HomeMy WebLinkAboutVillage Audit Report-1955 HANLEY, ZIMMERMAN MOEN
ACCOUNTANTS AND AUDITORS
24 SO�UTH SIXTH STREET
MINNEAPOLIS 2, MINN.
ATLANTIC 2394
Apri12, 1956
Mr. Russell Jones, Village Clerk
Village of Braoklyn Center
Hennepin County, Minnesota.
Sir;
We ha.ve examined the accounts and records of the Village of Brooklyn
Center as of December 31, 1955 and for the year then ended. Qur examinatian
was made in accordance with generally accepzed auditing standards and,
accordingly, included such tests of the accounting records and such other auditing
procedures as we considered necessary in the circumstances, with the exceptions
stated below.
For the purposes af this report, it was necessary to combine the special
assessment funds, 1953 A and 1953 B. The tax settlement receipts during the
1954 relating thereto had not been praperly identified and the infornnation necessary
for proper segregation has not been avail.able up to this date.
Since a portion of the funds obtained for Civil Defense purposes consists
of �voluntary contributions from individua.ls, and it was not feasible to obtain
independent confirmation of such receipts, our examination relating to such funds
was limited to a review of internal control over the amounts recorded in the
accounts.
In our opinion, with the exceptions stated above, the over all representations
contained in the statements submitted in this report present fairly a summary of
the financial transactions of the Village of Brooklyn Genter during the year 1955
and a report of its cash position as of December 31, I955 on a modified cash
basis of accounting applied on a basis consistent with that of th.e previous year.
As pertaining to the Village Municipal Liquor Store, the accompanying balance
sheet and the statement of income and expense present fairly the financial con-
dition of the Village of Brooklyn Center Municipal Liquar Store as of December 31,
1955 and the results of its operations for the year then ended, in conformity with
generally accepted principles of acco-unting applied on a basis consistent with that
of the preceding year.
In the course of our exa.mination noth.ing came to our attention wh.ich would
indicate that the accounts are not correct as stated and also we found no indications
of any violation of public trust.
Re spectfully submitted,
HANLEY, ZIM RMAIV MOEN
��ti� i�,/,�,
Luther Moen
Certified Public Accountant
RECUMMENDATIONS AND COMMENTS
Recommendations
Several instances were noted where th:e internal control procedures
followed in the recording and transacting of Village business were inadequate
and in need of improvement.
1. Cash on hand in the Village offices should be reconciled to a
sumrnary of receipts at least weekly. This proceduxe would
facilitate the loeation af errors shortly after they occur.
2. The faulty procedure for the handling of unissued licenses,
permits and other forms which are issued upon the receipt of
payment has not been corrected. We again recomrnend that all
such books and forms not in use be inventoried immediately and
that provision be made for their storage under lock and key in the
custody af a designated responsible indi.vidual not charge:d with the
duty of i�suing licenses and permits. New books should be issued
by the custodian only upon the presentation of a complete-d or
expired boQk properly filled out, with voided receipts, licenses
and permits attached. Before filing the completed books away
for future reference, the custodian should assure hirnself tha.t they
are in order and that the voided items are properly defaced to
pr�vent theix re
3. The intexnal control procedure in accounting for issuances of
traffic violation tickets should be extended. �'he pre-numbered
traffic ti.ckets presently in use are adequate in that they are in
bound form and provide for an original and three carbon copies
one of which remains attached. However, groper use is not being
HANLEY, ZZMMERMAN d�v MOEN
Page Two
REGOMMENDATIONS AND C�MMENTS
3. Continued
made of the copies. pne copy should be transmitted to the
finamcial assista.nt y.n order that he may compare thern: with the
Justice of Peace reports, to determine that proper di$position
is being made of a11 tickets issued.
4. In 1955, the Village maintained seven separate bank accounts to
handle the various special assessment funds. The procedure of
having separate bank accounts of itself is satisfactory. It creates
additional work, however, which can be reduced because the
Village now has a full time accountant in .its employ. It is
recommended, therefore, that the seven special assessment
I bank accounts be consolidated into one special a.ssessment bank
accaunt and that the segregation as to special assessment funds
be:n�:aintained only on the baoks of the Village.
5. Since 1953, the Director of Civil Defense for the Village has been
engaged i.n soliciting volunta:ry contributions fro.m the public in
order to augment the civil defense program. The directox has
stated that he deposited all such receipts in a checking account
titled ���Tillage of Brooklyn Center Civil Defense" and that a11
checks drawn on this account were co-signed by hi.m and his
assistant.
In the opinion of IVIr. F`raser, your Village Attorney, the legal title
to these funds is vested in the Village Gouncil. In accordance with
this ruling, th� `Tillage Council therefore must exercise full
control over the civil defense grogram rather tha.n nomina.I control
HANLEY, ZTMMERMAN dz MO�N
Page Three
RECOMMENDATTONS AND COA�iMENTS
5. Continued
as in the past. Instead of the bank account being under the control
of the Director, it must be u.nder the direct control of the Gouncil.
In other words, all receipts of the program must be deposited
by the Treasurer and all checks drawn on the account must be in
payment of duly authorized verified accounts and must be signed
by the usua:l individua.ls charged with the responsibility of signin,g
checks.
It follows, also, that the Village must rnaintain a complete accounting
record of the financial txansactions pertaining to the civil defense
program i.n piace of the informal records previously maintained by
the Director.
6. A discussion of procedures and comments pertaining to the operation
of the Village Municipal Lzquor Store will be found under separate
cover, "Vil.lage af Brooklyn Genter, Municipal I�iquor Store, Audit
Report, F'or The Year Ended December 31, 1955j�,
Comrnents
Additional funds esta.blished during the year were:
1. 1955 A Special Assessment Fund -$497, 000 bond issue
for special constructian,
2. Bond Fund A fund established to account for the issuance of
Cextificates af Indebtedness and the expenditure of the proceeds
for the purchase of street equipment. Certificates were issued
in the amount of $5, 000. 00 face value.
HANLEY, ZIMMERMAN MOEN
Page Four
RECC�MM�NI�ATIONS AND C�C3TvIMENTS
3. Certificates of Indebtedness Fund (9-1 -55 issue} a special
revenue fund established to account for the payxnent of principal
a:nd �nterest on certificates of indebtedness issued.
The Village funds, with the exception of the Municipal Liquor Store Fund,
axe presently maintained on a modified cash receipts and disbursements basis.
The accounts of the Municipal Liquor Store are maintained an an accrual basis
similar to commercial enterprises of the same nature. The Village acticities
are rapidly expanding and the system of aceaunting should be gradua.IXy changed
to the accrual basis for better accounting and budgetary control in line w2th the
rapid exgansion.
�j
HANLEY, Z.iMMERMAN d� MOEN
Village of Brooklyn Center
TNDEX OF STATEMENTS SUBTvIITTED
December 31, 1955
Exhibit Clne Combined Balance Sheet All Funds
December 31, 1955
Exhibit Two General Fund
Analysis of Changes In Unexpended Fund Balances
Year Ended December 31, 1955
Exhibit Three General Fund
Statement of R,evenue and Non-Revenue Receipts
Yea�r Ended December 31, 1955
Exhibit Four General Fu.nd
Statement of Disbursements and Expenditures
Year Ended Decernber 31, 1955
Exhibit Five Working Capital Fund
Statement of Receipts, Disbursements,
Resources and Obligations
Year Ended December 31, 19�5
Exhibit Six Municipal Liquor Store Fund
Balance Sheet
December 31, 1955
Exhibit Seven Municipal ,I,iquor Store Fund
Income and Expense Statement
Year Ended December 31, 1955
�xhibit Eight Municipal Liquor 5tore Fund
Analysis of Surplus Changes
Year 1955
Exhibit Nine Spe cial Revenu.e �'und s
Staternent of Receipts, Expenditure and
Une�ended Balances
Year Ended December 31, 1955
Exhibit Ten Fire Department Relief Association (a trust fund�
Statement of Receipts, Expenditures and
Une�ended Balance
Year 1955
Exhibit Eleven Bond Fund
Receipts and Expenditures
Year Ended December 31, 1955
HANLEY, ZIMMERMAN dc MOEN
Page Two
Village of Brooklyn Center
IND�� 4F STATEMENTS SUBMITTED
December 31, 1955
��iibit Twelve Special Assessment Funds Construction Cornpleted
Balance Sheet
December 31, 1955
E�ibit Thirteen Special Assessment Funds Construction Completed
Statement of Receipts, Expenditures and
Fund Balances
Year Ended Decernber 31, 1955
Exhibit Fourteen Special Assessment Funds Construction in Process
Balance Sheet
December 31, 1955
Exhibit Fifteen Special Assessment Funds Construction in Process
Statement of Receipts, Expenditures and
Fund Balanees
f Year Ended December 31, 1955 e
Exhibit Sixteen Sta.tement of General F�ed Assets
December 31, 1955
Exhibit Seventeen Statement of Genexal Bonded Debt and Interest
December 3I, 1955
HANLEY, ZIMMERMAN dc MOEN
Exhibit C3ne
Vil.lage of Brooklyn Genter
CfJMBINED BALANCE SHEETS�-ALL FUNDS
Dec-ember 31, 1955
Special
�Voxking Municipal Special Trust Funds Assessment Funds General General
General Capital Liquor Revenue Fire Dept. Work Work in Fixed Bonded
Total Fund .F'und Funds Funds R.elief Assoc. Gompletad Prace�s Assets Debt
ASSETS
Cash on hand 9, 751, b6 327. 15 ?70. Q3 29. 20 1, 625. 28
Gash in bank 25Q, 38$. 73 6, 825. 49 66, lb 43, 506. 40 14, 617. 24 5, 598. 75 48, 577. 91 131, 19b. 78
Cash with County
Treasurer 1, 215. 52 l, 215. 52
Certificates of deposit 8, 814. 9� 8� 81`.�• 9�
Due from other funds 1, 755, 81 8, 50 69. 06 1, 678. 25
R.eceivable from oiling I
assessments 1, b12, 09 1, 612. 09
Merchandise inventories 33, 691. 49 33 691 49
Receivables 66. 97 66. 97
Prepaid supplies and expenses 8b9 86 869 86
Buildings and improvements65, 676. 95 65, b76 95 I
Machinery and equipment 78, 715. 41 1, 960. 00 76, 755. 41
Furniture and fixtures 8, 392. 60 4, 401. 49 3, 991, 11
To be provided for principal
and/or interest in
future year 926, 960. 00 297, 000. 00 599, 500. 00 $30, 460. 00
I.,and 1, 195. 85 1, 195. 85
Special assessment pro-
jects complete 394, 988. �4 394, 98$. 74
Tota.ls $1, 7$4, 096. 58 $7, 1�1. 14 $1, 678. 25 $92, 266, 24 $15, 861. 96 $14, 413. 65 $345, 646. 9? $734, 000. 31 $542, 608. 06 $30, �60. OQ j
LIABILITIES
Accounts payable and
deposits 7, 180, 55 1 Q. 00 7, 170. 55
Due employees 3b5. 87 76.37 289.50
Accrued taxes and pensions 2, 185. 79 1, 720. 23 465. 56
Due to other funds 1, 755. 81 69. O6 $1, 678. 25 8, 50
Accrued interest expense 779. 15 779. 15
Interest payable future years 3 960 00 3, 960, 00
Bonds payable 967, 000. 00 44, 000. 00 $297, 000. 00 $599, 500. 00 26, 500. 00
Liabilities 983, 227. 17 $1, $75. 66 $1, 678. 25 $52, ?13. 26 $297, 000. 00 $599, 500. 00 $30, 460. OQ
FUND BALANCES AND SURPLUS
Fund balances ?66, 5�.2,. 2? $5, 285. 48 $lb, 919. 24 $14, 413. 65 48, 646 97 $138, 678. 8? $542, 608. 06
Fund deficit 5, 235. $4) 1, 057. 28) 4, 178. 56)
Surplus 29, 091. 06 $29, �91. 06
Surplus-Restricted 10, 461. 92 10, 461. 9Z
Fund Balances, Surplus 8A0, 869. 41 $5, 285. 48 $39, 552, 98 $15, 861. 96 $14, 413. 65 $48, 646. 97 $134, 500. 31 $542, 608. 06
Totals $1, 784, 0�36. 58 $7, 161. 14 $1, 678. 25 $9Z, 266. 24 $15, 8b1. 96 $14, 413. 65 $345 646 97 $734, 000. 31 $542, b08. Ob $30, 460. 00
HANLEY, ZII�IMERMAN 8s MOEN
E�iibit Two
Village of Broo'klyn Center
GET�tERAL FUND
ANA�...YSLS C�F CHANGES IN UNEXPEND�D FUND BALANGES
Year Ended December 31, 1955
Unexpended Fu.nd Balance, January l, 1955 8, 510. 53
Add:
Adjustment of prior year's pension accruals 11. 34
Adjustment for transactionsof the civi�
defense department not pxeviously
recorded on the books of the Village 405. 97
Receipts per Exhibit Three 116., 220. 69 116, 638. 00
Total Balance and Additions $125, 148. 53
Deduct;
Adjustment for payment of 195I withholding
tax errors 117. 69
Disbursements per Exhibit F-our 119, 745. 36 119, 863. 05
Unexpended Fund 13alance Decembex 31, 1955 5, 285. 48
Ht1NLEY, ZTMMERMAN d� MOEN
E�iibit Thr e e
Village of Brooklyn Center
G�NERAL FUND
STATEMENT OF R.EVENUE AND NCJN RECEIPTS
Year �nded Decernber 31, 1955
Taxes
General property real and personal 61, 293. 62
Share of state liquor taxes 4, 455. 36
Share of state cigarette taxes 4, 026. 96
Total Receipts Taxes 69, ?75. 94
Licenses and Permits
Building permits $11, 155.20
Plumbing permits 6, 385. 54
Sewage permits 6, 155. 00
Well permits 3, 7Z0. 00
Heating permits 3, 155. 00
Plumbing licenses 980. 00
Dog �icenses 571. 00
V1�e11 drillers licenses 520. 00
Heatzng licenses 500. 00
Cesspool installers licenses 340. 00
Gesspool cleaning permits 288. 00
Cigarette Licenses 286. 00
Dump licenses 125. 00
Off sale malt licenses 40. 00
C,arbage collectors 2Q. 00
Service station licenses 17. 00
Tota.l Receipts Licenses and Permits 34, 257. 70
Fine s
Justice of Peace fines 1 963 55
Service Charges and Other Receipts
Street work, etc. 946. 37
Assessm:ent searches 451. 00
Condemnation proceedings 171. 21
Miscellaneous (Filing fees, etc. 9. 83
Total R.eceipts Service 1, 578. 41
Non-Revenue Receipts
Civil defense expenditures refunds (inspection
fees and government refunds for equipment
expenditures� 628.01
Adjustment on village road equipment repairs 500. 00
Insurance premium adjustments 363. 78
Sale of dirt 151. 50
Sale of street signs discarded 105. 00
Refunds received on office supplies purchases 37.50
Sale of maps 29• 75
Miscellaneous 21. 82
Total R.eceipts Non-Revenue 1, 837. 36
HANLEY, ZIMMERMAN 8c MOEN
Exhibit Three
Page Two
Village of Brooklyn Center
GENERAL FUND
STATEMENT OF REVENUE AND NON-R�VENUE RECEIPTS
Year Ended December 31, 1955
Fermanent Transfers and Contribufiions
From Munici.pal Liquor Store Fund transfer 5, 307. 73
Pub�,ic contributians Civil Defense
equipment purposes l, 5Q0. 00
Total Receipts Transfers and Contributions 6, 807. 73
Total Rev'enue and Non-Revenue Receipts Genera� Fund $l lb, 220. 69
�r
HANLEY, ZIMMEI2MAN da MOEN
Exhibit Four
Page One
Village of Brooklyn Center
GENER.AL FUND
STATEMENT OF DISBURSEMENTS AND �XPENDITUR.ES
Year Ended December 31, 1955
General Government
Mayor and Gouncil
Salaries paid 1, 860. 00
Professional fees Financial Administrative
Assista.nt 1, 710, 00
Dues and subscriptions 157. 00
Insurance (Includes workmen� s compensation
insurance� 424. 20
Supplies 4, 41 4, 155. 61
Electians
Election judges and clerks 241. 50
Supplie s 59. 65
Capital outlays election booths and boxes 475. 40 ?76. 55
Treasurer and Assessor
Sa,laries and wages 4, 930. 30
Supplies 128. 30
Insurance 30. 00 5, 088. 60
Legal Services
Fees and expense.s 3, 264. 75
Village Clerk Offices
Salaries and wages 10, 018. 8.0
Professional services 25.00
Mileage and travel 249. 24
Telephone and telegraph 757. 69
Advertising and publishing 1, 377. 70
Repair s 17. 45
Printing, binding, stationery and office
supplies l 679 34
Insurance 155. 05
Gapital outlays equipment 365. 8S 14, 646. 15
Justice af Peace
Supplies 35, 43
Qrdinance enforcement 19. 0.0
Insurance 20. 00 74. 43
Audit Fees
Auditor's fees and expenses 850, 00
City Hall
Salaries and wages 1, 835. 00
Equipment rental 30, 00
Utiliti e s 7 6 2. 46
Suppli e s 49 7. 9 6
Fue1 746, 68
Insurance 545.46
Gapital outlays equipment 253. 4$ 4, 671. 04
Total General Government 33, 527. 13
HANLEY, ZIMMERMAN 8c MOEN
Exhibit Four
Page Two
Village of Brooklyn Center
GENERAL FUND
STATEMENT OF DISBURSEMENTS AND EXPENDITURES
Year Ended T3ecember 31, 1955
Public Safety and Protection
Po2ice Protection
Salaries and wages 6, 709. 06
Professional services 15. 00
Repairs 148. 51
Equipment operation and rental 878. 46
Supplie s 29. O1
Insuxance 2? 1. 34
Capital outlays equipment 1, 773. 33 9, 8Z4. 71
Fire Protection
Salaries and wages paid 1, 692. 00
Mileage and travel 662. 23
Telephone 314. 03
Repairs 181. 34
Equipment operation and rental 251. 64
Supplie s 349. 72
Insurance 780. 48
Capital outlays equipment 1, 127. 31 5, 358. 75
Civil Defense
Mileage and travel 250. 00
Telephone and telegraph 171. 00
Utiliti e� 3 0. 40
Suppli e s 7. 3 6
Training exgense 24. 58
Capital outlay equipment 2, 453. 17 2, 936. 51
Hea�,th and R.ecreational Programs
Rural nursing services 1, 585. 08
Salaries parks and recreation 1, 602. 64
Supplies recreational 269. 37
Construction supplies and materials
(ska.ting ponds� 538. 61
Insurance I7. 20
Capital outlays
Buildings 2, 216. 76
Equipment 100. 00 2, 316. 76 fi, 329. 66
Inspectians and Pest Control
Salaries, wages and fees
plumbing inspectors 2, 950. 00
Heating inspectors 1, 492. 50
Dog catchers 833.46
Building inspsctor s 3, 397. 13
Weed inspectors 50. 00 8, 723. 09
Mileage and travel 144. 12
Supplies 51. 50 8, 918. 71
Total Public Safety and Protection 33, 368. 34
HANLEY, ZIMMERMAN da MOEN
Exhibit Four
Page Three
Village of Brooklyn Center
GENERAL FUND
STATEMENT OF DISBURSEMENTS AND EXPENDITURES
Year Ended Decembex 31, 1955
Engineering, Cvnstruction and Maintenance
Engineering
Salaries and wages 5, 302. 65
Mileage and travel 117. 84
Equipment rental and operations 54. 52
Suppli e s 29 6. 9 4
Insurance 68. 54
Capital outlays equiprnent 982. 20 6, 822. 69
Street, Sidewalk and Sewer Maintenance
Salarie s and wage s 18, 403. 45
Mileage and travel 563. 61
Equipment use rental 5, 519. 50
Telephone and telegraph 136. 22
Supplie s 73 9. 08
Repairs 915. 50
Equipment operation 1, 424. 10
Fuel 524. 63
Materials construction and repair 2, 230. 42
Insurance Z, 425. 79
Construction charges to be assessed
in the future 3, 958. 78
Capital outlays
Buildings 690.35
Equipment 8, 495. 77 9, 186, 12 46, 027, 20
Total Engineering, Construction and Maintenance 52, $49. 89
Total Disbursements and Expenditures General Fund $119, 745. 36
HANLEY, ZIMMERMAN dc MOEN
Exhibit Five
Vi1].age of Brooklyn Center
W ORI�ING �APITAL FUND
STATEMENT 4F
REC�IPT'S, DISBUR:SEMENTS, RESOURCES AND OBLIGATIflNS
Year Ended December 31, 1955
It.e ceipts
Fram collection of oiling assessm.ents receivable 6, 499. 79
From General Fund repayrnent of loan 137. 30
6, 637. 09
Disbursements
Repayment of loa.n due 1953 B Fund 6, 800. 00
Repayment of loan due 1954 C Fund 728. 72 7, 528. 72
Excess of Disbursements Over Receipts 891. 63}
Add;
Cash on hand January 1, 1955 957. ?9
Balance of Cash in Bank, December 31, 1955 (see below) 66. 16
RESOURCES AND OBLIGATIONS
Resources
Cash in bank bb, 16
Qiling assessments receivable 1, 612. 09
Total Resources 1, 678. 25
Obli gation s
Due 1953 B Fund 8, 478, 25
Repayments during 1955 b, $OD. 00
Balance Qwin•g 1953 B Fu.nd (A Special Asaessment Fund� 1,b78. 25
Total Qbligations 1, 678. 25
HANLEY, ZIMMERMAN dt MOEN
Exhibit Six
Village of Brooklyn Center
MUNICIP�iL LIQUOR STORE FUND
BALANCE 5HEET
December 31, 1955
ASS�TS
Current Assets
Cash on hand and in bank $47, 491. 17
Merchandise inventories 33 691 49
Receivable returned checks (See Note 1, Exh. 7} 66, 97
Prepaid supplies and e�cpenses 869.86
Tota.l Current Assets $82, 119. 49
Fixed As s ets
Furniture, fixtures and equipment 9, 040. 40
Less; Provision for depreciation 2� 67g, 91
Book Value of Fixed Assets 6, 361. 49
Restricted Assets
Cash in bank-ret3�rement of revenue certificate and interest 3, 693. 34
Cash in bank Buildi.ng Improvement Fund 91. 92 3, 785. 26
Total Assets $92, 266. 24
LIABILITIES
Current Liabilities
Accounts payable 7 170. 55
Due ta Village General Fund 8. 50
Withheld income tax and pension fund contributions 465. 56
Accrued salaries and wages 289, 50
Current liabilities arising from issuance of revenue certificates;
Certificates payable, due within one year (see belowj 6, 000. 00
Accrued interest on bonds to December 31, 1955 779. 15 6, 779. 15
Total Current Liabilities $14, 713. 26
Long 'Term Liabilities
Revenue Certificates Payable Iasue date Augu�t 1, 1953
Intere�t rates at 5. 75�Jo per annum from August 1, 1953 through
August 1, 1955 and then 4. 25°jo per annum until maturity. Gertificates
mature serially, $6, 000, 00 per year, 1955 through 1960 and
$7, 000. 00 each year in 1961 and 1962. All unmatured bonds at
August 1, 1958 are subject to redemption prior to maturity at
a p r emium of 3%.
Certificates payable Decembex 31, 1955 $44, 000. 00
Less portion due within one year (see above) 6, 000. 00 38, 000. 00
Tota.l Liabilities $52, 713, 26
Surplus
Restricted per terms of resolution directing issuance
ofRevenue Certificates $10, 461. 92
Unre stricted surplus 29, 091. 06
Total Surplus 39, 552, 98
Total Liabilities and Surplus $92 266, 24
HANLEY, ZIMMERMAN 8z MOEN
E�iibit Seven
Village of Brooklyn Genter
MUNICIPAL LIQUOR STOR� FUND
INCOME AND EXPEN5E STATEMENT
Year Ended December 31, 1955
Per Cent
Amount to Sales
Sales $224, 420. 10 100. 00°Ja
Less; Cost of goods sold
Inventory, 3anuaxy 1, 1955 32, 378, 53
Purcha.ses 183, 256. 39
Available for sale $215, 634. 92
Less; Inventory, 12-3I -55 33, 691. 49
Gost of Goods 6old 181, 943. 43 81. �7
Gross Profit 42, 476. 67 18. 93%a
Operating Expenses
Salaries 14, 395. 46
Accounting fees 1, 140. 00
Depreciation 869. 57
Utilitie s 7 39 02
Operating supplies 674. 82
Insurance 241. 20
Telephone 232. 54
Proteetion services 102, 00
Mileage and travel 90. 84
Laundry 76. 65
Cash short 59. 64
Bad checks (Note 1} 51. 5?
Taxes and licenses 51. 00
Repairs and ma3ntenance 49. 02
Unclassified 20, 00 18, 793, 33 8, 37
Operating Income 23, b83. 34 10. 56°Jo
Other Income
Discounts earned and check cashing fees collected 6, 982. 68 3. 11
Net Profit on Operations 30, 66b 02 13, 67%
Less: Revenue certificate chaxges:
Interest expense on certificates 2, 473. 75
Net Inconze for Year 1955 28, 192. 27
Less; Transfer to Village General Fund 5, 307. 73
Balance of Net Income Transferred to Surplus �E�i. 8} 22, 884. 54
Note 1. In the opinion of the Attorney General for the State af
Minnesota, under date of September 20, 1952, villages
�r operating rnunicipal liquor stores are not authorized to
extend credit or accept checks for liquor purposes.
HANLEY, ZIMMERMAN dc MOEN
Exhibit Eight
Village of Brooklyn Center
MUNICIPAL LIQUOR STOR,� FUND
ANALYSIS OF SURPLUS CHANC�S
Year 1955
Surplus, December 31, 19�4 $I5, 590, 09
Add:
Income transferred to surplus year 7.955 �{See �xhibit Seven) 22, 884. 54
Adjustrnent: Correction of prior year errors as per audit 1, 078. 35
Tota.l Surplus December 31 1955 $39, 552. 98
HANLEY, ZIMMERMAN MOEN
Exhibit Nine
V'illa of Brooklyn Center
SPECIAL. REV�NUE FUNDS
STATEMENT OF REGEIPTS, EXPENDITUR.E� ANI? UNEXPENDED $ALANCES
Year Ended December31,1955
Certificates Certifi.cates
Sewer State of o£
Opexating Park Loan Indebtedness Indebtedness Poor
Total Fund Fund Fund Prior Year Issue (9-1-55 issue) Fund
Unexpended Balances, Janua.ry 1, 1955 5, 595. 67 $4, 446. 98 $1, 248. 75 $(2, 383. 31� $2, 283. 25
Add: Receipts
General property tax, special levy 16, 057. 88 3, 402. 98 1, 761. 77 3, 572. 28 7, 320. 85
Relief grants and public 325. 12 325. 12
Bond proceeds in excess of equipment j
cost 225.00 225.00
Custorner billing 6, 545. 65 $6, 545. 65
Tota1 Beginning Balance and Receipts $28, 749. 32 $6, 545. 65 $7� 849� 96 $3 010. 52 $l, 188. 97 225. QQ $9 929 22
Deduct; Expenditures
Debt retirement 3, 300. 00 $1, 300, 00 $2, 000. 00
Interest and service charges 741. 25 495.00 246.25
Relief ordexs 4, 624. 41 $4, 624. 41
Rental and ageration costs 4, 221. 70 $4, 2�1. 70
LX
Tota.l Expenditures $12, 887. 36 $4, 221. 70 $1, 795. 00 $2, 246. 25 $4, 624, 41
Unexpended Balances December 31, 1955 $16, 919. 24 $2, 323. 95 �7, 849. 96 $1, 215. 52 225. 00 $5, 304. 81
Deficit Decernber 31, 1955 1, 057. 28 $1, 057, 28
HANLEY, ZIMMERMAN 8c MOEN
Exhibit T en
Village of B r ooklyn C ente r
FIRE DEPARTMENT RELIEF ASS�CIATION (A TRUST FUND)
STAT`EM�NT OF RECEIPTS, EXPENDITURES AND UNEXPENDED BALANCES
Year, 1955
Unexpended Balance, January 1, 1955 981• 91
Add; Receipts for the year
General taxes special levy 4, 127. 62
Insurance premium tax 1, 073. 95
Interest income 230. 1? 5, 431. 74
Unexpended Balance, December 3I, 1955 $14, 413. 65
Unexpended Balance is Represented by;
Cash in bank (eavings accountj 5, 598. 75
Certificates of deposit 8, 814. 90
Total $14, 413. 65
J
HANLEY, ZIMMERMAN dc MOEN
Exhibit Eleven
Village of Brooklyn Genter
BOND FUND
RECELPTS AND EXP�NDiTURES
Year Ended December 31, 1955
Receipts
Proceeds from issuance of general indebtedness certificates
in the face amount of $5, Q00. 00, dated September 1,
1955. Interest at 3% per annum, certificates to mature
serially, $2, 000. 00 January 1, 1957, $2, 000. 00
January 1, 1958 and $1, 000. OQ Janua.ry 1, 1959 5, 000. 00
Purpose af issua.r�ce to purchase street equipment
Expenditur e s
Purchase of 9 wheel Tampco Roller 4, 550. 00
Bond printing and fees perta.ining to issuance of
certificates 225. 00
Transfer of balance to Certificate of Indebtedness Fund
(9-1-55 issue� (see Exhibit Nine�, a special revenue
fund cha.rged with the obligation of principal and interest
payments on certificates issued 225. 00
5, 000. 00
HANLEY, ZIMMERMAN 8c MOEN
Exhibit Twelve
Village of Brooklyn Center
SPECIAL ASSESSMENT FUNDS-CONSTRUCTION COMPLETED
BALANCE SHEET
December 31, 1955
Storm Sewer Sanitary Sewer
Number Qne Number pne Total
ASSETS
Cash on hand for retirement of
principal and interest
payments 38, 575. 10 10, 002. 81 48, 577. 91
Due from General Fund 69. 06 69 O6
To be provided for principal
payments in future years 256, 000. 00 41, 000. 00 297, 000. 00
Tota.l Assets $294, 575. 10 51, 071. 87 �345, 646. 9?
LIABTLITIE3 AND FUND BALANCES
Bonds payable $256, 000, 00 41, 000, 00 $297, 000. 00
Unexpended balance principal
and interest 3$, 575. 10 10, 071. 87 48 646 97
Tota.l Liabilities and Fund Balances $294, 575. 10 51, 071. 87 $345 646 97
HANLEY, ZIMMERMAN 8c MOEN
Exhibit Thirteen
Village of $rooklyn Center
SPECIAL ASSESSMEIVT FUNDS-CONSTRUCTION COMPLETED
STATEMENT OF
RECEIPTS, EXPENDITIJRES AND FUND BALANCES
Year Ended December 31, 1955
Storm Sewer Sanitary Sewer
Number Qne Numb�er One Total
Receipts
Assessment payments received
during the year 1955 $35, 494. 56 4, 393, lg $39, 887. 75
Adjustment prior years
expenditures 69 06 69 06
Total Receipts $35, 494. 56 4, 462, 25 $39, 956. 81
Expenditure s
Payment of principal $16, 000. 00 3, 000. 00 $19, 000. 00
Interest and service
cha.rges paid 9, 563. 80 1, 373. 75 10, 937. 55
Tota.l Expenditures $25, 563. 80 4, 373. 75 $29, 937. 55
�xcess of Receipts pver Expend-
itures 9, 930. 76 88, 50 $10, 019. 26
Add; Unexpended balance
beginning of
year 1955 28, 644, 34 9, 983. 37 38, 627. ?1
Unexp Balance
December 31, 1955
(See Exhibit Twelve) $38, 575. 10 $10, 071. 87 $48 646 9�
HANLEY, ZIMM�RMAN da MOEN
Exhibit
Fourteen
Village of Brooklyn Center
SPECIA,L ASSESSMEN'T FUNDS-CQNSTRUCTION IN PROCES5
�ALANCE SHEET
i December 31, 1955
1953 A and
1953 B Fund I954 1954 1955
Note 1 A Fund C Fund A Fund
Total
ASSETS I
Cash on hand construction purposes 295. 80 176. 58 7, 583, 77 $88, 125. 20 96, 181. 35
Cash on hand principal and interest 7, 044. 20 15, 8b7, 42 4, 178. 56) 17, q07. 65 36, 640, 71
Due from working capital fund 1, 678. 25 1, 678. 25
To be provi.ded for principal in future periods 59, 000. 00 33, 000. 00 10, 500. 00 497, 000. 00 599, 500, 00
Total Assets $6$, 018. 25 $49, 044. 00 $13, 905.21 603, 032, 85 $734, 000. 31
T.TA BILITIES AND FUND B�iLANGES
Bonds payable $59, 000. 00 $33, 000. 00 $10, 50Q. 00 497, 000, 00 $599, 5d0, 00
Unexpended balance construction 1, 974. 05 176. 58 7, 583. 77 88, 1Z5. 20 97, 859, 60
Unexpended balance principal and interest 7, 044. 20 15, 8b7. 42 17, 907. 6� 40, 819. 27
Defieit 4, 17$. 56) 4, 178. 56)
Tota1 Liabilities and Fund Balances $68, 018, 25 $49, 044, 00 $13, 905. 21 603, 032. 85 $734, 000. 3I
Note 1. 1953 A and 1953 B Funds for sta.tement purposes have been combined because of
incorrect allocations of receipts and expenditures as between the two funds during
the year 19�4. The incorrect allocations arose from the fact that colle.ctzons of
assessments and intexest were not properly allocated to the correct fund on the
records of the tax collecting authorities. When the correct inforrnatian is
received a correct segregation of the two funds will be made.
HANLEY, ZIMMERMAN MOEN
Exhib it F' f�
Village of Brooklyn Center
SPECI'AL A5SE5SMEIVZ' FUNDS-CONSTRUCTION TN .PROCESS i,
STATEMENT 4F
RECEZPTS, EXPENDITURES ANI� FUN3� BALANCES
Year Ended December 31, 1955
1953Aand
1953 B Fund
(Note 1- E�.. 14� 1954 A Fund 1954 C. Fund 1955 A Fund Total
Receipts
Proceeds of bond sales 498, 301. 20 498, 301. 20
Assessment pa.yments received during year 1955 19, 672. 15 $16, 888.-18 7, 278. 45 16 606 45 60, 445. 23
Total Receipts 19, 672, 15 $16, 888�18 7, 278. 45 514, 907. 65 558, 746. 43
Expenditure s
For construetian $-9, 42$, 85 1, 682..86 111. 43 408, 874. $0 $,��428, 097. 94
Payment of principal 13, 000, 00 4, 000.:00 12, 000. 00 29, 000. QO
Interest and service charges 2, 974. 65 I, 673. 78 ?93. 80 5, 442. 23
Total Expenditures 25, 403. 50 7, 356. 64 $20, 905. 23 408, $?4. $0 462, 540. 17
Excess Receipts Over Expenditures 9, 531::54 106, 032. 85 115, 564. 39
Excess Expenditures Qver Receipts 5, 731, 35 $13, 626. 78 19, 358. 13
i
Une�ended Balance Beginning of Year 14, 749. 6.0 6, 512,.4b 17, 031. 99 38, 294. 05
Unexpended Balance, December 31, 1955 9, 018, 25 $16, 044..00 3, 405, 21 106, 032. 85 134, 500, 31
Unexpended Balance at December 31, 1955 is
Segregated as Follows;
Unexpended balance constructian 1, 974. 05 176. 5S 7, 583. 77 88, 125, 20 97, 859. 60
Unexpended balance principal and interest 7, 044. 20 15, 867. 42 4, 178, 56} 17, 907. 65 36, 640, 71
9, OI8. 25 $I6, 044. �0 3, 405. 21 106, 032. 85 134, 500. 31
HANI.It�Y, ZI1I�IERIVIAN Bc MOEN'
Exhibit Sixteen
Village of Brooklyn Genter
STATEMENT OF GENERAL FIX�D .ASSETS
December 31, 1955
Balanc e Balanc e
January I, December 31,
1955 Additions Deductions 1955
Tnvestment
Land 1, 195. 85 1, 195. 85
Buil ding s
Municipal hall 60, 738. 70 158. 00 60, 896 70
Tool shed 2, 031. 14 690. 35 2, 721. 49
Fire protection equipment 13, 443. 80 l, 127. 31 14, 571. 11
Office equipment 2, 861. 05 l, I30. 06 3, 991 11
Street maintenance
equipment 40, 810. 15 14, 776. 67 2 869 00 52, 717. 82
Police equipment 2, 144. 45 2, 223. 33 2, 144. 45 2, 223. 33
Civil defense equipment 1, 868. 23 5, 203. 42 7, 071. b5
Street oiling project-1953 24 996 O1 24 996 01
Storm sewer #1 pxoject
completed 323, 328. 30 323, 328, 30
Sanitary s ewer 1 proj ect
completed 46 664 43 46 664 43
Recreational equipment 13. 50 2, 216. 76 2, 230. 26
$520, 095. 61 $27, 525. 90 5, 013. 45 $542, 608. 06
Source of Investment
General bonds and certificates
State loan fund 24, 526. 46 24, 526. 46
Certificates of
indebtedness 18, 175. 00 4, 550. 00 22, 725. 00
Liquor store revenue
certi,ficates 44, 240. 93 44, 240. 93
General revenues 38, 1b4. 48 18, 544. 46 5, 013.45 51, 695. 49
Public contributions 4, 431. 44 4, 431. 44
Property owners share of
assessment improvement
costs 370, 664, 43 370, 6b4. 43
Municipality share of
assessment improvement
costs (from general
revenues} 24, 324. 31 24, 324. 31
$520, 095. 61 $27, 525. 90 5, 013. 45 $542, 608. 06
HANLEY. ZIMMERMAN dc MOEN
Exhibit Seventeen
Village of Brooklyn Center
STATEMENT OF GENERAL BONDED DEBT AND INTEREST
December 31, 1955
Amount Available and to be Provided for the Payment
of General Bonds and Interest;
Bond Principal and Interest
Amount available in special revenue funds;
a. State loan fund 3, 010. 52
b, Certificates of indebtedness fund
(9-1-55 issue� 225.00
c. Certificates af indebtedness fund (prior
year issue) deficit 1, 057. 28}
Net Amount Available 2, 178. 24
Amount to k�e provided in Future Periods
For principal $24 321. 76
For interest 3, 960. 00
Amount to be Provided 28, 281, 76
Total Amount L�vailable and to be Provided $30, 460. 00
General Bonds and Interest to be Paid in Future Periods
General Indebtedness
State of Minnesota loan �18, 500. 00
Certificate of indebtedness 8, 000. 00
Total Genexal Indebtedness $26, 500. 00
Interest Payable in Future Years 3, 960. 00
Total General Bonds and Intereat Payable in Future Periods $30, 460. 00
r
1
HANLEY, ZIMMERMAN dc MOEN
i