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HomeMy WebLinkAbout1975-1976.AuditReport (2) � "1 � � � � � CITY OF CAPE GIRARDEAU, MISSOURI � � I' � ,' � � � I� � � � AUDITORS' REPORT � J UNL 30, 1976 � � � � , � � � - � TABLE OF CONTENTS � Page � Auditors' Report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1 ' General Notes . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3 � Sumroa.ry Statement of Receipts, Transfers, Disbursements and Balances by Funds . . . . . . • • • • • • • • • • • • 5 � Schedule of Receipts and Disbursements� - General Revenue Fund . . . . . . . . . . . . . . . . . . . . . . . . . . 6 � Schedule of Disbursements - By Departments - General Revenue Fund . . . . . . . . . . . . . . . . . . . . . . . . . . 7 '� Schedule of Receipts and Disbursements: ' Library Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 8 � Public Health Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . 9 Motor Fuel Tax Fund . . . . . . . . . . . . . . . . . . . . . . . . . . lU . . . . . . . . . . . . . . . . il or Fund . . . . . . . . . Munfci al Air t � P P 1958 Airport Bond, Interest and Sinking Fund . . . . . . . . . . . . . . 12 1965 Airport Bond, Interest and Sinking Fund . . . . . . . . . . . . . . 13 Federal Shared Revenue Fund . . . . . . . . . . . . . . . . . . . . . . 14 � Sewage Disposal Bond, Interest and Operating Fund . . . . . . . . . . . . . . . . . . . . . LS Sewage Disposal Project Fund . . . . . . . . . . . . . . . . . . . . . . i6 � Library Building Fund . . . . . . . . . . . . . . . . . . . . . . . . . 17 Mausoleum Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 18 Capital Improvement Fund . . . . . . . . . • • • • • • • • • • • • • • • 19 � Schedule of Source and Distribution of Locally Assessed and Public Service Corporation Taxes . . . . . . .� . • • • • • 2fl � Auditors' Statement of Responsibility for ' Supporting Data . . . . . . . . . . . . . . . . . . . . . . . . . . . . 21 � Comparison Between Budgeted and Actual Receipts and Disbursements . . . . . . . . . . . . . . . . . . . . . . . . . . . 22 � Statement of Bonds Payable: 1958 Airport Improvement Bonds . . . . . . . . . . . . . . . . . . . . . 23 � Sewage System Bonds . . . . . . . . . . . . . . . . . . . . . . . . . . 24 1965 Airport Improvement Bonds . . . . . . . • • • • • • • • • • • • • • 25 ' 1971 Industrial Development Bonds . . . . . . . . . . . . . . . . . . . 26 � 1974 Industrial Development Bonds . . . . . . . . . . . . . . . . . . . 27 Statement of Delinquent Taxes . . . . . . . . . . . . . . . • . . . . . . 28 � 29 ! Sewer Tax Collections and Reconciliation . . . . . . . . . . . . . . . . . � I Statement of Insurance . . . . . . . . . . . . . . . . . . . . . . . . . . 30 �i � ''� � �I � _:: _ _ _ __ � ' HOCHE, BARKLAGE AND COMPANY, INC. � A PROFESSIONAL CORPORATION � CERTIFIED PLIBLIC ACCOLJNTANTS 1221 BROADWAY CAPE GIRARDEALJ, MISSDURI 63701 � October 25, 1976 i � � ' To The Honorable Mayor and City Council City of Cape Girardeau Cape Girardeau, Missouri 1 We have examined the statements of cash receipts and disburse- m nts of the funds listed below of the Cit of Ca e G irardeau Missouri e � Y P > > � for the year ended June 30, 1976. � , General Revenue Fund Library Fund Public Health Fund � ' Motor Fue� Tax Fund Municipal Airport Fund 1958 Airport Bond, Interest and Sinking Fund � 1965 Airport Bond, Intere�'t and Sinking Fund Federal Shared Revenue Fund Sewage Disposal Bond, Interest and Operating Fund � ' Sewage Disposal Project Fund Library Building Fund Mausoleum Fund � ' Capital Improvement Fund � Our examination was made in accordance with generally accepted auditing standards, and accordingly included such tests of the accounting � ' records and such other auditing procedures as we considered necessary in � the circumstances. � � � - 1 - � _ '1 � � In our opinion, the accompanying statements, prepared on a cash basis, present fairly the cash balaaces of the• preceding funds of the City � of Cape Girardeau, Missouri,: at June 30, 1976, and the casli transactions for the year then ended on a basis consistent with that of the preceding � � year. � � �, � � ��, , Certified Public Accountants � � � � � � � � � ' � � � � � - 2 - � � � CITY OF CAPE GIRARDEAU, MISSOURI � ' GENERAL NOTES � The City utilizes five payroll deduction custodial checking � , accounts, whose balances are not included in the cash balance of the City � at June 30, 1976. The payrolls are shown as gross wages on the City's ' books, with the various payroll deductions deposited in separate checking � accounts. These funds are being held in custody for the governmental or � other agency for whose account the amounts were withheld. The amounts in these checking accounts at June 30, 1976, per bank verification, were � as follows: � , First National Bank: Custodian of Contribution Account $ 61,933.32 State Withholding Account 2,457.59 � F�nployees' Insurance Account 4,941.64 Library Retirement Account 73•$2 ' Employees' Retirement Fund 5,728.04 � $ 75,134.41 � The City also has various petty cash and collection funds and a � , police bond account which are not included in the City's fund balances. The City Library has four other funds, besides its General � ' Revenue and Building Funds shown in this report. One of these is a Cash � �' Collection Fund, with an ending balance of $131.08. The Library also has a State Aid Fund with a year end balance of $10,559.35, a Scholarship Fund � provided by the Missouri State Library with a year end balance of $300.00, , and a Special Memorial Building Fund with a year �nd balance of $1,204.80. � ' These other funds are detailed in a separate audit of the City Library for � the year ended June 30, 1976. � I; � - 3 - � ., � . . _ � � CITY OF CAPE GIRARDFAU, T�lISSOURI � GENERAL NOTES (Continued) � On July 5, 1975, the City entered into a depository agreement � with the First National Bank of Cape Girardeau. Pursuant to this agreement said bank had pledged $3,305,OOU.00 in securities with The First National � Bank of St. Louis, Missouri, at June 30, 1976, to secure the deposits. � , We were informed on October 25, 197b, by Mr. Thomas M. Utterback, City Attorney, that the City has various cases where the City may be repre- � ' sented concerning pending or contemplated litigation. � The largest two cases in monetary value are Stovall v. City, and Green v. City and Jackson Excavating Co. Stovall v. City involves a lawsuit �� over a construction contract. Green v. City and Jackson Excavating Co. � involves a lawsuit seeking to surpress tax bills of the Country Club Sewer project. Mr. Utterback believes the City has a strong defense in these � cases, however, the C ity's contingent liability could range from $ 0 to � $ 409,000. There are three other cases pending or in litigation in which the � ' City's liability may be between $1,000.00 and $8,000.00 as estimated by � Mr. Utterback. The City h�s also filed a lawsuit for the purpose of attempting � to collect $17,U00.00 from Western Casualty Company. This suit is basically I a products liability-contract case. Mr. Utterback believes that the City � will recover a major portion of this amount. � ' � � - 4 - A _ ZZ'LL9'S5Z'Z $ 00,00096L9`T` ZZ'LL9`9LS $ 9AOUV SV 'SMMA 'IZV ZVSOS sgzsodep emTq u? gseO squn000e SuTXaaga u? gseO :Nuvq Teuo?geN qsx?a :a0 ONIISISNOO '9L61 'OE SNAP 'HONV'IVU 33'LL9'99Z'Z $ T6°£T6'Z£17'8 $ £1'T69'889'OT $ - $ 6T'T69'889`01 $ 66'O76`6LZ`L $ 7T°059`807'£ 060Z8Z'7OT $ 7£°LL.6`E6Z 960881'£95 L£'686`L68`Z 96'881'E79 TL'996`T6T'£ 00'L9Z'56E 1L°669'96L`Z £Z'87£`9Z£ 0£°TO7`SZO'Z T7'86Z'89L 9L'7Z9'O7 L90LOL`8 990T7T.'19 - 8£'877 900991'6 - 50095T`6 SL'ETS`S 0£'Z79'E Z9°Z9S4971 650TZ£`69Z 814T77'£OZ - 97'600'OST 650TZE`69Z - 65'TZE`69Z 9L'LZO'9L.S 76'809'££ 59'ZTL'9£Z $ ZL'7££`75£'7 Z6`8ST.'L7 ZL'7£8`.967`7 $ 5£`605 LZ'899'L7 - LZ0899`L7 xpo6', 6S'9EZ'7 89'T£7`£7 (qau) spun;; go a1geZ?pne 5Z'S90'In xea<S aci�cg 5L61 'T IT'886'19Z saoueTeg 9£'ESO'£79 - 9£'£SO`£79 spung Tpgoq L£'Z57`7L7 66`009`89Z Tpgoy 98'TCZ'66Z Z9* 1709'90Z 8L'6LL'69 T7"I£9`00L 5£`LLT'7S 89'Z7S`L2 IZ'E999666 Z6'189'09Z 97'ZZ9`L6 (00'000`08T) LZ"£98`6LT.`T m L6'189'09Z 97'ZZ9'L6 01°710`679 10'S0£'LL SZ'E68'L LV 678'0£5 96'9LE'£8T TZ'6ZL`68 81'7ZZ'£Z 98"926'£9 70'IST'LS 00°£EZ'L 700BT6'6L TO -L'71'98 x(L6'8ZZ`9) 060Z8Z'7OT 90°906`857 960881'£95 (00'000`08) 96'881'E79 CLO 079'LTC £Z'87£`9Z£ 6/'915`OZ 9L'7Z9'O7 990T7T.'19 - 55'T7T'T9 SO'Z58'£*i 05068Z'LT 9S'8L8`95 Z9°Z9S4971 8T0177`£OZ 814T77'£OZ 97'600'OST ZL°T£7'ES 9L'LZO'9L.S $ 96'90£'61L'£ $ ZL'7££`75£'7 $ (OO'005`Z71)$ ZL'7£8`.967`7 $ £7'999'T09'£ $ 6Z'89T.'668 $ 9L6T `0£ aunp xpo6', xo; aTgeTTeae (qau) spun;; go a1geZ?pne xea<S aci�cg 5L61 'T ATnr saoueTeg sguauaasxngs?Q spung Tpgoq sueoT pup epunT Tpgoy sgd?aoaH saaupTeq pagsnCpV sxa3suexq pazTxoggnV 9L61 'O£ SNAP OHQNS XV97, UOd 'SaMaJ Ag SHONVIVg QNV SSNSWHSNAHSIA 'S21Haso-al 'SSd"EaDmT HSVO aO lmaNalvis mWWAS fmOSSIW `fivanV31I9 SaVO a0 7,1IO - S - -puna anuanag TexauaN go uo?gxod a paxap?suoo ST puna gxodx?V Ted?o?unW agy* sTegoy 6T aSed 'puna quamanoxdml TegTdea 81 aSed 'puna mnalosnuW LT abed 'puna SuTpTTng CxexgTj 9T aSed `puna go@Coxd Tesod.sT.Q 99emaS 5T aSed 'puna EuTgexadO pup gsaxaqui `puog'Tesods?0 a2wmaS 7T aSed 'puna anuanag pexvgg Texapaa £T abed 'puna Su?�ju?s pup gsaxaqul 'puog gxodx?V 5961 ZT aSed 'puna Su?Nu?S pup gsaxaqul 'puog gxodx?V 896T TT aSed 'puna gxodx?V TadTo?unx O1 a$ed 'puna xey Tana xogoX 6 aSed 'puna ggTeali o?Ignd 9 aSed 'puna Xa eagTT 9 aSed 'pun,j anuana8 Tex9ua0 � _ � '' CITY OF CAPE GIRARDEAU, MISSOURI , SCHEDULE OF RECEIPTS AND DISBURSEMENTS � GENERAL REVENUE FUND FOR YEAR ENrDED JUNE 30, 197b � BALANCE IN FUND, JULY 1, 1975 $ 895,168.29 ' RECEIPTS, TRANSFERS AND LOAN REPAYMENTS: ( Sales tax receipts $ 1,6�9,192033 Locally assessed and public service corporation taxes, page 20 373,960.10 � ' Intangible property taxes 31,582.85 Street tax bills 42,500.12 Merchants licenses 180,997.92 ( Missouri Utilities Company Iicense 466,414.73 Southwestern Bell Telephone Company license 27,500.00 Vehicle licenses 88,025.10 � Parking meter receipts 35,978.00 Police court fines, etc. 111,441.01 ' Engineering department 37,994.36 � ' Cemetery receipts 8,430.OU Cigarette stamps 119,345.14 ' Swimming pool receipts 15,946.71 � �' Arena maintenance receipts 21,88U.83 �� Various expense item reimbursements 14,875.75 Waste disposal receipts 196,142.31 � Street oiling reimbursements 4,0�0.45 County share of court house expense 5,710.40 ' Miscellaneous receipts 1,065.12 � Rents 1,500.00 Sale of equipment, signs, etc. 3,737.08 Subdivision plat review and recording fees 700.00 ( Police security guard receipts 18,3U0.33 Outsid� fire protection 1,700.00 Dog licenses 604.00 I '� Interest on delinquent taxes and collection fees 3,436.90 Interest on investments 61,582.73 '� Police pd,ygraph Craining reambursement 4,074.00 f Police communication equipment reimbursement 8,982.00 � Street lights - Route K reimbursement 7,020.00 Public service employee program reimbursements 57,006.16 � $ 3,601,666.43 ' Transfer from Federal Shared Revenue Fund 180,0OO.OU i Transfer from Motor Fuel Tax Fund 80,000.00 ' Loan repayments from 1958 and 1965 Airport Bond, Interest and Sinking Funds 380.80 :i Total receipts, transfers and loan repayments 3,862,047.23 $ 4,757,215.52 DISBURSEMENTS, TRANSFERS AND LOANS: , Disbursements, page 7 $ 3,779,306.96 , Transfers to Capital Improvement Fund 402,500.00 Loans to 1958 and 1965 Airport Bond, Interest and Sinking Funds 380.80 Total disbursements, transfers and loans 4,182,187.76 � BALANCE IN FUND, JUNE 30, 1976 $ 575,027.76 - 6 - L7°ELT`68E$ T0'8L9`961$ L6'Z W SZ$ 90-Z66`5ZT$ 66'Z09`££17$ T£'978`169$ L9'LTE`6LL$ 917°099`88$ £0"£99`8171`1$ 96'90E`6LL`£$ 00°000`9 - - - _ - 00'0009 9L'L1T`5 660E96 - 99015 - _ £608L ZE'6Z1 ZL'LOZ`£ 9£'6'75`6 - - 88'979`7 - - - - 89'ZLO`ST 99°619`61 960LZL`Z E9018£ Z9'179L°617 T90£L9`Ll 17°5-0£`£' 56'509`£ 99'OZO`9 6L'EZ8°Z SL'69 00°9ZL 00°005 OT°TLL 00'07 ET'6Z9 L6°£SL Z8'69£`Z S£'ZZE`9I TZ0866'8 5£'072 - 00°598 990L.99`Z - 99°L.OZ`T. - o0°0£ - 08'179S - 68'OZE ZZ'91£ 87'9176 07'ZT7`Z TZ°007`01 LZ°69L`6 177900Z`LZ 9L'87T`17Z SZ'8£T`L9 - OS'EL8`1 170'756`1 6E°£LI`L OO"000`ET - - 66'066`179 L8'SOS`ZL 8£'6£L`Z 9Z,"9LG`8S Z9'969`L LE ES£ 7L67'ZZ, L£'90Z`OT.I 69°966`£ TZ°7Z8`9 - 61'8ZE - 6Z°T9-£`-861 8L°987`9 00'LLO`ZZ 7Z°97L`9 OL°1786`S8"t E8460E`OZ 9£"£ZE`9S9 ZL°Z6£`6Z 0Z'8L 88'Z9L`998`1 86'904Z 711°T7T`TZ $ L8'£77B£ 717'7917`7 $ LZ°££S`TZ $ 76°L*79`SE $ - 6E°179Z`9 $ - 70°9£1 IPsodstQ i4uawjxsda0 9L'175£`Z 9L°T9Z 00'000`1 ZE'TBZ`OZ 76"70£`ST 96°ZT7`£T 10`ZL6`9L7 L9'1799 OT 6809ZZ O£4808`oT 97°LT9`S 55'£9 176'687`1 LZ''7L*i `L7£ - 99'ZIE'TT 07°891. 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Equipment and vehicle 2,326.00 Total disbursements 40,624.76 BALANCE IN FUND, JUNE 30, 1976 $ 20,516.79 � � � � � � ,� �I �i ;i !'i � I� - 9 - Ii � ,, ! __ __ _ _ � � _ --- � _ _ � � � � � I CITY OF CAPE GIRARDEA.U, MISSOURI � SCHEDULE OF RECEIPTS AND DISBURSEMENTS MOTOR FUEL TAX FUND � ' FOR YEAR ENDED JUNE 30, 1976 � BALANCE IN FUND9 JULY 1, 1975 $ 325,3/+8.23 � ', RECEIPTS: Motor fuel tax receipts $ 295,393.43 Interest on investments 18,742.86 � , State of Missouri, traffic study participation 3,704.44 !', Total receipts 317,840.73 � ,, $ 643,�88.96 I DISBURSEMENTS AND TRANSFERS: � ' Street construction and repairs: Good Hope Street and Bridge $ 75,367.57 Mount Auburn Road 238,072.01 � Sloan Creek 145,466.48 Total disbursements $ 458,906.06 � ' Transfer to General Revenue Fund 80,000.00 Total disbursements and transfers 538,906.06 BALANCE IN FUND, JUNE 30, 1976 $ 104,282.90 � ; � ' j � � � �; � � I - 10 - f� ,, � � CITY OF CAPE GIRARDEAU, MISSOURI � SCHEDULE OF RECEIPTS AND DISBURSEMENTS � MUNICIPAL AIRPORT FUND FOR YEAR ENDID JUNE 30, 1976 � � , BALANCE IN FUND, JULY 1, 1975 (Footnote) $ (6,228.97) ' RECEIPTS AND TRANSFERS: � Rentals and landing fees: Agricultural lease $ 22,759.64 Ozark Airlines 9,578.10 � , Restaurant 2,257.85 United States Treasury Department 8,OU2.28 Cape Central Airways 26,100.00 � Air Illinois 99$.00 ,. Trans-Mo. Airlines 798.00 Sign displays 120.00 ' � 'I SEMO Aviation 990.00 '� ;� $ 71,603.87 '! Commissions on auto rentals 13,915.00 ��! � 1 Miscellaneous receipts 235.59 'I Interest on investments 392.55 �� $ 86,147.01 I� Transfer from Capital Improvement Fund 7,233.U0 � Total receipts and transfers 93,380.01 ' $ 87,152.04 ' � '' DISBURSEMENTS: '' Equipment, etc. $ 7,256.00 � , Salaries 19,094.54 Utilities 17,433.37 Repairs, maintenance and trash service 10,810.09 � Various supplies 5,540.28 Drainage taxes 603.65 � Communications 1,051.49 F.I.C.A. taxes and insurance 2,122.44 Miscellaneous 19.00 � Total di,sbursements 63,926.86 � BALANCE IN FUND, JUNE 30, 1976 $ 23,224.18 � � ��� Footnote: Municipal Airport Fund is considered a part of the General � Revenue Fund, which had a beginning balance of $895,168.29. This separate fund is maintained for accounting purposes. Ii � I ;I ,i � - 11 - � _ _ _-- , _ _ _ � � � � � � CITY OF CAPE GIRARDFAU� MISSOURI � SCHEDULE OF RECEIPTS AND DISBURSEMENTS 1958 AIRPORT BOND, INTEREST AND SINKING FUND � FOR YEAR ENDED JUNE 30, 1976 �� � � BALANCE IN FUND JULY 1 1975 $ &9,729.21 > > II RECEIPTS AND LOANS: � Loc$lly assessed and public service ; corporation taxes, page 20 $ 86.63 ; � Interest on investments 7,806.62 ! Loan from General Revenue Fund 107.70 '; Total receipts and loans 8,000.95 � '; $ 47,730.16 ; � DISBURSEMENTS AND LOAN REPAYMENT: Bonds retired $ 25,000.00 Interest and handling charges 2,842.68 � Repayment of loan to General Revenue Fund 107.70 Total disbursements 27,950.38 !'� � BALANCE IN FUND, JUNE 30, 1976 $ 69,779.78 ;� � � ' � � � II !; j� � 'i - 12 - �i i� -; _ - - -- _ _ i --__ � � � � � �I �I , CITY OF CAPE GIRARDFAU, MISSOURI F� , , SCHEDULE OF RECEIPTS AND DISBURSEMENTS 1965 AIRPORT BOND, INTEREST AND SINKING FUNU � FOR YEAR ENDED JUNE 30, 1976 � II BALANCE IN FUND, JULY 1, 1975 $ 183,376.96 �,, � RECEIPTS AND LOANS: �; Locally assessed and public service � '� corporation taxes, page 20 $ 59,525.92 � ' Interest on investments 17,779.09 j; Loan from General Revenue Fund 273.10 ,, � Total receipts 77,578.11 $ 260,955.07 � DISBURSEMENTS AND LOAN REPAYMENT: Bonds retired $ 30,000.00 Interest and handling charges 24,177.35 � ' � '' Repayment of loan to General Revenue Fund 273.10 Total disbursements and loan repayment 54,450.45 � BALANCE IN FUND, JUNE 30, 1976 $ 206,504.62 �� � ' � � � ,i � '' , �� � ',i - 13 - � � _ - __ _ _ _ _ � � � � � � CITY OF CA�''E G�RARDEAU, MTSSOURI � SCHEDULE OF RECEIPTS AND DISBURSEMENTS FIDERAL SHARED REVENUE FUND FOR YEAR ENDID JUNE 30, 1976 � � BALANCE IN FUND, JULY 1, 1975 $ 530,849.17 RECEIPTS: '� � ;, Federal revenue sharing receipts $ 608,269.00 Interest on investments 40,745.10 ,i Total receipts 649,Q14.1d � ', $ 1,179,853.27 DISBURSEMENTS AND TRANSFIItS: � , Police building site and building $ 545,368.71 Park.�de�►elopments 47,730.31 � Sewer project 107,532.39 � Total disbursements $ 700,631.41 � ,' Transfer to General Revenue Fund �� (Approximate net cost of waate � , disposal operation) 180,000.00 Total disbursements and transfers 880,631.41 BALANCE IN FUND, JUNE 30, 1976 $ 299,231.86 � !; � � � � ;�. ;� � - 14 - � � � � � CITY OF CAPE GIRARDEAU, MISSO�tI � SCHEDULE OF RECEIPTS AND DISBURSEMENTS � SEWAGE DISPOSAL BOND, INTEREST AND OPERATING FUND FOR YEAR ENDED JUNE 30, 1976 � ,, BALANCE IN FUND, JULY 1, 1975 $ 268,600.99 ' � ' RECEIPTS: Taxes collected, page 29 $ 247,865.99 � Change fund decrease 100.00 ' Interest on investments 24 881.56 � Expense reimbursements 1,604.82 ��i � ',� Total receipts 274,452.37 ' $ 543,053.36 � II DISBURSEMENTS: '' Equipment $ 89,161.00 � I Salaries and wages 53,657.93 � ;i Bond retirement 55,000.00 II Interest and handling charges 22,109.71 � Utilities 19,872.44 ;i Repairs and maintenance 10,102.92 ��j , Various supplies 5,154.72 � , F.I.,C.A. taxes and insurance 3,148.02 Water usage analysis 1,716.74 Communications 1,272.62 � i Travel 223.91 , Refunds and miscellaneous 207.10 Publications, dues, books, etc. 161.00 � Change fund increase 20U.00 Total disbursements 261,988.11 BALANCE IN FUND, JUNE 30, 1976 $ 281,065.25 � ' � �j , � Ii � I ;� � � - 15 - � �; � ' _ _ _ .: _ _ � � � � � , � � CITY OF CAPE GIRARDEAU, MISSOURI � ' SCHEDULE 0� R�CEIPTS AND DISBURSEMENTS SEWAGE DISPaSAL PROJECT FUND � FOR YEAR ENDED JUNE 30, 1976 � BALANCE IN FUND JULY 1 1975 , , $ 43,431.68 '� RECEIPTS: � Iat rest on i est ents e mi m 4 236. 9 �� � 5 � ; � $ 47,668.27 ' i �� � � DISBURS$MENTS: � � j' Easement costs of: '! West End and Northeast Sewex Projects 509.35 BALANCE IN FUND, JUNE 30, 1976 $ 47,158.92 � �-_ � � � � � � � �i - 16 - ; � � � � � � � � CITY OF CAPE GIRARDEAU, MISSOURI � ' SCHEDULE OF RECEIPTS AND DISBURSEMENTS LIBRARY BUILDING FUND � FOR YEAR ENDED JUNE 30, 1976 � BALANCE IN FUND, JULY 1, 1975 $ 235,71Z.65 � RH7CEIPTS: Locally assessed and public service corporation taxes, page 20 $ 10,907.91 � Interest on investments 22,701.03 Total receipts 33,608.94 $ 269,321.59 � DISBURSII�iENTS - ! BAIANCE IN FUND, JUNE 30, 1976 $ 269,321.59 M� � � � � � � �� � , - 17 - F! ' _ , � � � � � � � CITY OF CAPE GIRARDEAU, MISSOURI � � ' SCHEDULE OF RECEIPTS AND DISBURSEMENTS I MAUSOLEUM FUND � FOR YEAR ENDED JUNE 30, 1976 � ' BALANCE IN FUND, JULY 1, 1975 i' ; $ 3,642.30 '� � I' RECEIPTS: � Interest on investments $ 513.75 '�� Bequest, Ruby Hirsch Estate 5,000.00 � �; Total receipts 5 513.75 � ;; $ 9,156.05 �' � "' DISBURSEMENTS: � ! :.�iaintenance 448.38 !! � BALANCE IN FUND, JUNE 30, 1976 $ 8,707.67 � � �,�, � � � { � ii �I� � I� - 18 - � � ___--_-- _ : . __ ;; � � � � � � CITY OF CAPE GIRARDEAU, MISSOURI � SCHEDULE OF RECEIPTS AND DISBURSEMENTS CAPITAL IMPROVEMENT FUND ,� FOR Y'EA'�t �DLD J1JNE 30, 1976 � BALANCE IN FUND, JULY 1, 1975 $ 76$ 298.41 � � RECEIPTS AND TRANSFERS: State grants - secondary sewage plant $ 317,925.00 U. S. Government grants - secondary sewage plant 1,591�124.00 � U. S. Government grant - Lefarth tract 19,610.00 ' U. S. Government grant - Renfrow tract (TFain Trees) 50,000.00 Expense item reimbursement 15.00 � ' Interest on investments 49,727.30 ; $ 2,028,401.30 Transfer from General Revenue Fund 402,500.00 ITotal receipts and transfers 2,430,901.30 $ 3,199,199.71 � DISBURSEMENTS AND TRANSFERS: � Instrument landing system - airport $ 17,299.65 � ' Secondary treatment plant dev.elopment 2,396,101.35 Park planning and developing 39,220.00 Overlay program 234,983.30 � Capital improvements - airport 10,385.07 Lorimier School purchase 200,000.00 $ 2,897,989.37 � Transfer to Airport Fund 7,233.00 Total disbursements and transfers 2,905,222.37 I BALANCE IN FUND, JUNE 30, 1976 $ 293,977.34 , 1 ! t ! I ( - 19 - f _ _ � � CITY OF CAPE GIRARDEAU9 MISSOURI � SCHEDULE OF SOURCE AND DISTRIBUTION OF LOCALLY ASSESSED AND PUBLIC SERVICE CORPORATION TAXES � FOR YEAR: ENDED JUNE 30, 1976 � SOURCE: Persona.l property taxes: � Assessed for year 1970 $ 41.74 Assessed for year 1971 38.00 Assessed for year 1972 52.36 � Assessed for year 1973 112.37 Assessed for year 1974 1,006.89 Assessed for year 1975 87,887.89 � Total personal property taxes collected $ 89,139.25 Real estate taxes: � Assessed for year 1970 $ 127.18 Assessed for year 1971 518.70 Assessed for year 1972 691.05 ( Assessed for year 1973 2,882.18 Assessed for year 1974 5,299.78 Assessed for year 1975 455,979.21 ( Total real estate taxes collected 465,498.10 � Merchants and manufacturers ad valorem taxes: � Assessed for year 1970 $ 5.64 , Assessed for year 1971 ,95 '-' Assessed for year 1973 4.25 M Assessed for year 1974 73.25 � Assessed for year 1975 43,153.85 Total ad valorem taxes collected 43,237.94 � Total locally assessed taxes $ 597,875.29 Public service corporation taxes received 29,804.61 � TOTAL LOCALLY ASSESSED AND PUBLIC SERVICE CORPORATION TAXES $ 627,679.90 � DISTRIBUTION: ' General Revenue Fund, to page 6 $ 373,960.10 Library Fund, to page 8 140,669.91 Public Health Fund, to page 9 42,529.43 1958 Airport Bond, Interest and Sinking Fund, to page 12 86.63 1965 Airport Bond, Interest and Sinking Fund, to page 13 59,525.92 Library Building Fund, to page 17 10,907.91 ' DISTRIBUTION OF LOCALLY ASSESSED AND PUBLIC SERVICE CORPORATION TAXES, TOTAL AS ABOVE $ 627,679.90 - 20 - � c... ... \\ �\ � � � � � � AUDITORS' STATEMENT OF RESPONSIBILITY � FOR SUPPL�N�ARY DATA � 'I'he follawing information is not an integral part of the � basic cash statements, but is submitted for supplementary purposes. Except as otherwise noted on the individual pages, it has been tested � in coi�nection with our original examination of the basic cash state- ' meats, and subject to those exceptions, is fairly stated in all re- spects material in relation to the cash statements taken as a whole. - 21 - ! � ' � � � � � f+I CITY OF CAPE GIRARDEAU, MISSOURI �'! � STATII�IENT OF BONDS PAYABLE AS OF JUNE 30, 1976 � 1958 AIRPORT IMPROVF.MENT BONDS D�ATED � DECEMBER 1, 1958 IN AMOUNT OF $295,000.00 ' �i � Interest �,� Bond numbers rate Due date Principal Interest Total ,i � September 1, 1976 $ 954.00 $ 954.00 i�, 243 thru 268 3.6'/o March 1, 1977 $ 26,000.00 954.00 26,954.00 September 1 1977 486.00 00 " � 486. � ', 269 thru 295 3.6% March 1, 1978 27,000.00 486.00 27,486.00 ' $ 53,000.00 $ 2,880.00 $ 55,880.00 A � i3 � �� � � � � � � �; � - 23 - i I � - -: _ �� � � � � CITY OF CAPE GIRARDEAU, MISSOURI � STI�TEMENT OF BONUS PAYA$LE AS OF JUNE 30, 1976 � SEWAGE SYSTEM B�ONDS AUTHORIZED IN AMOUNT OF $1,598,000.00 I)P,TED MAY 1, 1963 IN AMOUNT OF $1,000,000.00; LIATED MARCH l, 1966 IN AMOUNT � OF $80,000.00; I�ATED DECII�ER 1, 1970 IN AMOUNT OF $80,000.00 � Interest Bond numbers rate Due date Principal Interest Total � 1963 ISSUE: August 1, 1976 $ 1U,160.00 $ 10,160.00 566 thru 620 3.00'/, February 1, 1977 $ 55,000.00 10,i60.00 b5,1tb.0U � August 1, 1977 9y335.00 9,335.t�� 621 thru 680 3.00'/, February 1, 1978 60,000.00 9,335.fl0 69,3�5.00 August l, 1978 8,435.Ofl 8,435.Ofl � 681 thru 740 3.00% February 1, 1979 60,000.00 8,435.00 58,435.00 August 1, 1979 7,535.00 7,535.Ufl 741 thru 800 3.00'/, February 1, 1980 60,000.00 7,535.00 67,535.4�➢ � August 1, 1980 6,635.00 6,635.00 801 thru 8b5 3.�0'/, February 1, 198L 65,000.00 6,635.04 71,b35.fl0 August 1, 1981 . 5,660.00 5,660.00 � 866 thru 930 3.00'/o February l, 1982 65,000.00 5,660.00 70,b60.0� August 1, 1982 4,685.00 4,685.t�i7 931 thru 1000 3.10'/, February 1, 1983 70,000.00 4,685.00 74,b85.C10 � August 1, 1983 3,600.OU 3,6�0.0� 1 thru 25 (1966 Issue) 3-7/8'/o February 1, 1984 25,000.00 1,55U.00 26,55(�.Ofl 1 thru 5 (1970 Issue) 5.40'/, February 1, 1984 25,000.00 2,050.00 27,050.fl� � August 1, 1984 2,440.62 2,�+O.b� 26 thru SO (1966 Issue) 3-7/8'/, February 1, 1985 25,000.00 1,065.6� 26,065.62 6 thru 10 (1970 Issue) 5.00'/o February 1, 1985 25,000.00 1,375.00 2b,375.00 � August 1, 1985 1,331.25 1,331.25 51 thru 80 (1966 Issue) 3-718'/a Februsry 1, 1986 30,000.00 581.25 30,581.25 11 thru 16 (197Q Issue) 5.00% February 1, 1986 30,000.00 750.00 30,750.Q0 � $ 595,000.00 $ 119,633.74 $ 714,633.74 � � � � - 24 - � � � � � � CITY OF CAPE GIRARDEAU, MISSOURI 1 � STATIIKENT OF BONDS PAYABLE AS OF JUNE 30, 1976 , � 1965 AIRPORT IMPROVEMENT BONDS DATED MARCH 1, 1966 IN AMOUNT OF $880,000.00 � Interest � Bond numbers rate Due date Principal Interest Total September 1, 197b $ 11,462.50 $ 11,462.50 46 thru 52 3.5% March l, 1977 $ 35,000.00 11,462.50 46,462.SU � September 1, 1977 10,850.00 10,850.00 53 thru 59 3.5'/o March 1, 1978 35,000.00 10,850.00 45,850.Ofl September 1, 1978 10,237.50 10,237.50 � 60 thru 72 3.5'/o Ma.rch l, L979 65,000..00 10,237.50 75,237.50 September 1, 1979 9,100.00 9,100.00 73 thru $5 3.5'/o March l, 1980 65,000.00 9,100.00 74,100.00 � 5eptember 1, 1980 7,962.50 7,962.5� 86 thru 99 3.5% March 1, 1981 70,000.00 7,962.50 77,962.50 September 1, 1981 6,737.50 6,737.Sfl � 100 thru 113 3.5'/o March 1, 1982 70,000.00 6,737.50 76,737.50 September 1, 1982 5,512.50 5,512.Sfl 114 thru L28 3.5'/o March 1, 1983 75,000..00 5,512.50 80,512.5tJ � September 1, 1983 ` 4,200.00 4,200.00 129 thru 143 3.5'/a March 1, 1984 75,000.00 4,200.00 79,200.00 September 1, 1984 2,887.50 2,887.50 � 144 thru 159 3.5`/o March 1, 19f35 80,000.00 2,887.50 82,887.50 September 1, 1985 1,487.50 1,487.50 160 thru 176 3.5% March 1, 1986 85,000.00 1,487.50 86,487.50 � $ 655,000.00 $ 140,875.00 $ 795,875.00 � � � � � - 25 - 1 � [ ; CITY OF CAPE GIRARDEAU, MISSOURI � STATEMEN'T� OF BONDS PAYABi�E AS OF JUi�JE 30, 1976 � 19?1 INDUSTRIAL D�v'VELOPMENT BONDS DATED � FEBRUARY 1, 1971 IN AMOUNT OF $2,345,000.00 � Interest Bond numbers rate Due date Principal Interest Total � August 1, 1976 $ 79,306.25 $ 79,306.25 58 thru 72 5.5'/o February 1, 1977 $ 75,000.00 79,306.25 154,306.25 August 1, 1977 77,243.75 77,243.75 � 73 thru 88 5.50-/o February 1, 1978 80,000.00 77,243.75 157,243.75 August 1, 1978 75,043.75 75,043.75 89 thru 105 7.75'/o February 1, 1979 85,000.00 75,043.75 160,043.75 August 1, 1979 71,750.00 71,750.00 � 106 thru 123 7.75% February 1, 1980 90,000.00 71,750.00 161,750.00 August 1, 1980 68,262.50 68,262.50 � 124 thru 143 7.75'/o February 1, 1981 100,000.00 68,262.50 168,262.50 August 1, 1981 64,387.50 64,387.50 144 thru 165 7.75'/o February 1, 1982 110,000.00 64,387.50 174,387.50 � August 1, 1982 60,125.00 60,125.00 166 thru 189 7.75'/a February 1, 1983 120,000.00 60,125.00 180,125.00 August 1, 1983 55,475.00 55,475.00 � 190 thru 215 7.75% February 1, 1984 130,000.00 55,475.00 185,475.00 August 1, 1984 50,437.50 50,437.50 216 thru 243 7.75'/o February l, 1985 140,000.00 50,437.50 190,437.50 � August 1, 1985 45,012.50 45,012.50 244 thru 273 7.75'/o February 1, 1986 150,000,00 45,012.50 195,012.50 August 1, 1986 39,200.00 39,200.00 � 274 thru 306 8'/o February 1, 1987 165,000.00 39,200.00 204,200.00 August 1, 1987 32,600.00 32,600.00 307 thru 342 8% February l, 1988 180,000.00 32,600.00 212,600.00 � August l, 1988 25,400.00 25,400.00 343 thru 381 8% February 1, 1989 195,000.00 25,400.00 220,400.00 August 1, 1989 17,600.00 17,600.OU � 382 thru 423 8'/, February 1, 1990 210,000.00 17,600.00 227,600.00 August 1, 1990 9,200.00 9,200.00 424 thru 469 8% February 1, 1991 230,000.00 9,200.00 239,200.00 � $ 2,060,OOU.00 $ 1,542,087.50 $ 3,602,087.50 � Note: Collections of rental income from HWI and disbursements for principal and interest payments are made by Fort Wayne First � National Bank, Trustee. Public funds are not involved in this bond issue. ! � - 26 - � � � � CITY OF' CAP� GIRARDEAU, MISSOURI � STATEMENT OF BONDS PAYABLE AS OF JUNE 30, 1976 � 1974 INDUSTRIAL DEVELOPMENT BONDS DATED - OCTOBER l, 1974 IN AMOUNT OF $2,000,000.00 � Interest Bond numbers rate Due date Principal Interest Total � 16 thru 31 7.5'/, October 1, 1976 $ 80,000.00 $ 76,212.50 $ 156,212.50 April 1, 1977 73,212.50 73,212.50 � 32 thru 48 7.5% October 1, 1977 85,000.00 73,212.50 158,212.50 April 1, 1978 70,025.00 70,025.00 49 thru 67 7.75% October l, 1978 95,000.00 70,025.00 165,025.OU � April 1, 1979 66,343.75 66,343.75 68 thru 87 7.75% October l, 1979 100,000.00 66,343.75 166,343.75 April 1, 1980 62,468.75 62,468.75 � 88 thru 108 7.75'/o October 1, 1980 105,000.00 62,468.75 167,468.75 April 1, 1981 58,400.00 58,400.00 109 thru 131 8'/, October 1, 1981 115,000.00 58,400.00 173,400.00 � April 1, 1982 53,800.00 53,800.00 132 thru 156 8% October 1, 1982 125,000.00 53,800.00 178,800.00 April 1, 1983 48,800.00 48,800,00 � 157 thru 183 8'/o October 1, 1983 135,000.00 48,80U.00 183,800.00 April 1, 1984 43,400.00 43,400.00 184 thru 213 8'/, October l, 1984 150,OOU.00 43,400.U0 193,4U0.00 ` April 1, 1985 37,400.00 37,400.00 �! 214 thru 2�+5 8'/, October 1, 1985 160,000.00 37,4UO.U0 L97,400.00 April 1, 1986 31,000.00 31,000.00 � 246 thru 279 8'/a October 1, 1986 170,000.00 31,000.00 201,000.00 April 1, 1987 24,200.00 24,200.UU 280 thru 316 8'/, October 1, 1987 185,000.00 24,200.00 209,200.00 r April 1, 1988 16,800.00 16,800.00 �! 317 thru 356 8'/o October 1, 1988 200,000.00 16,800.00 216,800.00 April 1, 1989 8,800.00 8,800.00 � 357 thru 400 8`/o October 1, 1989 220,000.00 8,800.00 228,800.00 $ 1,925,000.00 $ 1,265,512.50 $ 3,190,512.50 � - Note: Collections of rental income from HWI and disbursements for I principal and interest payments are made by Fort Wayne First � National Bank, Trustee. Public funds are not involved in this bond issue. { � i - 27 - � � � � � � � CITY OF CAPE GIRARDEA.U, MISSOUR.I � STATEMENT OF DELINQUENT TAXES AT JUNE 30, 1976 � � Merchants and Year Personal Real manuf�cturers � assessed Total property estate �d valorem 1970 $ 3.10 $ $ 3.10 $ � 1971 2,210.84 1,590.87 304.95 315.02 1972 2,427.91 1,662.23 685.44 80.24 � 1973 4,138.48 2,499.17 1,348.61 29fl.70 � 1974 8,331.74 2,401.17 5,276.56 654.01 1975 14,122.17 2,364.94 11,481.36 275.87 � TOTA.LS $ 31,234.24 $ 10,518.38 $ 19,100.02 $ 1,615.$4 1 NOTE ON DELINQUENT TAXES: � The above outstanding delinquent taxes represent the ampunts carried on the � City Collector's books and outstanding tax bills. We did not confirm these amounts with the individual taxpayers. I M ( I � - 28 - � � � � CITY OF CAPE �IRARbEAU M , ISSOURI � SEWER TAX COLLECTIONS AND RECONCILIATION � FOR YEAR ENDED JUNE 30, 1976 � Outstanding tax bills, June 30, 1975: Current 1975 tax bi11s $ 156,740.65 � Delinquent tax bills 33,568.60 $ 190,309.25 Additional billings to 1975 tax bills 18,199.58 � 1976 tax bills 290,357.31 Tota1 bi21s to be accounted for $ 498,866.14 � Cash receipts during year, to page 15 $ 247,865.99 Add: Discounts $ 7,395.77 � Adjustments 3,393.50 Caacellations 17,400.99 $ 28,190.26 � T.ess penalties levied during year 3 616.00 � 24,574.26 Outstanding tax bills, June 30, 1976 (Footnote) 226 425.89 � Total bills accounted for, as above $ 498,866.14. � Foofinote: The breakdown of the outstanding bills at June 30, 1976, is as follows: '� Billed in year 1976 $ 190,118.92 Billed in year 1975 26,003.64 � Billed in year 1974 6,719.31 Bi11ed in year 1973 790.95 Billed in year 1972 921.18 � Billed in prior years 1,871.89 $ 226,425.89 � � 1 � - 29 - ( � � � a� a� � � � a� � �-+ G7 N � O U A O O V CL '� c+'1 r-1 O N .C. r� • O W � � O GJ ,C O C � � ci7 U � O � a o au �v • a� oo a� � � oo � r� a�i r-i a�+ � o a.� o o � �v``�'i�o c{� L?� p vd v�• -R p 'L1 �O � ia �+ ia a� � � �r1'O �O y,O .a � N ia O CT' �N �O t? i�+ .-1 �, a a� o � � vr o �n � v� F-a U ,r,� „ � �'CJ a? 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PAUL MERCURY INSU�ZANCE COMPANY POLICY N0. 185ZA0450 � Fire and lightnix�g, extended coverage 90'/, co-insurance clause: � BuiZding Contents Total City Hall $ 233,000.00 $ 4,500.00 $ 237,500.00 Library 143,000.00 - 143,000.00 � Rueseler Building - 35,000.00 35,000.00 Fire Station ��l 135,000.00 15,000.00 150,000.00 Street Department Building 26,500.00 - 26,500.00 � Police Station 96,000.00 48,800.00 144,800.00 Bandstand 35,500.00 35,500.fl0 Bathhouse 3.5,500.00 - 35,500.00 � � Airport Hangar 110,000.00 s 110,000.00 Airport Shop and Office 138,000.00 138,000.00 Grandstand, Baseball Park 21,600.00 - 21,600.00 � , Fire Station ��2 58,000.00 5,OU0.00 63,OOO.UO Fire Station ��3 58,000.00 5,000.00 63,000.00 Fire Station ��4 92,000.00 8,800.00 100,800.00 � Pump Station 53,0OO.Ob 36,500.00 89,500.00 : ' Airport Terminal Pilot Supplies Building 248,000.00 5,500.00 253,500.00 " Airport Terminal and Restaurant 63,000.00 12,000.00 75,000.00 � Mausoleum 122,000.00 � 122,000.00 Arena 850 000.00 10 000.00 860 000 00 > > > . Fort "D'� 28,000.00 - 28,000.00 � $ 2,546,100.00 $ 186,100.00 $ 2,732,200.00 ' � SUPPL�LMENTARY SCHEDULE OF PREMISES COVERED BY ' ( ST. PAUL FIRE & MARINE INSURANCE COMPANY POLICY N0. 585JD7325 AND POLICY N0. 585XAS115 City Hall, 49 N. Spanish Street Public Library, 46 N. Lorimier Street Arena Building, Arena Park � � Fort "D", (W. Fort & Giboney) (S. Fort & Elm) : Houses, 1836 Perryville Road and 17 S. Sprigg Street The foregoing summary of insurance protection is presented on the basis of un- audited information obtained from policies on file in the city's office. The summary does not include the various policies on which the city is named as additional insured. The adequacy of the coverage was not investigated by the auditors. j; ' - 32 -