 Supt. of Waterworks Leland Mordecai Srack Supt. of Waterworks and 2-1..52 Cont. 5,000.00 City Manager Charles F. Banker City Clerk 7-16-51 7-16-52 5,000.00 Harold S. Peterson Deputy City Clerk 12-6-46 Cont . 5,000.00 Dire ctor of Finance H. H. Eberhardt City Treasurer 6-22-33 Cont. 50,000.00 Lois Todd Cashier waterworks 1-2-26 Cont . 5,000.00 H. H. Eller Police Judge 3-9-37 Cont . 1,000.00 Thomas L. Bayne Bldg. Inspector 12-9-41 Cont. 1,000.00 Harold W. Harper City Engineer 1-15-46 Cont. 5,000.00 Vi. J. Broom Clerk of City Court 4-10-51 4-10-53 2,000.00 Lauren Lencon Marshall of City Court 4-10..51 4..10..53 2,000.00 Frank M. lewis, Jr. Housing Manager 11-12-52 Cont. 5,000.00 c~ty Hall Group ~uilding and Contents Fire Department Group International Squad Wagon Seagrove Ladder Truck Ahrens Fox Fire Truck Building 4 Trucks 3 Vehicles Airport Group Hangar #3 Hangar #4 Cafe Liability ~rworks GroBE Water Tower Garage & Warehouse Dwelling Pumping Stations Equipment Ford t Ton Pickup Workmen's Compensation Safe Manufacture & Contractors ~Group Building and Contents Dwelling Sewage Disposal Group Buildings and Contents Buildings and Contents Memorial Hall Group Building and Contents Cunara, Landlords & Tenants M1scellaneous Rolling Steck Messenger Recreation Center Building Cemetary, Dwelling & Garage Steam Boiler Veterans Housing Cameras " ,t, .cITY OF SALINA. KANS~ INSURANCE IN FORCE December 31. 195~ Type of ~ount of pover~e Coverage Fire & Extended $195,140.00 Fire, Lightning , & Trans. 2,000.00 Fire, Lightning, & Trans. 1,500.00 Fire, Lightning, & Trans. 4,500.00 Fire, Lightning 150,000.00 Fire, Lightning, & Trans. 24,384.00 Fire, Lightning, & Trans. 2,640.00 Fire & Extended Fire & Extended Fire & Extended Each Accident Windstorm Fire & Extended Fire & Extended Fire & Ext. Bldg. & Cont. Fire & Ext. Bldg. & Cont. Comprehensive Liability Burglary Accidents Fire & Extended Fire & Extended Fire & Extended Fire & Extended Fire & Extended F. & P. Damage Fire, Theft, Liability Fire & Extended Fire & Extended Fire & Extended Explosion , 'Uability 5,000.00 5,000.00 500.00 15/30,000.00 57,500.00 1,500.00 3,000.00 19,200.00 17,500.00 450.00 24,000.00 1,000.00 15/30,000.00 5,000.00 2,000.00 225,000.00 3,500.00 231,000.00 25/3,000.00 5/15/30,000 2,000.00 18,000.00 3,000.00 10,000.00 10/20,000.00 205.00 31 Exhibi t "M" %. Co-Insurance 90 80 80 o o 90 90 90 o 90 - 90 80 90 32 Exhibit ltNII CITY OF SALINA. KANSAS ACCOUNTS RECEIVABLE: December 31~ 1952 General Fund Police Fines Gas and Electric Franchises $ 4,107.25 45,228.32 > ,;J., 33 Exhibit "0" KANSAS GITY OF SALINA OF BONDED Amount Outstanding 12-3~-52 Bonds Retired 1952 . New ): ssue s 1952 JJnount Outstanding -1-52 Amount of Original lssue Rate ...L. Final Maturity Date Date of Issue INDEBTEDNESS 2 1 EMENT December_31 ST o o o 3,000.00 11,000000 5,000.00 8,500000 283,000.00 ---'. 120,000 000 --- o 42,000000 o 66,000000 121,000000 ,..-" 40,000000 44,000000 168,000000 36,000000 33,000.00 171,000.00 38,093.79 104,676068 44,034.63 332,000.00 58,085099 1m ,625097 .017.06 $ 650.00 1,000000 3,000.00 1,500.00 1,700.00 48,000000 20g000.OO 8,000.00 7,000.00 8,000.00 11,000.00 18,000.00 :20,000.00 22,000.00 24,000.00 13,922.43 11,206.20 24,850.86 $ * 440034063 332,000000 58,085.99 1m ,625097 o o 650000 4,000.00 14,000.00 6,500000 10,200.00 331,000000 140,000000 8,000000 49,000000 8,000.00 77,000.00 139,000.00 60,000.00 66,000.00 192,000000 49,922043 44,206020 195,850.86 38,093.79 104,676068 $ $ 10,045052 2,720074 6,315.09 16, 010 oQ1 28,934070 14,220023 17,046.61 475,000000 203,250000 30,661036 68,912023 32,244.93 110,020057 175,000000 81,174032 89,123048 242,697.06 49,922.43 44,206020 195,850.86 1.5 105 1 1 1.25 1025 105 1025 1075 105 105 1.5 1.75, 1025-1.5 1 1/8 1 1/8-1025 1 1/8 1025 1025 1.25 2.5 205 1075 105 & 5 1.5 1. 75 & 1-1.5 1951 1951 1952 1955 1956 1956 1957 1958 1958 1952 1958 1952 1958 1959 1954 1954 1959 1955 1955 1961 1956 1962 8-1-56 10-1-57 8-1-57 8-1-63 1-1-41 8-1-41 2-1-42 4-1-45 9-1-46 9-1-46 11-1-47 12-1-47 2-1-48 7-1-48 7-1-48 10-1-48 10-1-48 6-1-49 12-1-49 12-1-49 12-1-49 12-1-50 12-1-50 12-1-50 12-1-51 12-1-51 8-1-52 10-1-52 12-1-52 12-1-52 Issue internal Improvement Internal Improvement Internal Improvement Internal Improvement Internal Improvement Internal Improvement Internal Improvement Internal Improvement Airport Curb, Gutter and Paving Curb, Gutter and Paving Curb, Gutter and. Paving Curb, Gutter and Paving Fire Station Lateral Sewer Curb and. Gutter Curb and. Gutter Main Sanitary Sewers Curb, Gutter, and. Paving Curb, Gutter, and Paving Curb, Gutter, and Paving Curb, Gutter, and Paving Main Sewer t and Lateral Sewers Waterworks Revenue Curb and Gutter Curb, Gutter and/or Paving ose of Pur Series N~r 126 127 128 133 136 137 139 140 141 142 14.3 1M 145 146 147 148 149 150 151 152 153 154 155 II A" 156 157 /r j /}/J 34 Exhibit "J?I CITY OF SALINA Y.ANSAS TATEMEt-J'T SHOfHNG BALANCES AND CHAJ~GES IN TEMPORARY NQI&.INDEBTEDNE~ 52 to December Inclusive Janu Balance 12-;1-52 $ 0 o o o o o o o o o o o o o 981030 1,118075 2,179055 6,000000 o o o o o o o o o 13,140036 18,224085 25,211.03 o o 66,110.95 47,170097 36,086055 38,695026 61,572.61 64,954089 11,934060 26, 8940Cf/ 11,646087 69,539089 36,353.1;.9 8p633032 liB 749063 ~61,198094 Paid J.28' 2,890092 782070 1,848079 /..,822005 1,633066 4,062.95 639075 1,530~20 12,500000 9,785059 3,058004 1,932075 4,860004 7,437051 50,000000 13,328~OO 10,707096 3,586039 24,279063 41,23 5 ~11 28,258025 1,893054 8,557.00 17,292038 6,268032 7,277062 $ Issued 1952 $ 1,893.54 8,557000 17,292038 13,140~36 18,224085 25,211003 6,268032 7,277.62 66,110095 47,170097 36,086055 38,695026 61,572.61 64,954089 11,934060 26,894007 11,646087 69,539089 36,353049 8,633032 7 .63 Balance 1-1-52 $ 2,890'092 782.70 .1,848079 4,822.05 1,633.66 4,062095 639075 1,530020 12,500.00 9,785059 3,058.04 1,932075 4,860.04 7,437051 981030 l,ll8075 2,179055 56,000000 13,328000 10,707.96 3,586039 24,279.63 410235011 28,258025 PaYable to Viater Department Water Department Water Department Water Department Water Department Water Department Water Department Water De,artment Water Department Water Department Water Department Water Department Water Department Water Department Water Department Water Department water Department Water Department Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Water Department Vlater Department Water Department Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Bearer Interest Rate % 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1.25 1025 1025 1025 1025 1.25 1025 1~25 1025 1 1 1 1025 1025 105 105 105 1.5 105 105 105 1.5 105 105 1.5 105 1.5 Da to of Issue 6-26-50- 6-26-50 9-19-50 11-14-50 11-14-50 1-22-51 1-22-51 2-19..51 3-19-51 3-19-51 6-26-51 6-26...51 10- 8-51 12-17-51 12-1'1-51 12-17-51 12-17-51 12-17-51 6-25-51 7-30-51 9...10-51 11-12-51 11- 5-51 12..17-51 6-16-52 6-16-52 6-16-52 2-11-52 12-22-52 12-22-52 6-16-52 6-16...52 10- 6-52 11-10-52 12- 1...52 10- 6-52 11-10..52 12- 1-52 10- 6-52 11-10-52 10-20-52 11-10-52 12-15-52 11-10...52 12-15-52 Number 17 18 20 '21 23 1 3 4 6 7 11 12 13 14 15 16 17 18 1 Pr-7 2 3 4 1 Pr-8 2 3 4 5 1 2 3 1 Pr-9 2 1 ST-I0 2 3 1 ST-11 2 3 1 ST-12 2 1 ST-13 2 3 1 ST-14 1 ST-15 $270,l~69 01~ ---- $592,308o~ m9,4~90~.2 ----- '('ir'-,,"': ~:o:'W _ '. --~._, _: "" 'l:it.iJ" .-.~A::'~.~ .~,~:; """ _"";" ,-,. ",., :",": ,,"" '-'~'~:;:l'l .~ CITY OF SALINA. KANSAS GENERAL OY~RATING FUND S'rATEMENT OF RECEIPl'S. EXPENDITURES. LIABILITIES A.ND BALAIIJ'CES ~'D COMPARISON TO 1952 BU.ooET Janu~-y 1. 1952 to December 31. 1952. Inclusive Amount of Actual Over BudRet ~ 9.746.6; Actual B.udget Balance January 1, 1952 $ 14.378.20 $ 4.631.57 Receipts Ad Valorem Tax (Exh. C) $297,571.29 $298,182.93 $ Intangible Tax 22,069.42 21,550.00 519.42 Sales Tax 33,365.95 33,500.00 Cigarette Tax 26,993.11 18,000.00 8,993.11 Licenses, Fees & Permits (Sch.1-A) 36,444.10 34,000.00 2,4.44.10 Parking Meters 34,057.58 35,345.00 Franchises 56,357.33 53,000.00 3,357.33 Folice Court Costs & Fines 42,045.75 25,000.00 17,045.75 City Court Costs & Fines 4,890.88 3,000.00 1,890.88 Services and Sales 4,282.14 4,000.00 282.14 ~~": Refunds and Recoveries 16,516.10 20,000.00 Highway Maintenance 3,051.00 3,670.00 .;.: Reimbursements 1,140.50 1,503.50 Gasoline Tax 44,140.98 . 32,000.00 12,140.98 Rentals 5,211.65 7,050.00 Liquor Enforeement Tax 7,985.61 9,000.00 Dog Impoundings ' 119.00 350.00 Inspection & Examination Fees 7,816.86 7,816.86 From Water Department 10.000.00 10,000.00 ~44.907.82 Total Receipts $654.059.25 $609.151.43 Total Accountability $668,437 .45 $613.783.00 $54.654.45 Budget Charges - Sch. 1-13 $640.659.54 $613.783.00 $26.876.54 Total Budget Charges ~640.659.59- $613.783.00 $26.876.54 Unencumbered Balance 12-31-52 $ 27,777.91 $ ~777.91 Liabilities Dec. 31, 1951 $ _~91q..Sl Unenbumbered Cash Dec. 31, 1952 19,858.40 Liabilities Dec. 31, 1952 21,597.46 Cash Balance Dec. 31, 1952 $ 41.455.86 35 Schedule "1ft Amount of Actual Under Budget l.. $ 611.64 134.05 1,287.42 3,483.90 619.00 363.00 1,838.35 1,014.39 231.00 $ $ $ $ $ ~ ....;.:. .1)1'. 36 Schedule 1I1_!" GITY OF SALINA. KANSAS GENERAL OPERATING FUND c.j(,o, ~~ff"'~,~" .. ,.......'__,;.A>....~..:...;:->!,~*............__. _~. ::":"!";-~ '~-";:'" '>i"~,i~~..~;e~,,:;;:;~ '::-;;~~~.~r~~~_~',ot. ,,~";., ;;4.'~~:';-f";' ...:.t':-:';'.;;.~~-.J;~ 1J'~~~,~~~,,?,,~~~~..~~,~~~~~~T~~~~~~~~~~'~~~'~m~-~~;::.'_tt~:~,;If'~1~'"r}~~;;~>o;~1-"'-" 37 -1-<<311 Schedule :~ :~ ,'~.~. CITY OF S FUND DEJ'ARTMENTAL BREAKOOWN OF l' 2 EXPENDITURES AND DISBURSEMENTS - .' " ? E~ND~ WITH l' 2 B~T APFRO~ATIONS GENE Encumbranoes Cash. '1 nlsbursament1 1252 BuWtet'.. I _.,- ~ -'. t 12-31-52 $ $ 2,261~64; 45.46 7, 819 ~40 1,649085 32,353~53 201.30 7,392013 307066 5,754069 31.74 9,840~16 64057 1,698~90 158069 21,530.20 322033 120,278094, 285.76 8,345063~ 382.77 33,582095 5,693.03 107,572094 109058 12,208~02 7,788085 70,488.51. 703.14 80,102~~ 46012 9,784014.: 853.75 31,532082,: 2,153033 23,251047: 558.64 21,827 089~ 240.89 3, 500~74.1 7,814.5:13 . <.i '.-.j. .-~ ~1.597.46 2~oa1 Totals . Expendit~ A~tual BUdP:et._~ ' $ 2,261~64 $ 1,370~00 7,924~86 10,2lO~OO 34,OO3~38 30,120~OO 7,593.43 7,600~00 6,062.35 5,550~OO 9,811090 8,175~00 1,763047 1,61O~OO 21,688.89 2l,227~50 120,601~27 112,042~OO 8,631~39 7,325~OO 33,965.72 37,025;00 113,265~97 95,906~00 12,317~60 15,980;00 78,277~36 75,975~00 80;806.01 71,975~OO 9,830026 9,005.00 32,386057 26,877.50 25,404.80 JOpOOO~oo 22,386.53 35,345.00 3,741~63 3,300~OO 7~81~.51 7,~9~~~ 160~00 250.00 25000 25 ~OO 25.00 25 ~OO l00~OO 5~OO 25.00 25000 2,000.00 J2.66~ SundrY Actual B~et $ $ 3050 15.00 137~50 265.45 712058 8,496040 22,200~OO 950~00 500000 158035 . - . i450902000 1i.3~ 15~00 30000 BudRet 400~00 100.00 200000 2,952~00 5,100000 500~00 100.00 8,400~00 4,500000 $ 18003 4p423 031 7,324068 6,246018 426000 J47.637.06 f40.b85.00 J30.131.81 52:7~18 355054 155.00 2,159~49 Ga ilotual $ ~lies Budget $ 37 5 ~OO 1,200000 850000 100000 437050 4,(f70~00 . 50000 1,565000 6,010~OO . 375~00 13, 500~00 5,525~00 . 650 .00 1~657 !50 2,945~00 , 300~OO 1,075~OO Material Actual 385.8e; 2,857 ~12 1,OO2~98 17017 193077 673.86 3,911~90 84~60 2,373~69 8,690~41 209~90 15,037051 5,538073 1;327040 1,483.81 2,861.62 343~29 643042 $ Contra~tl!a1 Se~~s 'Actual Budget $ 995 ~OO 1,475~00 10,9'70~00 2,800000 100000 575000 10~00 2,265~00 3,345~OO 1,300~00 . 635000 7, (;116 ~oo 3;250000 2,850~00 1,750~00 , '855~00 10,445.00 28,OOO~OO 2,500~OO 2,050~00 .1,090!00 , . , t84p356..~~ $ 1,876.64 1,151~48 3,417 ~70 2,714091 71020 1,631.13 25020 3,564008 3,295..76 731079 1,482~60 12,826~73 1,166~00 3,374039 1,613015 . . 172~76 14,.574.76 24,692022 3,055~62 2, 926~ ,1,196055 J~85Q 531.Ji De camber FersonaJ. Sarvi ! Actual B~at $ 385~OO $ . '575.00 6,372~50 7,800.00 27,171038 17,600000 3,520000 3,950 000 5,973.98 5,450000 8,047.00 7,500000 1,738027 1~6~~00 17,295095 18;300~00 1ll,260.62 101;.650~00 7,815000 5,950~OO 30, 076 J+O 29,700000 87,188002 82,200000 10,676.25 12,250000 52,540.78 51.200~OO 67,407.95 60,200.00 8,330.10 7;500~OO 15,902!~ 14$ 7'50.00 7 ,972~89 7,700!OO 471~90 ' . 5,~6019 4,5oo!00 $476,022.1~ I8.yOr arid Commissioners lityManager ' llark and Treasurer :i ty Building }i ty Attorney }i ty Court >ol1ce CoUrt ~ngineering fu"() :n:spection 'ark 'ol1ca 'ilbl1c . Health ;treet, Alley and Sewer }arbage . faste Collection and Disposal ~Wage Disposal Jtre.t.... Lightirig- ~r.artic "arid Parking Control lii-port-- . . ~!i~~_ng Pool rotaJJl CITY OF SALINA. KANSAS ,~AL OPERATIOO FUND DETAIL OF EXPENDITURES - MAYOR AND COMIVT.ISSIONERS January 1. 1952 to December 3b....1952. Inclusive Personal Services Salaries --Commissioners Contractural Services Americanization Center Printing, Binding and Duplicating Legal Advertising Surety Bonds $ 360.00 145.50 1,333.64 37.50 Total Contractural Services Total Expenditures 38 Schedule Itl_alf $ 385.00 $1,876.64 ~~ l:';~'.:;"i'" :;l;'>j~,,~J";il \. - ";-S~",,' ,,,' ",.'". ';",.. 39 Schedule It l...blt CITY OF SALINA, KANSAS ,GENERAL OPERATING FUND ~TAIL OF EXPENDITURES - CITY MAllAGER January 19 1952 to December 319 1952.. Inclusive Salaries City Manager Other - Regular Other - Part Time Total Salaries Other Expenditures Automobile use allowance Telephone and Telegraph Traveling Printing, Binding and Duplicating :&ond Insurance and Social Security Total Contractural Office Supplies Books and Periodicals Total Material and Supplies Organization Dues Total Sundry Total Expenditures $4,680.00 1,590.00 102.50 $6,372.50 $ 450.00 402.26 106.49 113 .75 20.00 58.98 $1,151.48 $ 228.22 157.66 $ 385.88 $ 15.00 $ 15.00 J?:924.86 'J.'<".: ;:,> -. "', ,,': , . ""'.,',' .. ~" t. .>'~ '....':1 . '", ., CITY OF SALINA. KANS~ GENERAL OPERATING FUND DET AIL OF~EXPENDITURES - CITY CIERK AND CITY TREASUB!ili January 1. 1952 to December 31. 1952. Inclusive Wag~nd Salaries City Clerk City Treasurer City Bookkeeper Other Salaries Auditing Judges & Clerks - Elections (City) Judges & Clerks - Elections (State) Other Services Total Personal Services Contract ural Service~ Telephone and Telegraph Travel Postage Freight, Express and Drayage Printing, Binding and Duplicating Printing Election Supplies Legal Advertising Surety Bonds and Insurance Repairs, Furniture and Equipment Other ,Social Sa cmrity Total Contractural Services Material and Supplies Office Supplies Books and Periodicals Election Supplies Other Total Material and Supplies Capital OutlaY Furniture and Fixtures Mechanical Equipment Total Capital Outlay Sundry Organization Dues Total Sundry Total Expenditures $2,:).60.00 960.00 2,820.00 9,252.10 2,300~00 1,067.05 7,848..73 763.50 $ 392~70 44.65. 675.30 1:).6~64 1,10~.85 289.35 178.88 232.00 164.11 12.50 208.72 $1,44l~60 633.66 453.22 328.64 $ 202.15 325.03 $ 30.00 ",'L ' ,." ..'" . "". 40 Schedule ft1_c" $27,171.38 $ 3,417.70 $ 2,857.12 $ 527.18 $ 30.00 ~34.003.38 , . :,.~, .;{.~;-:~~. ':".- ..- "'..;,.; ,""'.:'., ''i '''''':: '~. i ':~,:';,~i.'<-!'/"' '.-"':.<~,:~i'--'~"'. \'~'.-..i ".' ';.".""-.....,..... l"f':o.' ~-.; '.~." 41 Schedule It ltood" CITY OF SALINA. KANSAS GENERAL OPERATING FUND DETAIL OF EXPENDITURES - CITY BUILDING January 1. 1952 to December 31. 1952. Inclusive Fersonal Services Salaries - Professional Total Material and Supplies $3,390.00 130.00 $3,520.00 $1,~54.33 58.49 809.27 .309.60 96.95 135.39 50.88 -- $2,714.91 $ 619.17 244.83 25.93 99.50 13.55 $1,002.98 $ 133.25 222.29 $ 355.54 J7.59~ Total Personal Services Contractural Services Building Repairs Equipment Repairs Gas Service Light and Power Service Water Servics Laundry and Towel Service Social Sa curi ty Total Contraetural Services Material and Supplies Janitor and Toilet Supplies Electrioal and Lighting Paint and Fainting Materials Tools Lumber Capital Outlay Furni ture and Fixtures Fire Fighting Equipment Total Capital Outlay Total Expenditures '<'J:"..'tti~..,'~':~: #.. '....:,.. ',,:..- >. ~-'~..,. '...~.,~ 01;....." ..t,. .":\ ',:. :""; . ,0 '~'~'-" . ,:;.:"t":. 42 Schedule "1-e" CITY OF SALINA. KANSAS GENERAL OPERATING FUND DET UL OF EXPENDITURES ::....QITY ATTORNEY JanuarY 1. 1952 to December 31. 1952. Inclusive Per~nal Services City Attorney Assistant City Attorneys Court Reporter and Special Attorney $2,700 .00 2,040.00 1,233.98 -- $5,973.98 Total Personal Services Contraetural Services S8eial Sa curi ty Total Contractural Services $ 71.20 $ 71.20 $ 17 .17 -- $ 17.17 $6.062.32 ~ria1.s and Supplies Office Supplies Total Materials and Supplies Total Expenditures ',..l ' OJ, ,~,' ,"-, !," ~.' ",_, ...'~~,;,~': J ~ "',' .,( :r.':: " .QllX OF SALINA. KANS42 General Operating Fund -I,'" .''11:.,__', ">.1. ."':i'!(/!1i'{>!."-', DET UL OF EXPENDITURES .. CITY COURT January 1. 1952 to December 31. 1952. Inclusive Personal Services Judge Clerk Marshall Other Salaries Other Services Total Personal Services Contractural Services Travel Telef.tlone and Telegraph Binding, Printing and Duplicating Social Security Total Contractural Services ~terials and Supplies Office Supplies Books and Periodicals Total Materials and Supplies Total Expenditures $3,250.00 2,100.00 2,100.00 437.00 160.00 $1,088.08 167.43 257.45 118.17 $ 174.97 18.80 .....". . ~. , ' ;...,,,,' '0,.'(' " ,. ";-:'!'."',,'-,' 43 Schedule Itl_ftt $8,047.00 $1,631.13 $ 193.77 J9':871.90 ~ CITY OF SALINA. KANSAS GENE:RAL OPERATING FUND DET AIL OF EXPENDITURES .. POLl CE COURT January 1. 122...]0 December 31. 1952. Inolusive Salaries Ju4ge, Legal Servioes Total Salaries ContraeturalServioes Social Security $1,680.00 58.27 $ 25.20 Total Contractural Servioes Total Expenditures " '" .,' ,- \.'~< ./" 44 Schedule ltl_gtl $1,738.27 $ 25.20 ~1, 763.47 ",,!., :;:I.'i~"f::';"-::'~' " ",' ..:.\,:. .~ ;,. " CITY OF SAlINA. KANSAS GENERAL OPERATING FUND "". .., ...... ,1 'i,' , ,h' " ,. :\1';: "',;..:t!< ',.'" ',"';-,-"',. 45 Schedule "I_hit DETAIL OF EXPENDITURES... E:oo.INEERING January 1. 1952 to December 31. 1952. Inclusive Personal Services City Engineer Field Engineers, etc. Appraising and Abstracting Total Personal Services Contractural Services Legal Advertising EquipBlent Repairs Fidelity Bond Travel Blue Printing and Photography Printing, Binding, and Duplicating Social Security Motor Vehicle Insurance Motor Vehicle Repairs Motor Vehicle Tire and Tube Repairs Total Contractural Services Materials and Supplies Office Supplies Motor Vehicle License Tags Motor Vehicle Fuel Lubricants Drafting and Engineering Supplies Machinery and Equipment Parts Lumber Total Materials and Supplies Capital OutlaY Furniture Total Capital Outlay Total Expenditures $ 1",620.00 1J,.,295 ,,20 1,38U.7~ --- $17,295.95 $ 2,473.70 14.85 12.50 43.11 461.04 264.52 233.65 30.62 15.24 14.85 $ 3,564.08 $ 164.02 7.50 170.90 288.94 2.50 40.00 $ 673.86 $ 155.00 $ 155.00 J21.688.89 ~... .,~' ;.. "->' ,..,< ,. '. ." ,~ .-~:;!~" ,'; ;: i 'j ;.~~ .:,- ':, mn 91 S&l,J.~ 'l~ Qt~,~",Qi~!'t+5 ''ON>> ~~., ~.~J;~~rti~ 1't ...nu .~:'A.:t1'~rx 4.""" 1. ~m "Q~f,'I" 'I. Wla l"",~~ l.m91 ~~... "" CIli.' 'l1reNa, Inape___, ft.. fotal Pw.ODU ~... bIMJ",-al ~~., T~pb" aDd 1'e1.....1* 1'......1 F..-a- ,300181 s.e.lt.,r f~trac a.,1_t., 1....... -tIl~ '8101. G.. .f;,~_ up, .ad,..WI" 5..,1. i.'.. Jeni. ft.pain ... Ihd.ldlltl .... '.td.c1.. ... Ttru .1Id '.tobN a.J)laJJoo ... ~.ohl_..,. '&ad ~cpd;pllllJ. ilIIpa1l'. .. ilK. l'ehtclH .a~ .. rin ..,...... 1am11id17 .at r~ hft'lee 'f ota1 C..ve"1U"IIl .s.......... 'I)MiN' ,.au~J~t. kpen4able 1'0018 ottt. a..Mdl_ iook. .ad Pwle41cttla ~..1.. DnII- a. lAlbora'U17 ~ut-!Jll.. '.l.aadloubri...... Janit.. .. toilet. &uppllM MM.er'Vebte1e. .. lMl.bJIlIrl........ Aft\.1trMM ..... Teh1ele ... f'anll i1ot...elGl. .. ,...... .ad ,... .._1...,... h4llut,..,. F8J't. ~....i. ',","1 iN1. f~&J"t,. QtUrOpenU.,t).PpUu JU.-..1Gal aad UP\UC .~&1a,,""" fl.,.,. Nats*' ild.ll\t..tIf~,..l.J. '.lell.. dldB1aeklal"'iaI"~la1a tot.al llh't..-t41a _.."lIPpU.. ~"~ ~111 f.... 'uratt... anct 1'1&\.... X'"tal Cay'l'bl I'Jtu'147 ~J: u.. l' O\al ha4I7 1ot.&1 _~a41..... ;,,,,'~' t 4,610.Q3 196,"~Jai , S'70..tJ 70.56 ,.,'"' tl"I.U 8.2$ 42'. SO 171.1) SOO..19 186." l26.17 16 "', ..-" 6'." 'DM 1~~~ UJ . a." 142.. 6.00 "'1.4.22 ".00 m.66 1'''1.84 1,112.?3 '/6.42 221.1.4 121.50 19.74 1..10 1)) .16 112.0:2 ,"'''-'Ii: ~ l,m.OO -IN-,jt .. - ~.J2 46 s..-u.. "1-1- $Ul,260.6J . ),261.'" i', ','11.90 . 2,1'9.49 ~' ,.~ <::i J l n.. ~~t~~t~ " ;", :"':.~:- .>;u ~" ~ " : <. ;,e.;+.; CITY OF SALINA. KANSAS GENERAL OPEIW:ING FUND DETAIL OF EXPENDITURES - INSPEaI'ION ", January 1. 1952 to Deee~31. 195~ Inclusive ~onal Services Inspectir.s Others Professional Total Personal Services Contractural Services Auto use allowance Printing, Bincij.ng and Duplicating Social Security Insurance and Surety Bonds Total Contractural Services ~aterials and SUpplies Office Supplies Books and Periodicals Total Materials and Supplies Total Expenditures $7,020.00 45.00 750.00 $ 330.00 293.64 98.15 10.00 $ 17.60 67.00 " , 47 Schedule It1..jll $7,815.00 $ 731.79 $ 84.60 $8,631.39 t'"f', ','/'> .~~; _! . t',: ;:i,\,' ",,,,,.J. . ,\'.'.': ' ,,', ' . \".' ., : ...' .. CITY OF SALINA. KANSAS GENERAL OPERATING FUND DETAIL OF EXPENDITURES ... l'ARK DEPARTMENT ,. . .',' .<: ,".. n"" . .'., 48 Schedule Itl...klt January 1. 1952 to December 31. 1952. Inclusi...e l'ersona1 Services Superintendent Other Wages Total Personal Servioes ~actural Services Telephone and Telegraph Light and Power Service Auto use allowance Insurance - Buildings Social Security Motor Vehicles - Insurance Gas Service Repairs - Buildings Repairs ... Machinery and Equipment Repairs - Motor Ve:hicle Tires and Tubes, etc. Total Contractural Services Materials and Supplies Expendable Tools Chemicals, Drugs and Laboratory Supplies Fuel and Lubricants Janitor and Toilet Supplies Motor Vehicles - Fuel, Lubricants and Antifreeze Motor Vehicles ... Tags Motor Vehicles ... Parts Motor Vehicles... Tires and Tubes Lumber Reereational Supplies Seeds, Plants, Trees and Botanical Supplies Other Operating Supplies Electrical and Lighting Supplies Machinery and Equipment Parts Paint and Painting Supplies Total Materials and Supplies Capita1.OutlaY EquiJ;ment SUndry Dues Total Expenditures $ 4,620.00 ~&6.4() $30,076.40 $ 126.62 237.21 60.00 27.00 435.6"/ 92.81 68.53, 22$.53 lS3.86 22.3? $ 1,482.60 $ 191.83 29.75 6.65 106.61 396.32 37.50 43.75 6.00 193.18 110.02 110.16 131.48 46.29 667.76 296.39 $ 2,373.69 $ 18.03 $ 15.00 ~3, 9~..2. 72 ", .:~, . . ~ \.,. ,~'" ,';.:.";". '.....,; . ...... .;','..g ..".. ". c' "M." ..~,p.. .... V1t~ Ql :ll~w'~. ij.~N~'.l ijl~~,llt 9t",(W. ~ f~. .t.IL ;'I,/l..P'*,1P1't~~ ... rJ~C;;~~~~~~~J..lI tl.-O tt, .<u~. '",~""I'. i\~ ~'S2. i.fl..IV lIr~l,ltrP~ Chlot ~ ~Uarl.. JiM1G111 O\bv r'l"ot...1G11&l f.-I t....8IIlJl MnidIJ ~wq-J. ~~.,s,.. A.\o ...11.... lelo____ td8....t. 'In.-I I_Pi \a.1J.Mt.1D Ii.... ,...u.. .Pd_..... 11ueh1.JlU.8I _.. jil~a,.,. td.l.,.lilid1nc u4' iAlpllea..,tDl I~ .ad I.... J$.odd ~.. -... 'ij'.w... .. 1,....... LlIIl' I....s... ....... ... Illt1411t1 lUipdr. .. flInd..... 3M fta'\1lrM ilAl,.1n ..h.11liIIl7 .;\'14 ~.l_a\ ..,.1l". .. ill"" Veld... ~paln ... Il.or ,.hi.. 'U.I'. ao4 r... ~"A .... "'1_- iehJJ'a ... gab i....-tJDl'- t.a~ .. 7.-1 atll"ri._ '....1 ~ftW.l 5.ni_ lI_ilJI 1~.iIPWMI I~~bl. 'eol- ott1.. S'Qfllu a..... .... PerlN1a1- a..leal.j Vn.tI "114 ........,..., l;i~&.. FM4 t_".......l. _. 1'1. Jut_ .. t.ll4tt il1a~1.. II.... '.M.olea .. ru.l.,LtiWl.- .. bUt".... .... V.w..l_ ... t.. .... '.Mol.. ... .t....... ao\.. Yehlol.. ... ti.... .~ 't1lM. 1..... ~MI"1..A ppanl ;;;tMr Q,...t-lRI $u1.='pl1.. '~OV1al aae 1.1..'1. '.n. heJMl7 04. :tl4,1I1PMat P..u f'.lat. IlWl F81"lfii~.P"U... '. .,., i 4.,"") ea","." ll2 .111 tt1.00 . J.,oa..m 1,419.00 246.6:' 2'.50 76.,40 2, 6.-.~.:17 S44.1 :1 '~.17 11 .e:i 44.16 22S.1B :!3S.~O 24S).1'1 ~.11 ,.,'" ~. .r.tI&." I ,).282.10 1':1:1." m_'2 1,156." I~l Ill! i 114.W, 614.51 aZto.a., 60.6& 1'2.26 t98 ..u 4,629." 157.00 )66." t.>66.12 E'.i' 451.e, ;s64.96 4' .ell 6.01 1.91 (Continued next page) ... }:' . .; .",.~~.., ,t' ,'.i 49 i....l. -1...1111 ~.'7 , 1@8.02 .12,126.1' ,,'Y.', ' '.'" "". 50 Schedule U I_Ill ( Continued) fhotography.SUpplies Radio Parts Total Materials and Supplies $ 244.46 _ 34.78 $ 8,690.41 ~pital OutlaY Furniture and Fixtures Automobiles Total Capital Outlay ,$ 1,412.90 -2.a.9JP .41 $ 4,423.31 Sundry Organizational Dues ~ ~ 137.50 Total ~xpendituxes J]I3:265.97 ., . . ," '.- "",',",'","'". . "'~', -.' ;;,.-. ..::-:-.... ",.'" :',.. ., .... ~.' \<'f:~' " ..~., '.1',.'; ~ft~,.'j'\f:.::o\.' "_~,, 51 Schedule 1l1_JIIIl CITY OF SALINA, K4BSAS GENERAL OPERATING FUN...Q DE~L Or EXPENDITURE? - ,fjJBqp HEALT!1 DEP~NT January 1L-1952 to ~acember }1, 1952. Inclusive Ferso~ Sarvi~ SupervisE Other Salaries Medical Total Capital Outlay $3,626.25 6,600.00 450.00 $10,676.25 $ 780.00 127,34 45.01 60.63 12.68 140.34 $ 1,166.00 $ 14.00 34.25 1.41.34 3.7; 16.56 $ 209 .90 $ 92.17 173.28 $ 265.45 $12.317.60 Total Personal Services Contractura1 Services - Auto use Allowance Printing, Binding and Duplicating Repairs - Furniture and Fixt\1.I'es Repairs - Machinery and Equipment Ice and Distilled water Service Social Security Total Contractural Services Materials and Supplies Books and Periodicals Office Supplies Chemicals, Drug and Laboratory Supplies Janitor and Toilet Supplies Machinery and Equipnent Parts Total Materials and Supplies Capital Out1~ Machinery and Equipment l!Url1iture and Fixtures Total Expenditures I; 'J,:"" '. ~_~ "", , . ", ',.. ,. . ." . "'.... ',.'.0>' .. . ". ~ ,.,.., CITY OF SALINA. KANSAS GENERAL OPERATING FUND DETAIL OF EX1'ENDITtmES - STREET. ALlEY AND SEYfBR JanuarY-I. 1952 to December 31. 1952~ Inc1us1v~ Personal Services Superintendent and Foreman Other Labor Medical Service Total Personal Services $ 4,630.00 47, 71Ju59 196.19 Contractural Services Auto use allowance Telephone and Telegraph Printing, Binding and Duplicating Social Security Motor Vehicle - Insurance Gas Service Light and Power Service Vi ater Service Repairs - Building Repairs... Machinery and Equipment Repairs - Office Furniture and Equipment Repairs - Motor Vehicles Repairs - Motor Vehicles Tires and Tubes Mis cellane ous Total Contractural Services $ 50.00 148.79 98.85 803.82 709 .42 310.97 45.91 161.85 25.55 143.72 10.00 128.86 727.24 9.41 M.fl,terials and Supplies Expendable Tools Office Supplies Fuels and Lubricants Janitor and Toilet Supplies Motor Vehicles - Fuel, Lubricants Motor Vehicles - License Tags Motor Vehicles - Parts Motor Vehicles - Tires and Tubes Other Operating SUpplies Asphalt and Road Oil Cement Electrical and Lighting Supplies Hardware Lumber Machinery and Equipment :Parts Metal and Metal Products Paint and Painting Materials Sand, Rock, Gravel and Chat $ 558.79 13 .67 84.49 15.51 and Antifreeze 3,947.27 482.00 1,378.11 396.81 42.30 1,023.28 684.99 59.76 .60 18.71 1,404..09 38.01 81.68 3,159.04 (Continued next page) . '. ,,. " .._,- 52 Schedule ill_nit $52,540.78 $ 3,374.39 53 Schedule 1l1_nu (Continued) SeW-%" :Pipe- and Tile Sweeper Parts Welding and Blacksmithing Materials Total Materials and Supplies $ 65.84 1,.378.10 20/..46 $15,0.37.51 Capital Outl~ Garage Equipment Street and Sidewalk Improvements Total Capital outlay $ 324.68 7.000.00 $ 7, .324.68 $7$:277.36 Total Expenditures .', i,~'if:.~ ~,,:~ CITY OF SALINA. KANSAS GENERAL OfERATING FUND DETAIL OF EXPENDITURES .. G.\RBAGE DEPARTMENT January 1. 1952 to December 31. 1952. Inclusive Personal Services Superintendent Drivers, etc. Medical Serrlces Total Personal Services Contractural Servi~ Repair. ~ Machinery and Equipnent Social Securit~r Motor Vehicles - Insurance Motor Vehicles - Repairs Motor Vehicles - Tires and Tubes Repaired Total Gontractura1 Services Materials and Supplle! Motor Vehicles - Fuel, Lubricants, & antifreeze Motor Vehicles - License Tags Motor Vehicles ... Parts Motor Vehicles - Tires and Tubes Expendable Tools Machinery and Equipment Parts Total Materials and Supplies Capital Outlay Trucks and Equipment Total Expenditures $ 3,420.00 63,957.45 30.50 $ 63.00 1,010.70 357.36 123 .02 59.ifl $ 3,340.84 157.50 210.90 415.95 328.01 1,005.53 54 Sched.ule "1_0" $67,4if1.95 $ 1,613.15 $ 5,538.73 $ 6,246.18 ~80.806.01 ';"~,' '~.:~~-j:~~t~J , '(',:;~.~ 'f';:"- "_~ .'" _,~i ~ 55 Schedule It l...plt CITY OF SALINA, KANSAS GENERAL OPERATING FUND DETAIL OF EXPE1IJ1HTURES ill WASTE COLLECTION AND DISPOSAL ~~ 1. 1952 to December 31. 1952, Inclusive Personal Services Drivers and Laborers Labor from other Department $7,007_90 1,322.20 Total Personal Services $8,330.10 ~actural Service~ Machinery and Equipment Repairs Social Security $ 57.8"5 114.91 Total Contractura1 Services $ 172.76 Materials and Supplies Fuels and Lubri cants Machinery and Equipment Parts Sand, Rock, Gravel and Chat Motor Vehicle Fuel, Lubricants, etc. $ 310.60 886.40 103.00 27 _~,O Total Materials and Supplies $1,327.40 $9.830.26 Total Expenditures '-~~../.'t:,'~:,'r\L~' ~; ~,' ,~ ~:, :'- i; {.-; 'j. ~~ i~ ~ :~ ... b"\;' ' , .....: '-'..;~';J'.;.~"'.;...~' ;'.:" ~:"-;':'\"'-! f.j.,'fJ. 56 Schedule Itl...qlt CITY OF SALINA. KANSAS GENERAL OPERATING FUND DETAIL OF EXPENDITURES - SEWAGE DISPOSAL January 1. 1952 to December 31. 1952. Inclusive Personal Services - Other Labor Total Personal Services Contract ural Services Auto use allowance Telephone and Telegraph Printing, Binding and Duplicating Social Security Building Insurance Motor Vehicle Insura.nce Gas Service Light and Power Servi ce Repairs - Buildings Repairs - Machinery and Equipment Repairs - Motor Vehicles Repairs... Motor Vehicles Tires and Tubes Waste Collection and Disposal Total Contractura1 Services Materials and SBEPlies Expendable Tools Chemicals, Drug and ~boratory Supplies Fuel and Lubricants Janitor and Toilet Supplies Motor Vehicles - Fuel, Lubricants and Antif.reeze Motor Vehicles - Tags Motor Vehicles - Parts Motor Vehicles - Tires and Tubes Electrical and Lighting Parts Machinery and Equipul9nt Parts Paint and Painting Materials Total Materials and Supplies CaPital Outlay Trueks Total Expenditures $15,902.00 $15,902.00 $ 300.00 288.69 9.00 235.92 254.25 26.75 22.76 10,611.03 164.56 2,208.23 14.87 3.70 435.00 $14,574.76 $ 59.51 4.53 38.64 13.59 391.04 7.50 12.28 25.00 156.77 721.81 53.14 $.1,483.81 $ 426.00 $32.386.57 , ~;~ & :c ~ Ii ;.i .~ :). t :k, :;:. f ;:- ;; ,;"1" 57 Schedule "1~rlt CITY OF SAUNA. KANSAS GENERAL OPERATING FUND DETAIL OF EXPENDITURES.. STREET LIGHTING January 1. 1952 to December 31. 1952. Inclusive Contractural ServiC86 Power and Light Service $24,692.22 Sundrl Charges to Accounts Receivable $ 712..58 $25.404.80 Total Expenditures 'i, 58 Schedule "1_." CITY OF SALINA" KANSAS GENERAL OPERATING FUND DETAIL OF EXPENDITURES - TRAFFJC AND FARKIOO CONTROL January It 19~2 to December 31" 1952. Inclusive Personal Services Wages and Salaries Total Capital Outlay $7,972.89 $7,972.89 $ 6.50 869.91 224.43 1,703.80 141.52 109.46 $3,055.62 $ 116.15 .60 434.26 481.69 1,828.92 $2,861.62 $ 666.48 298.30 880.25 580.00 5,000.00 1,071.17 $8,496.40 122.386.53 Total Personal Services Contractural Services Printing, Binding, and Duplicating Repairs - Machinery and Equipment Repairs - Radio Equipment Lights and Power Service TraTel Expenses Social Security Total Contractural Services Materials and Supplie~ Expendable Tools' Fuel and Lubricants Sign8 Paint and Painting Materials Traffic Control Parts and Materials Total Materials and Supplies Capital Outlay Permanent Signs Equipment Motorcycles Automobiles Land, Building and Fixed Equipment Other Total Expenditures - t:::';~j,:;:,'. " ~;,.(, ",..:w,.-. , 59 Schedule n I_tit CITY OF SALINA. KANSAS GENERAL OPERATING FUN~ DETAIL OF BXPENDITURES ... AIRPORT DEl'ARTMENT ~nu~y 1, 19.~2 to December 31. 122~ Inclusive Personal SerTiees Salaries and Wages Total Materials and Supplies $ $ 471.90 $ 416.02 51.80 763.70 1,115.43 572.41 7.08 $2,926.44 $ 146.54 5.21 191.54 --- $ 343.29 $3.741.63 Contractural Services Building InsuranCEl Gas Service Light and Power Service Repairs - Buildings Repairs - Machinery and Equipment Social Security Total Gontractural Services Materials and Suppli~ Electrical and Lighting Parts Machinery and Equipment Parts Paint and Painting Materials Total Expenditures ~~ l. " ~~ , r', - , '~Il '.'1;;'.'.' i.,';., - ;~t', ..,;'. ,. CITY OF SALINA. KA1'iSAS GENERAL OPERATING FUND DETAIL OF EXPENDITURES .. SWIMJ4ING POOLS January 1. 1952 to December J1. 1952. Inolusive ~rsonal Servioes Salaries and Wages Salarie s from other Department $5,836.19 40.00 Total Personal Services Gontraotural Service! Telephone and Telegraph Printing, Binding and Duplicating Gas SarTi oe Light and Pewer Service Water Service Building and other Struotures Repairs - Maohinery and Equipnent Social Security $ 6.81 20.91 11.88 96.40 124.)..0 747.36 100.88 88.21 Total Gontractural Services Materials and Supplies ChemiMls, Drug and Laboratory Supplies Janitor and Toilet Supplies Machinery and Equipment Parts Paint and Painting Materials Office Supplies $ 513.59 35.82 17.23 58.28 18.50 Total Material and Supplies SundrY Sales and Admission Taxes Remitted Total Expenditures 60 Sc..hedule lt1...u1t $5,876.19 $1,196.55 $ 643.42 $ 158.35 ~7.874.51 .....,~ " ";~::'~~:i~:,r:'):I:~./'>~:'~ ....{C __' ~ ~" _," . " , ::~' , ,., ',: ""iU: ,"' ' < ., .' '," I 61 Sc.~edu1e tt21t SITY OF SALINA. KANSAS , MEMORIAL HlLL FUND STATEIYiENT...QF RECEIPI'S. EXPENDITURES. LIABILITIES AND Bl\LANCES , AND COh~ARISON WITH 1952 BUDGET Januarv 1. 19~2 to December 31~ 1952, Inclusive Amount of Amount of Actual Budget Actual Over Actual Under $ 1,220.98 Budget rget- Balance January 1, 1952 ~ 3,92~ "lg. 772 .g ~ Receipts Ad Valorem Tax - (Exh. G) $ 1,.,705.04 $ 4,693.59 $ 11.45 $ Office Rents 600.00 480.00 120.00 Audi torium Rents 3,010.00 4,700.00 1,690.00 Sales Tax 624.08 624.08 Expenses Jleimbursed 2.25 0 2.25 Sales 585.25 751.35 166.10 Concessions 390.05 650.00 259.95 Miscellaneous 8.50 8.50 Total Receipts $ 9.925.17 ~899.o2 l.-=== $1.973.a5 Total Accountability ~13.918.99 1 120 .00 $ 728.s22 L___ Expenditures Personal SerTices - Wages, etc. $ 5,639.90 $ 5,445.00 $ 194.90 $ ,Qsmtractural Services Telephone and Telegraph $ 130.27 $ 150.00 $ $ 19.73 Miscellaneous 20.00 20.00 Gas Servi eEl 868.74 1,250.00 381.26 Light and Power Service 337.97 400.00 62.03 Wa ter Service 150.80 150.00 .80 Repairs.. Building 2,160.24 1,500.00 660.24 Repairs - Furniture and Fixtures 400.00 400.00 Social Security 84.38 ~ 84.~8 ~37.60 Total Contractural Services ~732.40 $ 3.870.00 Materials and Supplies $ $ Expendable Tools $ 35.85 $ 25.00 10.85 Janitor and Toilet Supplies 235.71 300.00 64.29 Seeds, Plants, etc. 12.56 200.00 187.44 Electrical and Lighting Parts 49.46 2oo~00 150.54 Paint and Painting Materials 6~ 300.00 $-- $ 237..06 Total Materials and Supplies $ 396.52 $ 1,025.00 628.48 ~~::J Capital OutlaY L- 0 l.Z.780.00 L $2.780.00 ~ ;t,. S'UndrY $ $ P. A. Systems, etc. $ 534~ $ 534-44 '~.,- Total Expenditures $10.303.2 $13..120.00 $ $2.816.74 :;...~ Unencumbered Cash 12-31-52 $ 3,615.73 $ $3.615.73 $ Liabilities 1-1-52 Paid __221.54 $ 3,394.19 Liabilities added 12...31-52 2.410.88 Cash Balance Dec. 31, 1952 $ 5.805.07 Ql]'! OF SAJ,IN!a-lLANSAS GENERAL AND SPECI~J;-1MPROVEI\I8NT FUND STA1'ElvIENT .QE_f!..ECEIPl'S. DISBURSEli!ENT? A.ND BKLf.PCES OF CASH Aotual. 1!; _:iiz:67. Budget 9i; 0 :ll:...-__ Balance January 1, 1952 Hecei'p~ Taxes Total Receipts Amount of Actual OVE'I" Budg~_ $ 74.67 ~\12, 525.1,.3 $12,500.00 @ 25.43 ;;p :jf12,5~] ~~12,3,90 .00 L25.43 $12,600.10 ~~12, 500.00 ~100.10 .Jt;12,500.00 W12,500.CO '.JJ $ 100.10 ~o-- ;IU00.10 '>! Total Accountability Disbursements As Budgeted Balance December 31, 1952 62 Schedu~e 1t.31t Amount of Actual Under --.l2udget _ i___ ,l' 3L-__ ;j,; r ~'f) ~-= , .'; ;';;'./:":",., ";',;:'1f;':'; CITY OF SALINA. K!NSAS .'.,,,,'11;..-.-, , GENERAL IMPROVEMENT FL~ 3'l'ATEMENT OF RECEIPrS. EXPENDITURES. LIABILITI~S AND BALANCE~ A.ND COMPARISON WITH 1~52 BUDGET Balance January 1, 1952 Receipts !d Valorem Tax (Exh. G) Sales Tax Weed Cutting - Personal Total Receipts Total Accountability Expendi tur~ f'ersonal Serv102s Wages and Salaries Professional Services Total Personal Services Contraotura1 Services Repairs.. Machinery and Equipnent Repairs - Motor Vehicles Repairs - Buildings Repairs - Motor Vehicles Tires & Tubes Social Security Repairs - Sewers Rent .. Motor Vehicles Repairs - Streets, Sidewalks & Bridges Rent - Machinery and Equipnent Total Contraotural Services Materials and Supplies Expendable Tools $ Motor Vehicle - Fuel, Lub. & Antifreeze Asphalt and Road Oil Bricks and Masonry Cement and Cement Products Hardware Motor Vehicle Parts Lumber and Allied Products Motor Vehicle - Tires, Tubes, etc. Machinery and Equipment Parts Metal and Metal Produets Miscellaneous Paint and Painting Materials Sand, Gravel, Rock and Chat Sewer Pipe and Tile Total Materials and Supplies Sundry Refunds Total Expenditures L1abilit-ies I-I-52 Paid 1952 Liabilities 12-31-52 Cash Balanoe December 31, 1952 Amount of Actual Budget Actual Over Bu~et 276.35} 19~ $ 82.41 $ $ 37 , 0'72 .40 4,4'77.36 267.00 $41.816.76 $42.093.11 $37,007 .86 $ 4,477.36 1 200 .8ir $42:986.06 $ $43.180.00 $. 64.5/+ $18,630.32 $25,000.00 $ 1.040.65 1 000 00 _ 40.65 lli&z.Q.t22 $26:000:00 $ *' 8,519.52 74.64 $ 1,000.00 $ 500.00 279.45 1,3V1.67 2,126.19 1. 002 .OQ $13.309.47 13.02 $ 2,457.18 41.46 403.25 260.97 526.85 ... 247.94 16.28 3,673.62 419.72 268.62 78.80 $ 8.407.71 L- 4.00 $41.392.1~ 7oo~9 ~L.1l ~~ $ 2.672.30 L3.288.93 200.00 8,519.52 279.45 1, W7 .67 1,126.19 2.00 $8,709"Q $,'\ 13.62 . . 300.00 600.00 1,000.00 1.000.00 $ 4.600.00 1,580.00 5,000.00 200.00 3,000.00 100.00 200.00 ~OO.OO 200.00 200.00 100.00 160.97 47.94 3,673.62 119.72 300.00 700.00 300.00 $12,580.00 $ $ _ ~L... $43.180.00 :L. ~ 4.00 ...., ...,.,*......... , 63 Schedule It 4" Amount of ACTUAL UNDER Bude:et $ $ 1.233.84 $1.169.30 $1,0~~ $6,369.68 ~,329.03 $ 925.36 500.00 200.00 600.00 $ 1,580.00 2,542.82 158.54 2,596.75 200.00 173.15 200.00 83.72 431.38 221.20 $4.172.29 ~- $1.787 .85 CITY OF SAIJNA. K~ CEMETERY FUND ~BNT OF RECEIPrS. EXPENDTTURES. IJABILITIES. AND BALANCES A.ctual Balances January 1, 1952 $ --;:p,9.89 $ Receipt!3 Ad Valorem Tax: (Exh. G) Sales Tax Burial and Removal Permits Marker Permits Lot Transfers Lots Sold Interest Received Grave Space Sold Care of Lots Miscellaneous Total Receipts Total Accountability Expendi tures Personal Services Sexton Other Salaries, etc. Total Personal Services Contractural Services Telephone and Telegraph Printing, Binding and Duplicating Social Security Insurance W ster Servi CEl Repairs - Buildings Repairs .. Machinery and Equipment Repairs - Motor Vehicles Repairs - Motor Vehicles Tires & Tubes Total Contractural Services ~ 575.60 ~ Material and Supplies Expendable Tools $ $ Fuel and Lubricants Seed, Trees and Plants Motor Vehicle - Fuel, Lub .&Antifreeze Motor Vehicle License Tags Motor Vehicle Parts Paint and Painting Materials Cement and Cement Products Sand, Gravel, Rock and Chat ~otal Material and Supplies Capital OutlaY Equipment Su.nd;'~ - Dues Total Expenditures $ 6,154.43 371.64 2,691.50 84.00 5.00 834.00 215.00 205.00 258.00 1.00 t~:~$~:f~ Budget o $ 6,138.32 371.64 2,500.00 75.00 20.00 1,500.00 150.00 350.00 350.00 100.04 ~11.555.00 $11.555.00 $ 2,700.00 $ 2,700.00 6.275.40 6.800.00 1_8.975.40 $ 9.500.OQ $ 122.22 $ 15.25 134.65 16.85 50.15 33.39 203.09 10.50 2.00 122.72 15.00 137.98 16.55 $ 30L12 $ Liabilities 12-31-52 Cash Balance Dec. 31, 1952 100.00 75.00 140.00 75.00 50.00 100.00 150.00 50.00 25.00 765.00 25.00 20.00 100.00 125.00 15.00 50.00 30.00 25.00 390.00 L-..2Q,Q.OO $ ~11,5t5.00 --""',.---- ---- Amount of Actual Over Budget $779.89 $ 16.11 191.50 9.00 65.00 00 L-_ $ 22.22 I?i: .':....4,. ~- 'lP $ 137.98 L_ ~200.00 sL~~ h-oPI 64 Schedule "51f Amount of Actual Under Bud9:et $ 15.00 666.00 145.00 92.00 99.04 ~735.43 $ ....,84.60 $524.60 $ 59.75 5.35 58.15 66.61 50.00 -ili00 $189.40 $ 14.50 18.00 100.00 2.28 50.00 :),,3.45 ~ ~ $ - 1_- $55~,22 --~" ------- ,,',',~,':i.'<::'.:. ' p ~!',";,,"t '~:""~~. \'f, L :<:., h,:'/~'t:':...:' <. CITY OF SALINA. KANSAS. PtJBLIC IllitUJrH NURSING ~ STATEMENT 9F RECEIPrS. DISBURSE:MENTS AND BA.LANCES AND CONJPARISON WITH 1952 BUOOEI J'anuary 1. 1952 to Dec~r 31.. 1952......lnc1usive Actual Budget Balance January 1, 1952 l 21.LL7 $~:49 Receipts Ad Valorem Tax Sales Tax Miscellaneous $4,152.10 $4,128.76 526.53 526.53 50.22 Total Receipts ~78:63 $4;705.51 $4.700.10 ~4.766.00 Total Accountability Disbursements Public Health Nursing Association $4.700.10 $4.766~ $4.700.10 ~~766.00 Total Budget Charges Balance December 31, 1952 $ 0 l 0 . Amount of 'Actu.al Over -Budget L-_ $23.34 L-_ 1--_ $" I L 0 65 Schedule 1t6" . Amount of - Actual Under ~udget 139.02 ~ 50.22 126.88 $65.90 -- ~it2Q 12.2JaQ ~ 0 .'" .~ ~,1 ...... 66 Schedul~ "71t ,CITY OF SALINA. KANSAS BAND FUND STATEMENT OF RECEIPI'S, DISBURSEMENTS AND_BALANCES AND CO~~ARISON WITH 1952 BUDGET January 1. 1952 to~cember 31, 1952, Inclusive Amount of &mount of Aetual Budget Actual Over Actual Under 53.4.6 Bu~et BudRet Balance January 1, 1952 $ 66.92. $ ~1 '3 46 -r Receipts $ 9.79 $ Ad Valorem TaX $5,168.84 $5,159.05 Sales Tax . 657.49 657.49 Total Receipts $5.826.:33 $~.816.24 $ 9.79 $ - Total Accountability ~~.2 $5,870.0~ $23.2~ $ Total Disbursements -Salina Bank: Board $5,870.00 $5,870.00 $ ^~. ;p $5,870.00 $5.870.QQ ~~. - -- Total Disbursements ~ Balance December 31, 1952 $ 23.~ L-Q- $23.2~ $ -- 67 Schedule 1t8" CITY OF SALINA.. I\AJ.'lJSAS LIBRARY FUN12 STATEME.NL.QF RECEIPl'2.&.-EXPENDITURES. AND BALANCES ~ID COMPARISO~. WITH 1952 BUDGET Januar~l. 1952 to December 31. 1952. Inclusin Amount of ~ount or Actual Budget A.ctual Over ~ctua1 Under 649.26 Bu~et Budf:!:et 'Balance January 1, 1952 $ $ 578.99 , 70.27 $ Receip!-~ $32,065.62 Ad Valorem Tax $31,907.59 $158.03 $ Sales Tax 3,863.22 3,863.:?2 ~928.84 ~70.8! $158.03 -- Total Receipts $ -- Total Accountability ~78.10 $36.349.80 $228.30 $ Disbursements L-_ Appropriation to Library V6.349.80 $36.342.&Q $ Total Disbursements $36.349.80 $36.349~80 $ 0 " ~ ~i Balance December 31, 1952 $ 228.lo0 b-...9- '228.30 $-- ~', r ~ .9.ll! OF SALTNA. KANS~ BINI1REED CONl'ROL FUND STATEMENT OF RECEIPrS. Ex:PENDITURES. LIABILITIES AND BAUNCES 4ND COMPARISON WITH 1952 BUDGET 68 Schedule !f9n -----.,- I 69 Sohedule "101 Hillcrest Memorial Trust Fund $; 3.14605C) 2,232,,50 ~ 5 0;;- 2.2320 0 $10,379.00 9,609.25 446.50 2231125 $100279.00 $ 100000 0 [: 100.00 Hillcrest Memorial Endowment -~ $ ~. 337 ~80 65.00 223.25 --- ~ 288.25 ~ 8.626.05 967.78 $ ~67~78 $ 7,658.27 6,500000 $14,158.27 Cemetery Endowment Fu& $ b':042084 350000 j 350,OQ $ 6.392084 4$034063 $ 4.0340b3 $ 2,358.21 11,534063 $13.892:84 $10,327041 2,650075 $12.9'78016 $200349.73 $10,769025 638076 JU.408.01 ~~ 8,941.72 $ 8,941.72 Firemen r s Relle! i'und J'Z1..879.'Zl 397 .50 153.00 1,700000 :it 17082 611260~16 $ 8~528;48 $500408019 40pOOOoOO 111678012 1,188.00 660.00 $ 6,882007 48,500000 $43. 52b .12 f55.382007 $ 70 Schedule "l0...A" CITY OF SALINA. KANSAS FIREMENtS PENSION FUND STATEMENT OF RECEIPrS. DISBURSEMENTS AND BALANCES ~ COMPARISON WITH 1952 BUOOET ~anuarY 1. 1952 to December 31. 1952. InclusiY!, funount of Amount of Actual Budget (ctua1 Over Actual Under Salance January 1, Bud/;!et -..lli!d/;!e t 1952 ~'9.743.48 $ 9.709.60 $ 33.88 $' Receipts Ad Valorem Tax $ 5,094.90 $ 5,090.98 $ 3.92 $ Sales TaX 508.92 508.92 Employees Contributions 3,166.24 3,030.50 135.74 Total Receipts [).770.06 ~ 8.630.40 ID9;~ ~ Total Accountability $18.513.54 $18.340.00 ~173.54 $ Disbursements Pensions Paid $ 8,340.00 $ 8,340.00 $ $ Refunds 191.5$ 191.5$ Total Disbursements $8:531.~ $ 8.340:00 $191.58 $ Balance December 31, 1952 $ 9.981.96 $10.000.00 $ 18.04 $ 'ioi.' ...~r' '. iJ' 71 Schedule tt10_B" m.x OF SALINA. KANSAS roUCE RELIEF AND PENSION It'UND STATEJ'vLENT OF RECEIPl'S. DISBURSEMENTS AND BALANCES AND COMPARISON WITH 1952 BUDGET January 1. 1952 to December 31. 1952. Inclusive Amount or Amount of Actual BUdget !'ctual Over Actual Under , . Budget Budget Balance January 1, 1952 $ ? .371.57. ~~9.52 $. ~O18~O~ ~cei pts Ad Valorem Tax $10,327 ./+1 $10,305.42 $ 21.99 "" 'Ii' Sales 100.00 100.00 Employees Contributions 2,650.75 2,412.99 237.76 ~12,,'9'78 .16 ~~ n~12 ..,..---- Total Receipts i_ Total Accountability $20. 349.7J $21.20?,,,OQ L-_ L.]~~27 -- -- Disbursements Pensions Paid $10,769.25 $10,858.00 $ $ 88.75 Ret'unds 638.76 350.00 288.76 Total Disbursements $11.408.01 ~-- $200.01 $ -= ;611...~08.00 Balance December 31, 1952 ~2tJ:. 72 $10.000.00 1-_ ~28 ~ ~~ry1~:::_\ . " ;;.::'i:-':'~'ii,;~j"::::i;:-<~ "', ,. "../~ ">..;::'~,~'l;.t~~-'.: '-i-i ".~)1f,:_: .'f:t:,l~~:'''::.:~!~d,) '.,,~~t.';~i>,;,~\'''J;~'( .,'.':;i1>;1:a:"'6f':~~~.,;' -. ,~~,.,.:'.t.~-_ ,~/.j.~'1i-';;!I.''; _..~.:.,~._.\.i'~.I' _ :"~_':4\(d', . ., 72 Schedule ItI1" CITY OF SALINA. K!t'JSAS INDUSTRIAL DEVELOPMENT FUND STATEMENT OF RE~IPr~-12.:T.SBURSEMENTS Al'ID B~S AND COMPARISON WITH BUDGET Januar~ 1. 1952 to Dece~..ll. 1952. Inclusive Amount of' Amount of Actual BUdget J\,ctual Over ActUal Under ~u..~ BlldRet .- B.ud,get - ~alance JanUary 1, 1952 $13~368<@42 L.__ ~5.94.50 Receipts None None Total Accountability l12,773.92- ~13, 368;42 L-=: ~.a2Q Disbursements frofess1Onal Services $ 124.91 $ $ $ 1124.91 :;r---- c= Total Contractural Services ~368-42 ,- l Total Disbursements L...:124. 91 i13,243.~1 Balance December 31, 1952 $12.649.0+ $ 0 $12.649.01 $ --- -- $125,604.60 $125,306.75? 297.85 $ 120,639.07 112,998.09 7,640.98 248.03 500.39 252.36 1,004.40 0 1,004.40 $247;496.10 1238,805~22 $ 8.690~8Z ~ ~306.776.24 ~276,756.88 ~01~ $ $ 4,300.85 $ 15,000.00 ~------- ~699.15 ~27.7IB:86 $276.756.88 $ L2.a.g38.02 :->t" ,""". ..; \. ". ",",,:. ."" ,....-!,~ ,. CITY OF SALINA. KA11SAS BOND A..1ID INT~Rli:ST FUND STAT~lViENT OF RECEIPl'S. DISBUBSEJllIENTS A...1'ID BA.LANCES AND COM~ARISON WITH 1'~~2 BUOOET Balance January 1, 1952 !!!!eiP'ts Ad Valorem TaX General Bonds Special Bonds Interest and Premiums S~cial Assessments Amount of Actual Budget Aotual Over _ __ Budget $ 59,280.14 I 37.951.65 $21.328.49 Total Receipts Total Accountability Disbursements Bond PrinciB!! General Curb, Gutter & Paving .. City Curb, Gutter & Paving - Property Sewer .. City Sewer - P. O. $ 86,000.00 $ 86,000.00 $ 42,777.12 42,777.12 owners 79,629.94 79,629_94 4,554.28 4,554.28 30,868.15 30,868.15 1"24.3.829./1:2 ~243.82..2.49 L=_ Total Principal Bond Int~~ General Curb, Gutter & Paving - City Curb, Gutter & Paving - Property owners Sewer .. City Sewer - P. O. Total Interest $ 8,043.75 3,250.66 6,774.22 133.55 1,047.12 $ 19.249.30 Jl7:52'7:32 $ 1..721:91 $ 339.~2 $ 400.00 $ Commission and Postage Miscellaneous Total Disbursements Balance December 31, 1952 U:h.Q~~ $ $39.057.~ $ 73 Schedule n 12" Amount of Actual Under Bud$i:et ;p:- ,ill $ L- r-- $ 60.78 '.., CITY OF SALINA. KANSAS WATERWORKS DEPMiTMEI\1T FUND STATEMENT OF RECEIPl'S...QISBURSEMENTS AND BALANCES AND COMPARISON WITH 19~2 BUOOET January 1. 1952 i9 December 31. 1952, Inclusive 74 Schedule It 13lf '.~.r .' ,;,.:.; . ".ji'~' ,'.,;:, ;-,,,,,;;""J;':'.:,'.~" '<<'iI."f;'i!Ifj'-..C; '"...;.""..."'.",.....~ ",,';." ',. .,'. "" .'. ." CITY OF SALIlliL....!SAJ~SAS WA.TE.R.WORK..S, DEPARTMENl' FUNJ2 STATEMENT OF DISSURSB;MENTS - YEA..'ft 1952 !ll!!L COM1?!RISON WITH B]OOET 4MOUNrS Production Expense Repair Well Pumps Repa:ir Flow Unaa RepalI' Electrl.c l!;quipnent Lubricants Power Supervision Pumping Station Labor Fuel Electric Power Misc. Supplies and Chemicals Repair Pumping Station Total Production Expense Disbtibution Expense. Labor Remove and Reset Meters Labor Meter Department RePairs Meters and Equipnent Repairs Valves Repairs Hydrants Repairs Distribution Mains Repairs Services Repairs Trucks Meter Dept. Supplies and Exp. Total Distribution Expense 75 Schedule "13-a" Amount of Amount of Actual BUDGET Actual Over Actual Under -- BuM~_ Budget $ 156.27 $ 1,000.00 $ $ 843.73 1,032.93 t,oog.gg 32.93 1,000.00 ,00 . 500.00 500.00 6,363.66 5,500.00 863.66 3,248.70 3,050.00 198.70 10,931.90 10,650.00 281.90 108.23 150.00 41.77 12,729.91 12,000.00 7:29.91 5,325.08 1,000.00 4,3:25.08 657.C17 2,000.00 1,342.93 t 40.523.75 ~37.850.00 t 2. 703.7~ $ - $ 3,406.75 $ 8,963.45 71.22 3,050.00 3,700.00 2,500.00 1,500.00 1,500.00 1,500.00 5,938.79 5,000.00 1,912.52 750.00 3,360.00 150.00 $ 23.652.71 $ 19.650.00 Commet2ia1 and General Expense Salaries - Collection & Accounting $ 10,303.50 $ Salaries - Reading Meters 9,885.50 Salaries - Administration 5,690.00 Office Supplies and Expenses 2,657.87 Stationery and Frinting 3,509.86 InsuranCe 1,300.00 Extension and Betterment 378,847.49 Depreciation 15,600.00 Traveling 566.30 Compensating Tax 35.96 Sales Tax (254.26) Transfer to 10,000.00 Social Security 994.42 Total Commercial and General Total Expenditures 9,960.00 8,400.00 8,100.00 2,000.00 3,600.00 775.00 50,000.00 14,000.00 600.00 75.00 400.00 10,000.00 $439.136.64 ~.910.00 $503.343.12 $165.410.00 $ 356.75 $ 5,263.45 2 428 78 1:500:00 1,500.00 1,500.00 938.79 1,162.52 3,210.00 $ 4.002.73 L--= '/0 Li..t1. SchurJ.",...J CITJ; OF S!l.;rn~.$.. KA.NSAS OONST,B.UGrIoti FUND STLtl'EIVlENT OF REOEIPrS DISBu.ttSEMEN'I'S NOES Bal!:.1:leeS 12~31~52 ': "'00' - or, -~S1'" · ''; o J,1e:6,,60 o 23p7Bl084 31,508.,50 2,11;.1 079 1,1:36.71 o 1,153000 o o o o o (1,704.83) (3,990.33) (7,689.42\ 1,969.11 12,978.83) 1,265.201 7,7m .82) 4,74/u46 ( 25.74) o ( 28.60) (7 $1441050) 19271059 ( 160011 'i , ,~/ o 3,1.;.78086 1,948025 1,153004 1,258 .00 o o (6,563067) Total !)isblu."sen:EH1:ts J r-, ,.. aD; -' rans~ <,y. l:, ""'6 0) t1i-' ".,.",4V 0/ - 4e80b9 .faid B orrowi~ !r~sf6l'S DISBURSEMENTS Fe.yment en Contracted __ Jobs iili - !:.and Labor and Materia.1s $ 5$1406093 Total Receipts ;jti 3,943019 ... Inclusive ~ _RECEIPrS 11 g Bond and Sales and Clrants Interest Parking and Fund ~!'L.. !ayme~t~ <: ~r 3 C,4" 1 q ;;>. 'il' 0, ,. ~ 0, <W borr6:wings De cember ~; ~h - 3~241076 31248063 4,300000 65,62/+ 077 11,363065 1913'/04.3 417 oL~ 2,416037 7,085090 584.13 34,584.40 8,186.60 1;768065 4,213.00 7,857.45 25,211.03 3,927.25 1,265.20 7,807 .15 101,148.92 25.74 8,633.32 28060 7,441.50 13,478.04 160041- 18,224085 11.~5, 889 oel 163,274'051 37,675.63 315000 44, ('34.063 165,711.96 6,563.67 50,000000 44,746094 164.,758.16 6,268032 ~ 4f.8069a 2,41b037e 7 g 085 o90b 581:.o13a 6, 84104Bb {g,'~0020)b (3,489 (19) a (5~51'7018)b 'W 1,500015 1,137043 437 01;2 810901 28060 160030 69029 160041 900050 2,377.36 2,136098 945,,91 315.00 2,776088 6,470098 559088 216.,30 188085 266070 25074 3,135076 15,531002 27,7/+2092 10,1l201B 1,768~65 4,213000 7,775.55 25,211~03 3,9'4025 1,265020 7,6l8~30 lOOp 882 022 8,633032 7,281020 13 >>408 075 17pJ24035 143,512025 161,137053 36,729072 4,663079 112000 3,248063 4,300000 93075 9p863.50 ... 1p:J.92 013 - 24,8081150 66i878.61 13pl4O:.36 1,137~43 1,59004.2 2,4160.37 6,674078 584013 34, 584040 8,186060 63~82 222067 . 168~03 27,180014 9413 042 8,633032 99033 105,893038 ~,b-:~d 64,251082 2,416037 6,674.078 584013 6,841048 1,918028 63.82 222067 '168.,03 1,'6901l 948.42. 99033 24.,808050 2,626079 1,1370.4.3 1,590.42 13,140036 27,742092 6p268032 25,211003 -'- - y' lLJ5,893038 8J1 633 032 Balances _ 3:-1..52 *: 2, 4711183 488069 .3,186060 2,055063 27,030.47 11 p 000000 887.,95 ( 3400(0) J a!!lt 411 012 $912~r;~,80 $40..483049 2 ~- .56 1;8 ";. 0 20,7 .... ~~= L601,87;3022 Asphalt.faving Curb and GuttE.:n':l.r.p 266...267 .... Chafl1n Hall Airport .sewage .Parking Lot and Meters Fluod Relief Condemnation Condemnation - Ohio Condemnation - ROach .J ob 270 271 272- 275 . 280 282 283 284 285 286 289 28'7 290 291 293 294 295 296 300 LibrarJ' Sewers - Dil to D .;)ewers .. DHA and DB: 1-32 Sewers - DR 33 - 41 Storm Sewer Easement Bond Issue 181 Bond Issue 156 - 157 Intercept:1.ng Sewer U Totals ....,... . '" . '?"!'," ,.t..,c,' CITY OF SALINA. KANSAS MATERIAL STORES STATEMEJ:JT OF BEC$IPl'S. DISBURSEMENTS AND BAL&NCES Balance January 1, 1952 Receipts Total Receipts Total Accountability Disbursements Motor Vehicle Fuel, Lubricants and Antifreeze Repairs.1. Street, Sidewalks and Bridges Office iViechaniCl,l EquiPJient Total Disbursements $10,447_14 65.97 532.80 Balance December 31, 1952 , .~;. . ": ':"'~~';:'t':." ,,,~ :1:'; ,'~ " .;~,,' . i....;~ 77 Schedule It 15" $ 2,315.56 ~:"- 11,382.15 ~13,697.71 $1l,045.91 ~ 2.651.80 . . . .,', . . .".... b ,,,',~,,,-' , ,"". ' '."c" . . .~ ~''.' :.,,~~..'; ";~'~f:-..~:'~~jY:,\" ~" ",::',~"!;~~: 78 GI'l'YOF SALINA. KANSAS VETERANS HOUSIm STATEMENl'S OF RECEIPrS. DISBURSEI\!J.8~S AND BALANCES January 1. 1952 to December 31. 1952. Inolusive Balance January 1, 1952 Receipts Rents Total Receipts Total Aocountabi1ity $8,373.18 Disbursement~ wages and ~!!! Salaries Professional Total Wages and Salaries ' $1,190.50 2?0.00 $1,440.50 Contractural Services Building Insurance Bonds and Burglary Insurance Social Seourity Gas Light and Power Water Repe.irs - Building Repairs ... Furniture Land Rent Total Contraotural Sundry Refunds Total Disbursements Balance December 31, 1952 $ 343.84 20.00 11.67 803 .56 276.38 1'1.69 3,606~14 and Equipment 72.89 485.00 $5,811.17 $ 42.10 Schedule It 16" $ 5,555.05 $8,373.18 $13,928.23 $7,293.77 ~~~ t CITY OF SALINA. KANSAS CIVIL DEFENSE FUND STATEMENl' OF RECEIPrS. DISBURSEMENTS AND BALANCES , January 1. 1952 to December 31. 1952. Inclusm Balance January 1, 1952 . Receipts , Total AccountabUi ty Disbursement;! Mis cellaneous ~2.t12 Total Disbursements Balance December 31, 1952 /'I 79 Schedule It 1711 $7,344.99 None l7..244.99, $5,249.75 ~.095~lI: gn OF SALINA. KANSAS STREEr MACHINERY FUND STATEMENT OF RECEIPXS. DISBURSEMENr.-2 AND BALANCES January 1. 1952 to December 31. 1952, Inclusive Balance January 1, 1952 Receipts Total Accountability Disbursement~ Trucks street Machinery $5,15'7.l4 1,000.00 Total Disbursements Balance December 31, 1952 80 Schedule t118" $8,393.25 None $8,393.25 $6,157.14 $2.236.11 81 Sohedule "191' Totals i15025a.ll $ 8,874.50 55,224.29 1pOOOoOO 75.00 1,CY75.00 ~66.2~8t7.2 .481.501.52 $ 4,377.50 53,904.66 1,027.03 59798010 --- :E;65.1CY7 .29 a:16,394..23 Bonds iW6. 990655 Ai. ~ 1pOOO.OO 75000 19(175.00 -~- 020150.00 '''9 ""0 55 eJ ...L..4 I. --~--- I~J. .;jl 1,025000 5,798010 $6.823.10 ~2,311.a~ _Advance _ ~ $ llli $4,377 .50 $ $8p874050 L 0 ie,,874.50 ;~4?3'77 ..50 ~80874050 -- $49377.50 $ $40377 ..50 ;E 0 .!1. 0 $8.874.50 ~ Social 00 Secur1~ $ 1.117. $ $ 44p461 030 10,762.99 $44.461030 $10,762099 $47.228.30 $11.880D67 $ $ 43,328080 10,575086 2.03 $43p328.80 ~10,577089 $ 3.899.50 $ 1..302.78 CES CITY OF S, CIEARING ACCOUNTS STATEMENT OF BECEIPl'S, DISBURSEMBNTS, Januarv 1. 1952 to December 31, , Balance Ja.nuary 1, 1952 ~ceip~ License sand Permits Withheld from Employees and }laid by City House Moving Plumber s Special Assessments Total Receipts Total Accountability Disbursements Licenses and Perrrits Remittances Refunds Special Assessments Remitted Total Disbursements Bala.nces December 31., 1952 .; ~, 82 Schedul~ It 20" OITY OF SALINA. KANSAS SUMMARY OF BANK RECONCILEMENTS December 31, 1952 Certifisd Outstanding BalaB9~ Checks Added Deposits 3ank Balances National Bank of America ~ General $139,435.42 $ 19.80 $ 350.00 $139,765.62 National Bank of America - Water Refund 569.38 408.66 160.72 Planters Stat. Bank 173,1a}.53 40,105.90 20,688.04 153,691.67 Farmers National Bank 139,482.0J 4.47 350.CO 139,827.56 Totals ~;;go;16 '40;;38.83 '21.388.04 $433,445.52 National Bank of America - Vi ater Refund Certified Balance 12-31-52 .Q:gtstandine: Check~ Undelivered but issued Issued and Outstanding National Bank of America Certified Balance 12-31-52 Outstandi~ Checks Number '918 9591 21'755 29850 Deposit in Transit Book Balance 12-31-52 Farm~ationalBank Certified Balance 12-31-52 Outstandine Checks 25001 36353 Deposit in Transit Book Balance 12-31-52 "",'..'/i'':;'''<-'..' ;',"'>~"\'. ""\.;:;r:.'~'.;'V'\ 83 Schedule 1t20...Alt CITY OF SALINA, KANSAS BANK RECONCILIATIONS Dece])per 31, 1952 Amount ~ 1.20 9.30 1.50 7.80 $139"~35.42 19.80 $139,415.62 350.00 ill9.765t~ $139,482.03 3.20 1.27 4.47 $139,477.56 350.00 $139.827.~ $ 569.38 316.29 92.37 ~08 66 L_l~0:72 ,;.,:;;).,; "..".~.., ....,.::" 'L' . '_.~;1. .~' yo, JJ1If--f. ;','."....:\ ";,;;~-';' <'0.<"", 84 Schedule It 20..AIt Con t t. Planters state ~ Certified Balance December 31, 1952 Add Deposit January 5, 1953 Outstanding Checks December 31, 1952 Book Balance December 31, 1952 Outstanding Chec~p Payroll No,,_ ~ 9448 9706 9794 Dec. 31 - Total Less Pd. 12-31 No. 1800 4976 1598 1782 190'7 10248 1957 3000 3118 3126 3129 31.36 3138 3141 3146 3151 3157 3158 3159 5092 5323 5425 5445 5608 5691 5693 5703 5704 5705 5706 57Cf7 5708 General --..L $ 35.20 10.00 1.85 136.61 10.65 .30 4.00 3.00 50..00 50.00 112.95 308..31 229.83 216.75 403.75 95.58 125.00 500.00 125.00 10.00 50.00 10.00 2.50 11.50 25.00 25.00 3,673.62 48.00 65.40 141.00 237.05 10,000.00 Total i16:7I?:85 General $173,109.53 20.688.0, $193,797.5 4O.105.~O t!53.691. rt 25,718.80 2.473.13 7.39 39.40 95.59 23,245.67 $ 23,388.05 ~6.717.85 $ 40,105.90 Total Payroll Total General ,. fI Total ":v;.......,:'.,;. ~1.'< - ~,." ,'-~:~ ~:.~. .,.'.' . .,. .-...::,-,,>:!t.:- .QllX.J2E' SAJ.dNA..~..)WiS~ CASH IN THE CUSTODY OF THE CI'l'Y COURT 85 Sched1~le 112111 w....l1 BrQQm ~~mbe:r.- 31, 1959 Certified Balance 12-31-52 Deposit 1...2...53 Outstanding Checks Number 2811 3366 3480 3548 3677 3686 3787 4054 4331 4334 4360 4518 4581 4799 4891 5014 5085 5252 5772 5973 6263 6265 6348 6415 6440 6532 6593 6786 6788-92 6794 6799 6808 6810 6815-17 6823 6838-9 6845 6854-57 6861..74 Book Balance 12-31-52 Amount $ ---:75 5.00 .75 1.45 .05 4.10 .97 .75 .75 .75 .40 .75 10.00 1.30 25.00 10.00 10.00 1.90 2.1+0 .68 .75 .75 1.50 .25 15.00 4.20 .75 5.00 155.00 5.00 9.00 5.00 5.00 130.00 1.00 2.00 1.00 131.20 1.227~2 $4,178.30 16~ $4;'341.25 rl;,777.3Q 2 563.92 'Pc, : . .",'" , "_;it~';{, ;.C'o; ;::i','rf,_~~.:,:l' ." . (..'",;1', -~ '. 1"";'!": :.... " ,.". . ,',:,;/,~;' . ;."..... ','II.., <:.:.....; " .-'. .'-' ,~ - I'.; " -, '<'''':;~.".~;!'{,'''J.-' ' 86 Schedule "22" CITY OF SALIN!. Y.ANSA.,2. RECONCILIATION OF-EISCAL AQENCY ACCOUNT De cember ~h...12.2 OutJ1~@:ndi~ Bgnds and Interest 6oupon~ Da to of Bond Coupon Il~ Issue Issue - Date Due Numb~ ~~ ~!J1 ~t Waterworks 10-1-25 10...1-36 579 22 1@ $ 22.50 $ 22.50 Judgment 1-1...38 7 -1-45 16 15 1 @ 10.00 10.00 1.... 1-46 16 16 1@ 10.00 10.00 7-1-46 16 17 1@ 10.00 10.00 1-1-47 16 18 1@ 10.00 10.00 7-1-47 16 19 1@ 1,010.00 1,010.00 Refunding 1-1-38 7 -1-45 57-60 15 4@ 10.00 40.00 1-1-46 57-60 16 4@ 10.00 40.00 7..1-46 57-60 17 4@ 10.00 40.00 1-1-47 57..60 18 4@ 1,010.00 4,040.00 7 -1-47 57-60 19 4@ 10.00 40.00 Curb and Gutter 10-1-jJ3 4-1-49 99-110 1 12 @ 8.75 105.00 10-1-49 99-110 2 12 @ 8.75 105.00 4-1-50 99-110 3 12 @ 8.75 105.00 10-1-50 99-110 4 12 @ 8.75 105.00 4-1-51 99-110 5 12 @ 8.75 105.00 10-1-51 99-110 6 12 @ 8.75 105.00 4-1-52 99-110 7 12 @ 8.75 105.00 10-1-52 88-99-110 8 13 @ 8.75 113.75 Curb and Gutter 12-1-49 12-1-52 131-1/f6 6 16 @ 5.62 89.92 12-1....52 152-184 6 33 @ 5.62 185.46 Total Bonds and Interest Coupons Outstanding December 31, 1952 $6,396.63 Fiscal Agency Statement Balance December 8, 1952 ~6.396.6~ ik..::-,;","\:_':";.,. r:;':;':,\~ _'J';,'<' ;:: _''..' :,olt','-". ':,.~,~t2:,*,':~,,,,--'. ~LQF SALINA. fu\l~S,4..S' JOURNAL ENrRIES Drt Hillorest Memorial Trust Hillcrest Memorial Endowment $285.00 Item posted to wrong fund. Cemetery Cemetery Endowment $200.00 2 Sales of Perpetual Care Posted to Cemetery in error. ..'; ~.f ",:','i _ "\.;'.-,.. Cr. $285.00 $200.00 , -.~~ t,~ :,", ;;t.';:~:,:;, ,~.":.,~ /;~, 87 Schedule 1123" :' , ~..' .. ".' " .';. :/.' , .'f.'.',,'" WATERWORKS DEPARTMENT QALINAJ, }$ANS4S FINIWCI!!i REPORT Covering the Petl2SPO!!! January 1. 1952 to Decembe!: 31, 12,8 . D. N. Turner CERIIDED PUBLIC ACCOUNTANI SALlE!. KAJ'lSAS 88 WATERWORKS DEPARTI\IlZNT FUll12 In accordance with instructions received the books and records of the Waterworks Department Fund Ci ty of Salina, Kansas haT~ been audited for the year ended December 31, 1952 and 118 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, 1952, in the manner and to the ext'nt hereinafter indicated and a general review of all revenue and expenses for the year 1952. HISTORY The Waterworks system, supplying 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 municipal activity. The Waterworks Department is governed by the City Commissioners. BALANCE SHE~ The balance sheet of the Waterworks Department as at December 31, 1952 is presented in Exhibit DA" and is briefly summarized below: Assets Liabilities. Reserves and Surplus $2,060,408.75 Surplus Reserve for Depreciation Current Liabilities Total Liabilities ReserTe and Surplus $1,497,443.36 194,212.17 368.753.32 $2,060,408.75 Plant and Property Current Assets $1,721,752.97 338,655.78 ,..' "'. : APPLICATION OF FUNDS .,'1 '.;'fl',,).--.,- , ,"', ..; /.-t.~-" 89 The Source and application of funds realized during the period under reTi.ew is shown by the following statements. Funds Provided: From net income for the year ended December 31, 1952 Over provision of Insurance Reserve Add Back Depreciation taken for the year 1952 for which no cash was required Bond Issue Increase in current assets Total Funds Prorided Funds applied: Transferred to City To adjustment Accouts Receivable - Water Service To purchase of Plant and Equipnent Easement Water Refunds Water Softener Expense, etc. Charges to Depreciation Reserve $ 69,977.49 586.49 15,600.00 332,000.00 ( 26,279.04) l391.88~ $ 10,000.00 1,157.38 378,847.49 150.00 12.04 50.00 1.668.03 Total Applied to Purchase Plant and Equipnent ~1,884& The Increase in working capital represents the net increase of current $ 4,828.04 $ 26,800.22 $ 21,972.18 9,398.00 9,953.00 555.00 715.00 .. ( 715.00 ) [J{;"..w.~ $"" 36.723.2'2 l~i~a12 sr $275.62.3.52 l2QL.902.52 $26.279.2& --- Assets over current Liabilities as foliows: Current Assets l221 $126,299.92 650.00 118,064.55 10,285.01 34,836.80 172,.76 255.52 Cash City Salina Bonds City Salina Temporary Notes Accounts ReceiTable Materials and Supplies Water Refund Cash Deferred Charges Total Current Assets ~290~564.56 Current Liabilities Accounts l'ayable Meter Deposits Expense ReserTG Total Current Liabilities Net Working CaPital 12.2 $222,778.46 o 66,855_84 14,023.96 34,836.80 160.72 Increase (De crease) $96,478.54 ( 650.00) (51,208.71) 3,738.95 ( 12.04) ( 255.52) ~4S, 691;2t" .. ~L6557i8 , ". " ',,,, ' . ,"-~1:~,.'-' 'j';,.., ,',~'i:l~",'."O'l':-"'.J . ..., .. " . .. ,,~"'''''''''''''''''{.''''~'' '0 ~.ANDPR01'E~-I The net iIlcrease in Plant and Property AccoUllts is shown in Schedule "28. CURREN! ASSETS 9a.h in Otfice ~d City 1'r..asw:'tlr: .. .. . - '. ea.h on haDd in the office was counted on January 2, 1'53 and traced at that the into the days bank deposi t8. Cash Disbursements for Meter Deposits Ref'uAd:s, Miscellaneous Pqro1l8, Freight, Express and Petty O1a'lII$ are Mde from current cash on haDd. ~~lIburse.ent tor these items are later received !rOIl the City Treasurer through apprePlP1ationa _de by the Board of City Comaissioaera. Cash i. the hands of the City Treasurer was verified and coapared with the ~ " -~ . ,-. . ". recorda of the City Clerk. The Pa1JB8nts ot vou.chers tor the Waterworks Departaellt are no. being handle' 111 the saae llaDBer a. all other f'uDd Pa1JI8nts are uder the .ame t,.pe ot authorization, aDd the warrant-cheoks are issued b,. the Cit,. Clerk and entered on his records, the same as those tor other :twlds aDd departments. - - - -' City ot SaliDa Temporary Note8 _de up the sua ot the Water Department iave8t_nt.. Those Oil. hand December 31, 1952 were examined as _11 a. all paid during the year. These Temporary Notes represent .olle,.. advallced to the C1 ty . . -. ,- -' .. by the Waterwrks Departments. Date of Issue, Interest Rate and J.mount. ot . ~ . . , - .. these Te.porary Hote. are listed 111 Exhibit ttpI, UDder the City Audit. r_' .," . - ..,.. Total b1ll1ngs tor the ,.ear plus outstandiJlg aocount. at the begiDlliJag or the year ...re accounted tor either in the tOl"ll ot cash reoeiTed during the year, discouats and rebates all....d, l?ad debts charged oft, er out8tandi.Jac accowmte due at the close ot the year. Iuentory or materials and supplies represent. the 'Yalue ot theM ....,:e.' I ,'1', ~5'.!:;.. 91 items on hand December 31, 1952, 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. Tije extensions and footings were verified. CURRE1\1T LIABILITIES Accounts payable represent amount due on open account as at December 31, 1952 as shown by the city Clerkts Purchase Order Record. The total outstanding deposits at the audit date, as shown by the General Ledger, was reconciled to the detail of individual deposit-B.: Your attention is directed to the fact the interest on Meter Deposits is not paid by the Waterworks Department in accerdance with the requirements of Section 12-1322 G. S. 1935. SU.R?WS The only changes in the Surplus Account was the addition of 1952 Gain, plus Insurance reserve and the deduction of the $10,000.00 transfer to General Operating , Easement Purchase $150.00, adjustments in Accounts Receivable Water S03rvice Softener Plant in the amount of $50.00 and $12.04 additional Water Refunds made during 1952. RESERVE Al\TD DEPRECIATION The following tabulation summarizes the changes in the Reserve for Depreciation during the year. Balance December 31, 1952 $180,2$0.20 15.600.00 $195,880.20 $ 1,668.03 $194.,212 .17 Balance - January 1, 1952 1952 Provision for Depreciation Less charges to Reserve-Autos &. Electrical Equipnent disposed of The amount added to the Reserve Account in 1952 representing the depreeiation expense for the year was calculated by us and found to be correet. The Reserve Account represents back reserve only as no funds actually set asia. or segregated. " , ... ~ ~ ., . ',~ '-" " . " ,,,. ".. , .."""., "~-;:<,,,,,':"'''''<;i'.,-l1';''''':' -. .-. ,... 92 I NSURA.NCE All Insurance purchased during the year was charged to expense. A, statement of the insurance coverage in force at December 31, 1952 is presented in Exhibit "MIt under the City Audit. FImLITY BONDS 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 "Vt in the general report, OPERATION A detailed statement of profit and. loss for the year 1952 is presented in Exhibit ltJ31t and its supporting Schedule trllt. GENER~ No adjusting entries were necessary to adjust the books to conform with the audited balance 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. , .... ,~. . ". '~". ,. .. "..,.,," ,,,,,,. .,.', , ,. '" ....,..' '.' "........~ ..'. ..... ~...'''' ",". .' ....... CITY OF SALI14. KANSAS WATERWORRS !!PARTMEy! BALANCE SHEET December 31.-!~ Fix&d Assets JUant-;iid Property (Schedule "2") Current Assets Cash in Office Cash - City Treasurer, General Cash - City Treasurer, Refund Investments City of Salina Temporary Notes Accounts Receivable ----water Service -- Service Lines ~Iltories Meter Department Operating Stores Total Assets Surplus Balance Jarmary 1, 1952 Add: 1952 Profit Surplus Reserve - Insurance Less: Net Surplus Charges 1952 Reserves and Deferred Charges Depreciation Lj.sbilities Accounts rayable Meter Deposits Bond Indebtedness Total Liabilities, Reserves, and Surplus ...... . ......~.,:... '". '~. "\ Ex..irl.bi t It All 93 Asset,! $ 1,358.07 221,420.39 ~1&0~72 i. 2,710.30 _11,313.6c? $ 12,259.58 22, 577 ~2? $1,438,248.80 69,977.49 _ 586.ir2 $1,508,812.78 11,369.~ $, 26,800.22 9,953.00 332. 000.00 $1,721~752.97 $ 222,939.18 $ 66,855.84 $ 14,023.96 $ 34,.?)6.80 $2.060.408.75 $1,L~97 ,443.36 ;$ 194.,212 .17 a 368,753.22 $2.060.408.7j ..."'..,t ., { . ..',' ".C,"','-'. '," ,"" . , ,'" lj.',.' '.' { , .' 0.. . CITY OF SAl.JJ\TlI.-,- KANSAS WATERWORKS DEPARTMENr PROFIT jJlJ'D LOSS ~TATEMENT Year Ended December 31. ~ Sales of Water , Private Consuners Railroads CountjT Bldg s. City B1dgs. City Schools Govermnent Bldgs. Penalties Total Water Revenue less Refunds Gross Receipts : ~ O~rating Cost (Schedule Itl") Depreciation Add Interest Received and Misc. Net Income .,' $1"16,697.94 2,304jJl40 . 436.30 1,526..85 1,433.80 120.10 2,087 .;6 $ 98,895.63 15116~..t99 ,.HCo '. ..' ' ~; 94 Exhibi t ltD-: $184,606.95 1, 324.7g $183,282.17 l!:J-4.,~2 2 ~6; $ 68,786.54 $ 1.1.2.Q...2.2 ~. 69,977.49 ,. ", ."..j " ,,'A.' ;<<, . .!" ',-'It"" ;. . ,Ill -', ,', l' ":., "'0'" .r Ii. l!;. '. ~ ~ .. . ',.' .'.. 95 Schedule "1" OITY OF _ SALI!!.A" K.4JJS~ WATERWORKS DEF~-.m: ~RATING COS.TS Year 1951 ComPared with Year 1952 Water SupplY ExPenses Well and Pump Repairs Electric Fower Electrical Equipment Repairs Total Water Supply Expense l'roduction Expenses Power Superintendence Pumping Station Lebor Fuel Miscellaneous Supplies and Expense Repairs, Pumping Stations, Lines and Equipment Chemicals Repairs, Electrical Power Lubricants Total Production Expense Dia\ribution Expenses Labor MO'f'ing Meters Labor Meter Department Repairs Meters and Equipment Distribution stores Distribution SerTices Distributi,on Trucks Meter Service Total Distribution Expenses COIIDllerclal and General Ex~nse Salaries - Accounting and Collections Salaries - Meter Reading and Delivery Salari.es - Administrative Office Supp1iss and Expense hinting Insurance Compensating and Sales Taxes Water Refund Salaries and Expense Traveling Social Security Total Commercial and General EXI~nse Depreciation Total Deductions 1951 Ja.8. Increase (pe.::,eas!l $ 101.53 $ 156.27 $ 54.74 4,804.41 12,729.91 7,925.50 89.54 1,032.93 943.39 $ 4.995./.$ $13,,919.11 U.923.6; $ 9,608.90 $ 6,363.66 $(3,245.24) 2,835.00 3,248.70 413.70 10,084.27 10,931.90 847.63 115.71 108.23 ( 7.48) 292.02 1,118.15 826.13 678.16 344.55 ( 333.61) 1,4.31.00 4,206.93 2,775.93 32.98 312.52 279.54 213.00 0 ( 21.3.00) $25.2,91.04 $26.634-;6'4 j" 1,343.60 $ 2,693.00 $ 3,406.75 $ 71.3.75 5,.337.80 8,963.45 3,625.65 3,099.59 0 ( 3,099.59) 960.00 3,360.00 2,~,00.00 7,663.74 5,938.79 ( 1,724.95) 1,179.70 1,912.52 732.82 452.11 71.22 ( 380.89) $21,,385.94 ~23.652.73 {i. 266!t72 $ 8,517.91 $ 10,303.50 $ 1,785.59 8,299.20 9,885.50 1,586.30 5,430~OO 5,690.00 260.00 2,423.83 2,657.87 234.04 1,610.00 3,509.86 1,899.86 1,250.67 1,300~OO 49.33 406.27 ( 218.30) ( 624.57) 1,163.50 0 ( 1,163.50) 643.82 566.30 ( 77.52) 851.70 994..42 142.72, $30,5~ $ 34" 689 .15 l.it.a...092.25 $15.151.20 U.ia2..00 ,og L~.80 $97,,420.52 $11~.t.ill.6? !E~2LC'l '".,,', '. ~.," '.,~",'" - ~".'..' . '" '"." "',,"" ", ,,',' ""~.,, . ~". .';.'" 96 Schedule "211 CITY OF SALINA, KANSAS WATERYYORKS DEPART}{lENT PIANTS MID PROPERTY ACCOUNTS Compared January 1. and December 31. 1952 Total General Equipment 1.:'1-;;2 12-31...52 Increase $ 7,277.28 $ 27,277.28 $ 20,000.00 765,677.39 999,045.U 233,367.72 50,838.17 60,838.17 10,000.00 26,184.28 106, H~4 .28 80,000.00 55,569.84 55,569.84 ... 99,327.02 130,048.70 30,721.68 $1;004.873 .9~ $1,378,96~ [274,089.40 $ 3,747.50 $ 3,747.50 $ .. 18,519.26 18,996.66 477.40 61,683.63 61,683.63 ... 34,686.93 35,163.27 476.34 47,824.04 47,824.04 ... $ 166.461.3.Q $ 167,43.5.10 L-<153.7 4 $ 14,982.86 $ 14,982.86 $ 3,580.40 3,580.40 18,750.84 18,750.84 3,069.37 3,069.37 28,545.49 28,545.49 26,L;l2.29 26,412.29 ... 3,170.43 3,170.43 15,186.88 15,186.88 27,541.25 27,541.25 $ 1.41.239.81 Llli.239.81 L - --= $ 2,282.04 ~) 2,282.04 $ 10,395.51 13,282.56 2,887.05 4,686.40 4,686.40 .. 1,269.02 1,269.02 .. 11,697.36 12,614.66 917.30 1:::]0.330 .33 ~gj34:68 L3,804.35 $1, 342,90itl& $1.721,.752.97 $378.847.42 !Gillj.bution structures and Manholes Cast Iren Mains Hydrants Valves and Valve Boxes Stand Pipe Real Estate Meter Boxes and Accessories Total Distribution Water Supply Real Estate Pump Houses and Derricks Wells Well Pumps and Meters Flow Lines Total Water Supply ~J2...iB&.. Sta ti2m! Real Estate Real Estate Improvements Pump Houses and Stock Cottage Reservoir Electrical Meters, Pumps, etc. Venture Meters Pipes and Piping Water Softener Plant Total Pumping Stations ~era1 Equi~ment Garage and Store Buildings Trueks and Compressors Chlorinator Laboratory Equipment Furniture Total All Plants and Equipment