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Public Act 094-0370 |
HB1663 Enrolled |
LRB094 03106 MKM 33107 b |
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AN ACT concerning local government.
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Be it enacted by the People of the State of Illinois, |
represented in the General Assembly:
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Section 5. The Regional Transportation Authority Act is |
amended by changing Sections 3A.08, 3A.09, 3A.10, 4.01, 4.09 |
and 4.11 and by adding Section 2.30 as follows: |
(70 ILCS 3615/2.30 new) |
Sec. 2.30. Paratransit services. |
(a) For purposes of this Act, "ADA paratransit services" |
shall mean those comparable or specialized transportation |
services provided by, or under grant or purchase of service |
contracts of, the Service Boards to individuals with |
disabilities who are unable to use fixed route transportation |
systems and who are determined to be eligible, for some or all |
of their trips, for such services under the Americans with |
Disabilities Act of 1990 and its implementing regulations. |
(b) Beginning July 1, 2005, the Authority is responsible |
for the funding, financial review and oversight of all ADA |
paratransit services that are provided by the Authority or by |
any of the Service Boards. The Suburban Bus Board shall operate |
or provide for the operation of all ADA paratransit services by |
no later than July 1, 2006, except that this date may be |
extended to the extent necessary to obtain approval from the |
Federal Transit Administration of the plan prepared pursuant to |
subsection (c). |
(c) No later than January 1, 2006, the Authority, in |
collaboration with the Suburban Bus Board and the Chicago |
Transit Authority, shall develop a plan for the provision of |
ADA paratransit services and submit such plan to the Federal |
Transit Administration for approval. Approval of such plan by |
the Authority shall require the affirmative votes of 9 of the |
then Directors. The Suburban Bus Board, the Chicago Transit |
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Authority and the Authority shall comply with the requirements |
of the Americans with Disabilities Act of 1990 and its |
implementing regulations in developing and approving such plan |
including, without limitation, consulting with individuals |
with disabilities and groups representing them in the |
community, and providing adequate opportunity for public |
comment and public hearings. The plan shall include the |
contents required for a paratransit plan pursuant to the |
Americans with Disabilities Act of 1990 and its implementing |
regulations. The plan shall also include, without limitation, |
provisions to: |
(1) maintain, at a minimum, the levels of ADA |
paratransit service that are required to be provided by the |
Service Boards pursuant to the Americans with Disabilities |
Act of 1990 and its implementing regulations; |
(2) transfer the appropriate ADA paratransit services, |
management, personnel, service contracts and assets from |
the Chicago Transit Authority to the Authority or the |
Suburban Bus Board, as necessary, by no later than July 1, |
2006, except that this date may be extended to the extent |
necessary to obtain approval from the Federal Transit |
Administration of the plan prepared pursuant to this |
subsection (c); |
(3) provide for consistent policies throughout the |
metropolitan region for scheduling of ADA paratransit |
service trips to and from destinations, with consideration |
of scheduling of return trips on a "will-call" open-ended |
basis upon request of the rider, if practicable, and with |
consideration of an increased number of trips available by |
subscription service than are available as of the effective |
date of this amendatory Act; |
(4) provide that service contracts and rates, entered |
into or set after the approval by the Federal Transit |
Administration of the plan prepared pursuant to subsection |
(c) of this Section, with private carriers and taxicabs for |
ADA paratransit service are procured by means of an open |
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procurement process; |
(5) provide for fares, fare collection and billing |
procedures for ADA paratransit services throughout the |
metropolitan region; |
(6) provide for performance standards for all ADA |
paratransit service transportation carriers, with |
consideration of door-to-door service; |
(7) provide, in cooperation with the Illinois |
Department of Transportation, the Illinois Department of |
Public Aid and other appropriate public agencies and |
private entities, for the application and receipt of |
grants, including, without limitation, reimbursement from |
Medicaid or other programs for ADA paratransit services; |
(8) provide for a system of dispatch of ADA paratransit |
services transportation carriers throughout the |
metropolitan region, with consideration of county-based |
dispatch systems already in place as of the effective date |
of this amendatory Act; |
(9) provide for a process of determining eligibility |
for ADA paratransit services that complies with the |
Americans with Disabilities Act of 1990 and its |
implementing regulations; |
(10) provide for consideration of innovative methods |
to provide and fund ADA paratransit services; and |
(11) provide for the creation of one or more ADA |
advisory boards, or the reconstitution of the existing ADA |
advisory boards for the Service Boards, to represent the |
diversity of individuals with disabilities in the |
metropolitan region and to provide appropriate ongoing |
input from individuals with disabilities into the |
operation of ADA paratransit services.
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(d) All revisions and annual updates to the ADA paratransit |
services plan developed pursuant to subsection (c) of this |
Section, or certifications of continued compliance in lieu of |
plan updates, that are required to be provided to the Federal |
Transit Administration shall be developed by the Authority, in |
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collaboration with the Suburban Bus Board and the Chicago |
Transit Authority, and the Authority shall submit such |
revision, update or certification to the Federal Transit |
Administration for approval. Approval of such revisions, |
updates or certifications by the Authority shall require the |
affirmative votes of 9 of the then Directors. |
(e) The Illinois Department of Transportation, the |
Illinois Department of Public Aid, the Authority, the Suburban |
Bus Board and the Chicago Transit Authority shall enter into |
intergovernmental agreements as may be necessary to provide |
funding and accountability for, and implementation of, the |
requirements of this Section. |
(f) By no later than April 1, 2007, the Authority shall |
develop and submit to the General Assembly and the Governor a |
funding plan for ADA paratransit services. Approval of such |
plan by the Authority shall require the affirmative votes of 9 |
of the then Directors. The funding plan shall, at a minimum, |
contain an analysis of the current costs of providing ADA |
paratransit services, projections of the long-term costs of |
providing ADA paratransit services, identification of and |
recommendations for possible cost efficiencies in providing |
ADA paratransit services, and identification of and |
recommendations for possible funding sources for providing ADA |
paratransit services. The Illinois Department of |
Transportation, the Illinois Department of Public Aid, the |
Suburban Bus Board, the Chicago Transit Authority and other |
State and local public agencies as appropriate shall cooperate |
with the Authority in the preparation of such funding plan. |
(g) Any funds derived from the federal Medicaid program for |
reimbursement of the costs of providing ADA paratransit |
services within the metropolitan region shall be directed to |
the Authority and shall be used to pay for or reimburse the |
costs of providing such services. |
(h) Nothing in this amendatory Act shall be construed to |
conflict with the requirements of the Americans with |
Disabilities Act of 1990 and its implementing regulations.
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(70 ILCS 3615/3A.08) (from Ch. 111 2/3, par. 703A.08)
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Sec. 3A.08. Jurisdiction. Any public transportation by |
bus within the
metropolitan region, other than public |
transportation by commuter rail or
public transportation |
provided by the Chicago Transit Authority pursuant
to |
agreements in effect on the effective date of this amendatory |
Act of 1983
or in the City of Chicago and any ADA paratransit |
services provided pursuant to Section 2.30 of the Regional |
Transportation Authority Act , shall be subject to the |
jurisdiction of the Suburban
Bus Board.
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(Source: P.A. 83-886.)
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(70 ILCS 3615/3A.09) (from Ch. 111 2/3, par. 703A.09)
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Sec. 3A.09. General Powers. In addition to any powers |
elsewhere provided
to the Suburban Bus Board, it shall have all |
of the powers specified in
Section 2.20 of this Act except for |
the powers specified in Section 2.20
(a) (v). The Board shall |
also have the power:
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(a) to cooperate with the Regional Transportation |
Authority in the
exercise by the Regional Transportation |
Authority of all the powers granted
it by such Act;
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(b) to receive funds from the Regional Transportation |
Authority pursuant
to Sections 2.02, 4.01, 4.02, 4.09 and 4.10 |
of the " Regional Transportation
Authority Act " , all as provided |
in the " Regional Transportation Authority Act " ;
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(c) to receive financial grants from the Regional |
Transportation
Authority or a Service Board, as defined in the |
" Regional Transportation
Authority Act " , upon such terms and |
conditions as shall be set forth in a
grant contract between |
either the Division and the Regional Transportation
Authority |
or the Division and another Service Board, which contract or
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agreement may be for such number of years or duration as the |
parties agree,
all as provided in the " Regional Transportation |
Authority Act ; and
." |
(d) to perform all functions necessary for the provision of |
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paratransit services under Section 2.30 of this Act.
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(Source: P.A. 83-885; 83-886.)
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(70 ILCS 3615/3A.10) (from Ch. 111 2/3, par. 703A.10)
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Sec. 3A.10. Budget and Program. The Suburban Bus Board, |
subject to
the powers of the Authority in Section 4.11, shall |
control the finances
of the Division. It shall by ordinance |
appropriate money to perform the
Division's purposes and |
provide for payment of debts and expenses of the
Division. Each |
year the Suburban Bus Board shall prepare and publish a |
comprehensive
annual budget and program document, and a |
financial plan for the 2 years
thereafter describing the state |
of the Division and presenting for the forthcoming
fiscal year |
and the 2 following years the Suburban Bus Board's plans for
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such operations and capital expenditures as it intends to |
undertake and
the means by which it intends to finance them. |
The proposed budget and
financial plan shall be based on the |
Authority's estimate of funds to be
made available to the |
Suburban Bus Board by or through the Authority and
shall |
conform in all respects to the requirements established by the |
Authority.
The proposed program and budget shall contain a |
statement of the funds estimated
to be on hand at the beginning |
of the fiscal year, the funds estimated to
be received from all |
sources for such year and the funds estimated to be
on hand at |
the end of such year. After adoption of the Authority's first
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Five-Year Program, as provided in Section 2.01 of this Act, the |
proposed
program and budget shall specifically identify any |
respect in which the
recommended program deviates from the |
Authority's then existing Five-Year
Program, giving the |
reasons for such deviation. The fiscal year of the
Division |
shall be the same as the fiscal year of the Authority. Before
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the proposed budget and program and financial plan are |
submitted to the
Authority, the Suburban Bus Board shall hold |
at least one public hearing
thereon in each of the counties in |
the metropolitan region in which the
Division provides service. |
The Suburban Bus Board shall hold at least
one meeting for |
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consideration of the proposed program and budget with the
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county board of each of the several counties in the |
metropolitan region
in which the Division provides service. |
After conducting such hearings
and holding such meetings and |
after making such changes in the proposed
program and budget as |
the Suburban Bus Board deems appropriate, it shall
adopt an |
annual budget ordinance at least by November 15 next preceding
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the beginning of each fiscal year. The budget and program, and |
financial
plan shall then be submitted to the Authority as |
provided in Section 4.11. In the event
that the Board of the |
Authority determines that the budget and program,
and financial |
plan do not meet the standards of Section 4.11, the Suburban
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Bus Board shall make such changes as are necessary to meet such |
requirements
and adopt an amended budget ordinance. The amended |
budget ordinance shall
be resubmitted to the Authority pursuant |
to Section 4.11. The ordinance
shall appropriate such sums of |
money as are deemed necessary to defray
all necessary expenses |
and obligations of the Division, specifying purposes
and the |
objects or programs for which appropriations are made and the |
amount
appropriated for each object or program. Additional |
appropriations, transfers
between items and other changes in |
such ordinance which do not alter the
basis upon which the |
balanced budget determination was made by the Board
of the |
Authority may be made from time to
time by the Suburban Bus |
Board.
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The budget shall:
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(i) show a balance between (A) anticipated revenues from |
all sources including
operating subsidies and (B) the costs of |
providing the services specified
and of funding any operating |
deficits or encumbrances incurred in prior
periods, including |
provision for payment when due of principal and interest
on |
outstanding indebtedness;
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(ii) show cash balances including the proceeds of any |
anticipated cash
flow borrowing sufficient to pay with |
reasonable promptness all costs and
expenses as incurred;
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(iii) provide for a level of fares or charges and operating |
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or administrative
costs for the public transportation provided |
by or subject to the jurisdiction
of the Suburban Bus Board |
sufficient
to allow the Suburban Bus Board to meet its required |
system generated revenues
recovery ratio and, beginning with |
the 2007 fiscal year, its system generated ADA paratransit |
services revenue recovery ratio ;
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(iv) be based upon and employ assumptions and projections |
which are reasonable
and prudent;
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(v) have been prepared in accordance with sound financial |
practices as
determined by the Board of the Authority; and
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(vi) meet such other uniform financial, budgetary, or |
fiscal requirements
that the Board of the Authority may by rule |
or regulation establish.
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(Source: P.A. 83-886.)
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(70 ILCS 3615/4.01) (from Ch. 111 2/3, par. 704.01)
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Sec. 4.01. Budget and Program.
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(a) The Board shall control the finances
of the Authority. |
It shall by ordinance appropriate money to perform the
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Authority's purposes and provide for payment of debts and |
expenses of
the Authority. Each year the Authority shall |
prepare and publish a
comprehensive annual budget and program |
document describing the state of
the Authority and presenting |
for the forthcoming fiscal year the
Authority's plans for such |
operations and capital expenditures as the
Authority intends to |
undertake and the means by which it intends to
finance them. |
The proposed program and budget shall contain a statement
of |
the funds estimated to be on hand at the beginning of the |
fiscal
year, the funds estimated to be received from all |
sources for such year
and the funds estimated to be on hand at |
the end of such year. After
adoption of the Authority's first |
Five-Year Program, as provided in
Section 2.01 of this Act, the |
proposed program and budget shall
specifically identify any |
respect in which the recommended program
deviates from the |
Authority's then existing Five-Year Program, giving
the |
reasons for such deviation. The fiscal year of the Authority |
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shall
begin on January 1st and end on the succeeding December |
31st except that
the fiscal year that began October 1, 1982, |
shall end December 31, 1983.
By July 1st 1981 and July 1st of |
each year thereafter the Director of the
Illinois
Governor's |
Office of Management and Budget (formerly Bureau of the
Budget ) |
shall submit
to the Authority an estimate of revenues for the |
next fiscal year to be
collected from the taxes imposed by the |
Authority and the amounts to be
available in the Public |
Transportation Fund and the Regional Transportation
Authority |
Occupation and Use Tax Replacement Fund. For the fiscal year |
ending
on December 31, 1983, the Board shall report its results |
from
operations and financial condition to the General Assembly |
and the Governor
by January 31. For the fiscal year beginning |
January
1, 1984, and thereafter, the budget and program shall |
be presented to the
General Assembly and the Governor not later |
than the preceding December
31st. Before the proposed budget |
and program is adopted, the Authority
shall hold at least one |
public hearing thereon
in the metropolitan region. The Board |
shall hold at least one meeting for
consideration of the |
proposed program and budget with the county board of
each of |
the several counties in the metropolitan region. After |
conducting
such hearings and holding such meetings and after |
making such changes
in the proposed program and budget as the |
Board deems appropriate, the
Board shall adopt its annual |
budget ordinance. The ordinance may be adopted
only upon the |
affirmative votes of 9 of its then Directors. The
ordinance |
shall appropriate such sums of money as are deemed necessary
to |
defray all necessary expenses and obligations of the Authority,
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specifying purposes and the objects or programs for which |
appropriations
are made and the amount appropriated for each |
object or program.
Additional appropriations, transfers |
between items and other changes in
such ordinance may be made |
from time to time by the Board upon the
affirmative votes of 9 |
of its then Directors.
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(b) The budget shall show a balance between anticipated |
revenues from
all sources and anticipated expenses including |
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funding of operating deficits
or the discharge of encumbrances |
incurred in prior periods and payment of
principal and interest |
when due, and shall show cash balances sufficient
to pay with |
reasonable promptness all obligations and expenses as |
incurred.
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The annual budget and financial plan must show : |
(i) that the level of fares
and charges for mass |
transportation provided by, or under grant or purchase
of |
service contracts of, the Service Boards is sufficient to |
cause the
aggregate of all projected fare revenues from |
such fares and charges received
in each fiscal year to |
equal at least 50% of the aggregate costs of providing
such |
public transportation in such fiscal year. "Fare revenues" |
include
the proceeds of all fares and charges for services |
provided, contributions
received in connection with public |
transportation from units of local
government other than |
the Authority and from the State pursuant to subsection
(i) |
of Section 2705-305 of the Department of Transportation Law |
(20 ILCS
2705/2705-305), and all other operating revenues |
properly included consistent
with generally accepted |
accounting principles but do not include : the proceeds
of |
any borrowings , and, beginning with the 2007 fiscal year, |
all revenues and receipts, including but not limited to |
fares and grants received from the federal, State or any |
unit of local government or other entity, derived from |
providing ADA paratransit service pursuant to Section 2.30 |
of the Regional Transportation Authority Act . "Costs" |
include all items properly included as operating
costs |
consistent with generally accepted accounting principles, |
including
administrative costs, but do not include: |
depreciation; payment of principal
and interest on bonds, |
notes or
other evidences of obligation for borrowed money |
issued by the Authority;
payments with respect to public |
transportation facilities made pursuant
to subsection (b) |
of Section 2.20 of this Act; any payments with respect
to |
rate protection contracts, credit enhancements or |
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liquidity agreements
made under Section 4.14; any other |
cost to which it
is reasonably expected that a cash |
expenditure
will not be made; costs up to $5,000,000 |
annually for passenger
security including grants, |
contracts, personnel, equipment and
administrative |
expenses, except in the case of the Chicago Transit
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Authority, in which case the term does not include costs |
spent annually by
that entity for protection against crime |
as required by Section 27a of the
Metropolitan Transit |
Authority Act; or costs as exempted by the Board for
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projects pursuant to Section 2.09 of this Act ; or, |
beginning with the 2007 fiscal year, expenses related to |
providing ADA paratransit service pursuant to Section 2.30 |
of the Regional Transportation Authority Act; and |
(ii) that the level of fares charged for ADA |
paratransit services is sufficient to cause the aggregate |
of all projected revenues from such fares charged and |
received in each fiscal year to equal at least 10% of the |
aggregate costs of providing such ADA paratransit services |
in fiscal years 2007 and 2008 and at least 12% of the |
aggregate costs of providing such ADA paratransit services |
in fiscal years 2009 and thereafter; for purposes of this |
Act, the percentages in this subsection (b)(ii) shall be |
referred to as the "system generated ADA paratransit |
services revenue recovery ratio" .
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(c) The actual administrative expenses of the Authority for |
the fiscal
year commencing January 1, 1985 may not exceed |
$5,000,000.
The actual administrative expenses of the |
Authority for the fiscal year
commencing January 1, 1986, and |
for each fiscal year thereafter shall not
exceed the maximum |
administrative expenses for the previous fiscal year plus
5%. |
"Administrative
expenses" are defined for purposes of this |
Section as all expenses except:
(1) capital expenses and |
purchases of the Authority on behalf of the Service
Boards; (2) |
payments to Service Boards; and (3) payment of principal
and |
interest on bonds, notes or other evidence of obligation for |
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borrowed
money issued by the Authority; (4) costs for passenger |
security including
grants, contracts, personnel, equipment and |
administrative expenses; (5)
payments with respect to public |
transportation facilities made pursuant to
subsection (b) of |
Section 2.20 of this Act; and (6) any payments with
respect to |
rate protection contracts, credit enhancements or liquidity
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agreements made pursuant to Section 4.14.
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(d) After withholding 15% of the proceeds of any tax |
imposed by the
Authority and 15% of money received by the |
Authority from the Regional
Transportation Authority |
Occupation and Use Tax Replacement Fund,
the Board shall |
allocate the proceeds and money remaining to the Service
Boards |
as follows: (1) an amount equal to 85% of the proceeds of those
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taxes collected within the City of Chicago and 85% of the money |
received by
the Authority on account of transfers to the |
Regional Transportation
Authority Occupation and Use Tax |
Replacement Fund from the County and Mass
Transit District Fund |
attributable to retail sales within the City of
Chicago shall |
be allocated to the Chicago Transit
Authority; (2) an amount |
equal to 85% of the proceeds of those taxes
collected within |
Cook County outside the City of Chicago and 85% of the
money |
received by the Authority on account of transfers to the |
Regional
Transportation Authority Occupation and Use Tax |
Replacement Fund from the
County and Mass Transit District Fund |
attributable to retail sales within
Cook County outside of the |
city of Chicago shall be allocated
30% to the Chicago Transit |
Authority, 55% to the Commuter Rail Board and
15% to the |
Suburban Bus Board; and (3) an amount equal to 85% of the
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proceeds of the taxes collected within the Counties of DuPage, |
Kane, Lake,
McHenry and Will shall be allocated 70% to the |
Commuter Rail Board and 30%
to the Suburban Bus Board.
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(e) Moneys received by the Authority on account of |
transfers to the
Regional Transportation Authority Occupation |
and Use Tax Replacement Fund
from the State and Local Sales Tax |
Reform Fund shall be
allocated among the Authority and the |
Service Boards as follows: 15% of
such moneys shall be retained |
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by the Authority and the remaining 85%
shall be transferred to |
the Service Boards as soon as may be
practicable after the |
Authority receives payment. Moneys which are
distributable to |
the Service Boards pursuant to the preceding sentence
shall be |
allocated among the Service Boards on the basis of each Service
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Board's distribution ratio. The term "distribution ratio" |
means,
for purposes of this subsection (e) of this Section |
4.01, the ratio of
the total amount distributed to a Service |
Board pursuant to subsection (d)
of Section 4.01 for the |
immediately preceding calendar year to the total
amount |
distributed to all of the Service Boards pursuant to subsection |
(d)
of Section 4.01 for the immediately preceding calendar |
year.
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To further and accomplish the preparation of the annual |
budget and
program as well as the Five-Year Program provided |
for in Section 2.01 of
this Act and to make such interim |
management decisions as may be
necessary, the Board shall |
employ staff which shall: (1) evaluate for
the Board public |
transportation programs operated or proposed by
transportation |
agencies in terms of goals, costs and relative
priorities; (2) |
keep the Board informed of the public transportation
programs |
and accomplishments of such transportation agencies; and (3)
|
coordinate the development and implementation of public |
transportation
programs to the end that the monies available to |
the Authority may be
expended in the most economical manner |
possible with the least possible
duplication. Under such |
regulations as the Board may prescribe, all
Service Boards, |
transportation agencies, comprehensive planning agencies or
|
transportation planning agencies in the metropolitan region |
shall
furnish to the Board such information pertaining to |
public
transportation or relevant for plans therefor as it may |
from time to time
require, upon payment to any such agency or |
Service Board of the reasonable
additional cost of its so |
providing such information except as may
otherwise be provided |
by agreement with the Authority, and the Board or
any duly |
authorized employee of the Board shall, for the purpose of
|
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securing such information, have access to, and the right to |
examine, all
books, documents, papers or records of any such |
agency or Service Board
pertaining to public transportation or |
relevant for plans therefor.
|
(Source: P.A. 91-51, eff. 6-30-99; 91-239, eff. 1-1-00; revised |
8-23-03.)
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(70 ILCS 3615/4.09) (from Ch. 111 2/3, par. 704.09)
|
Sec. 4.09. Public Transportation Fund and the Regional |
Transportation
Authority Occupation and Use Tax Replacement |
Fund.
|
(a) As soon as possible after the first day of each month, |
beginning
November 1, 1983, the Comptroller shall order |
transferred and the Treasurer
shall transfer from the General |
Revenue Fund to a special fund in the State
Treasury, to be |
known as the "Public Transportation Fund" $9,375,000 for
each |
month remaining in State fiscal year 1984. As soon as possible |
after
the first day of each month, beginning July 1, 1984, upon |
certification of
the Department of Revenue, the Comptroller |
shall order transferred and the
Treasurer shall transfer from |
the General Revenue Fund to the Public
Transportation Fund an |
amount equal to 25% of the net revenue, before the
deduction of |
the serviceman and retailer discounts pursuant to Section 9 of
|
the Service Occupation Tax Act and Section 3 of the Retailers' |
Occupation
Tax Act, realized from any tax imposed by the |
Authority pursuant to
Sections 4.03 and 4.03.1 and 25% of the |
amounts deposited into the Regional
Transportation Authority |
tax fund created by Section 4.03 of this Act, from
the County |
and Mass Transit District Fund as provided in Section 6z-20 of
|
the State Finance Act and 25% of the amounts deposited into the |
Regional
Transportation Authority Occupation and Use Tax |
Replacement Fund from the
State and Local Sales Tax Reform Fund |
as provided in Section 6z-17 of the
State Finance Act. Net |
revenue realized for a month shall be the revenue
collected by |
the State pursuant to Sections 4.03 and 4.03.1 during the
|
previous month from within the metropolitan region, less the |
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amount paid
out during that same month as refunds to taxpayers |
for overpayment of
liability in the metropolitan region under |
Sections 4.03 and 4.03.1.
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(b) (1) All moneys deposited in the Public Transportation |
Fund and the
Regional Transportation Authority Occupation |
and Use Tax Replacement Fund,
whether deposited pursuant to |
this Section or otherwise, are allocated to
the Authority. |
Pursuant to appropriation, the Comptroller, as soon as
|
possible after each monthly transfer provided in this |
Section and after
each deposit into the Public |
Transportation Fund, shall order the Treasurer
to pay to |
the Authority out of the Public Transportation Fund the |
amount so
transferred or deposited. Such amounts paid to |
the Authority may be
expended by it for its purposes as |
provided in this Act.
|
Subject to appropriation to the Department of Revenue, |
the Comptroller,
as soon as possible after each deposit |
into the Regional Transportation
Authority Occupation and |
Use Tax Replacement Fund provided in this Section
and |
Section 6z-17 of the State Finance Act, shall order the |
Treasurer
to pay to the Authority out of the Regional |
Transportation Authority
Occupation and Use Tax |
Replacement Fund the amount so deposited. Such
amounts paid |
to the Authority may be expended by it for its purposes as
|
provided in this Act.
|
(2) Provided, however, no moneys deposited under |
subsection (a)
of this Section shall be paid from the |
Public Transportation
Fund to the Authority or its assignee |
for any fiscal year beginning after
the effective
date of |
this amendatory Act of 1983 until the Authority has |
certified to
the Governor, the Comptroller, and the Mayor |
of the City of Chicago that it
has adopted for that fiscal |
year a budget and financial plan meeting the
requirements |
in Section 4.01(b).
|
(c) In recognition of the efforts of the Authority to |
enhance the mass
transportation facilities under its control, |
|
the State shall provide
financial assistance ("Additional |
State Assistance") in excess of the
amounts transferred to the |
Authority from the General Revenue Fund under
subsection (a) of |
this Section. Additional State Assistance shall be
calculated |
as provided in
subsection (d), but shall in no event exceed the |
following
specified amounts with respect to the following State |
fiscal years:
|
|
1990 |
$5,000,000; |
|
1991 |
$5,000,000; |
|
1992 |
$10,000,000; |
|
1993 |
$10,000,000; |
|
1994 |
$20,000,000; |
|
1995 |
$30,000,000; |
|
1996 |
$40,000,000; |
|
1997 |
$50,000,000; |
|
1998 |
$55,000,000; and |
|
each year thereafter |
$55,000,000. |
|
(c-5) The State shall provide financial assistance |
("Additional Financial
Assistance") in addition to the |
Additional State Assistance provided by
subsection (c) and the |
amounts transferred to the Authority from the General
Revenue |
Fund under subsection (a) of this Section. Additional Financial
|
Assistance provided by this subsection shall be calculated as |
provided in
subsection (d), but shall in no event exceed the |
following specified amounts
with respect to the following State |
fiscal years:
|
|
2000 |
$0; |
|
2001 |
$16,000,000; |
|
2002 |
$35,000,000; |
|
2003 |
$54,000,000; |
|
2004 |
$73,000,000; |
|
2005 |
$93,000,000; and |
|
each year thereafter |
$100,000,000. |
|
(d) Beginning with State fiscal year 1990 and continuing |
for each
State fiscal year thereafter, the Authority shall |
annually certify to the
State Comptroller and State Treasurer, |
|
separately with respect to each of
subdivisions (g)(2) and |
(g)(3) of Section 4.04 of this Act, the following
amounts:
|
(1) The amount necessary and required, during the State |
fiscal year with
respect to which the certification is |
made, to pay its obligations for debt
service on all |
outstanding bonds or notes issued by the Authority under |
subdivisions (g)(2) and (g)(3) of
Section 4.04 of this Act.
|
(2) An estimate of the amount necessary and required to |
pay its
obligations for debt service for any bonds or notes |
which the Authority anticipates it
will issue under |
subdivisions (g)(2) and (g)(3) of Section 4.04 during
that |
State fiscal year.
|
(3) Its debt service savings during the preceding State |
fiscal year
from refunding or advance refunding of bonds or |
notes issued under subdivisions
(g)(2) and (g)(3) of |
Section 4.04.
|
(4) The amount of interest, if any, earned by the |
Authority during the
previous State fiscal year on the |
proceeds of bonds or notes issued pursuant to
subdivisions |
(g)(2) and (g)(3) of Section 4.04, other than refunding or |
advance
refunding bonds or notes.
|
The certification shall include a specific
schedule of debt |
service payments, including the date and amount of each
payment |
for all outstanding bonds or notes and an estimated schedule of
|
anticipated debt service for all bonds and notes it intends to |
issue, if any,
during that State fiscal year, including the |
estimated date and estimated
amount of each payment.
|
Immediately upon the issuance of bonds for which an |
estimated schedule
of debt service payments was prepared, the |
Authority shall file an amended
certification with respect to |
item (2) above, to specify the actual
schedule of debt service |
payments, including the date and amount of each
payment, for |
the remainder of the State fiscal year.
|
On the first day of each month of the
State fiscal year in |
which there are bonds outstanding with respect to which
the |
certification is made, the State Comptroller shall order |
|
transferred and
the State Treasurer shall transfer from the |
General Revenue Fund to the
Public Transportation Fund the |
Additional State Assistance and Additional
Financial |
Assistance in an amount equal to the aggregate of
(i) |
one-twelfth of the sum of the amounts certified under items
(1) |
and (3) above less the amount certified under item (4) above, |
plus
(ii)
the amount required to pay debt service on bonds and |
notes
issued during the fiscal year, if any, divided by the |
number of months
remaining in the fiscal year after the date of |
issuance, or some smaller
portion as may be necessary under |
subsection (c)
or (c-5) of this Section for the relevant State |
fiscal year, plus
(iii) any cumulative deficiencies in |
transfers for prior months,
until an amount equal to the
sum of |
the amounts certified under items (1) and (3) above,
plus the |
actual debt service certified under item (2) above,
less the |
amount certified under item (4) above,
has been transferred; |
except that these transfers are subject to the
following |
limits:
|
(A) In no event shall the total transfers in any State |
fiscal
year relating to outstanding bonds and notes issued |
by the Authority under
subdivision (g)(2) of Section 4.04 |
exceed the lesser of the annual maximum
amount specified in |
subsection (c) or the sum of the amounts
certified under |
items (1) and (3) above,
plus the actual debt service |
certified under item (2) above,
less the amount certified |
under item
(4) above, with respect to those bonds and |
notes.
|
(B) In no event shall the total transfers in any State |
fiscal year
relating to outstanding bonds and notes issued |
by the Authority under
subdivision (g)(3) of Section 4.04 |
exceed the lesser of the annual maximum
amount specified in |
subsection (c-5) or the sum of the amounts certified under
|
items (1) and (3) above,
plus the actual debt service |
certified under item (2) above,
less the amount certified |
under item (4) above, with
respect to those bonds and |
notes.
|
|
The term "outstanding" does not include bonds or notes for |
which
refunding or advance refunding bonds or notes have been |
issued.
|
(e) Neither Additional State Assistance nor Additional |
Financial
Assistance may be pledged, either directly or
|
indirectly as general revenues of the Authority, as security |
for any bonds
issued by the Authority. The Authority may not |
assign its right to receive
Additional State Assistance or |
Additional Financial Assistance, or direct
payment of |
Additional State
Assistance or Additional Financial |
Assistance, to a trustee or any other
entity for the
payment of |
debt service
on its bonds.
|
(f) The certification required under subsection (d) with |
respect to
outstanding bonds and notes of the Authority shall |
be
filed as early as practicable before the beginning of the |
State fiscal
year to which it relates. The certification shall |
be revised as may be
necessary to accurately state the debt |
service requirements of the Authority.
|
(g) Within 6 months of the end of the 3 month period ending |
December 31,
1983, and each fiscal year thereafter, the |
Authority shall determine : |
(i) whether
the aggregate of all system generated |
revenues for public transportation
in the metropolitan |
region which is provided by, or under grant or purchase
of |
service contracts with, the Service Boards equals 50% of |
the aggregate
of all costs of providing such public |
transportation. "System generated
revenues" include all |
the proceeds of fares and charges for services provided,
|
contributions received in connection with public |
transportation from units
of local government other than |
the Authority and from the State pursuant
to subsection (i) |
of Section 2705-305 of the Department of Transportation Law
|
(20 ILCS 2705/2705-305), and all other revenues properly |
included consistent
with generally accepted accounting |
principles but may not include : the proceeds
from any |
borrowing , and, beginning with the 2007 fiscal year, all |
|
revenues and receipts, including but not limited to fares |
and grants received from the federal, State or any unit of |
local government or other entity, derived from providing |
ADA paratransit service pursuant to Section 2.30 of the |
Regional Transportation Authority Act . "Costs" include all |
items properly included as
operating costs consistent with |
generally accepted accounting principles,
including |
administrative costs, but do not include: depreciation; |
payment
of principal and interest on bonds, notes or other |
evidences of obligations
for borrowed money of the |
Authority; payments with respect to public
transportation |
facilities made pursuant to subsection (b) of Section 2.20;
|
any payments with respect to rate protection contracts, |
credit
enhancements or liquidity agreements made under |
Section 4.14; any other
cost as to which it is reasonably |
expected that a cash
expenditure will not be made; costs up |
to $5,000,000 annually for passenger
security including |
grants, contracts, personnel, equipment and
administrative |
expenses, except in the case of the Chicago Transit
|
Authority, in which case the term does not include costs |
spent annually by
that entity for protection against crime |
as required by Section 27a of the
Metropolitan Transit |
Authority Act; or costs as exempted by the Board for
|
projects pursuant to Section 2.09 of this Act ; or, |
beginning with the 2007 fiscal year, expenses related to |
providing ADA paratransit service pursuant to Section 2.30 |
of the Regional Transportation Authority Act . If said |
system generated
revenues are less than 50% of said costs, |
the Board shall remit an amount
equal to the amount of the |
deficit to the State. The Treasurer shall
deposit any such |
payment in the General Revenue Fund ; and .
|
(ii) whether, beginning with the 2007 fiscal year, the |
aggregate of all fares charged and received for ADA |
paratransit services equals the system generated ADA |
paratransit services revenue recovery ratio percentage of |
the aggregate of all costs of providing such ADA |
|
paratransit services.
|
(h) If the Authority makes any payment to the State under |
paragraph (g),
the Authority shall reduce the amount provided |
to a Service Board from funds
transferred under paragraph (a) |
in proportion to the amount by which
that Service Board failed |
to meet its required system generated revenues
recovery ratio. |
A Service Board which is affected by a reduction in funds
under |
this paragraph shall submit to the Authority concurrently with |
its
next due quarterly report a revised budget incorporating |
the reduction in
funds. The revised budget must meet the |
criteria specified in clauses (i)
through (vi) of Section |
4.11(b)(2). The Board shall review and act on the
revised |
budget as provided in Section 4.11(b)(3).
|
(Source: P.A. 91-37, eff. 7-1-99; 91-51, eff. 6-30-99; 91-239, |
eff. 1-1-00;
91-357, eff. 7-29-99; 92-16, eff. 6-28-01.)
|
(70 ILCS 3615/4.11) (from Ch. 111 2/3, par. 704.11)
|
Sec. 4.11. Budget Review Powers.
|
(a) The provisions of this Section
shall only be applicable |
to financial periods beginning after December 31,
1983. The |
Transition Board shall adopt a timetable governing the |
certification
of estimates and any submissions required under |
this Section for fiscal
year 1984 which shall control over the |
provisions of this Act. Based
upon estimates which shall be |
given to the Authority by the Director of
the Illinois
|
Governor's Office of Management and Budget (formerly
Bureau of |
the Budget ) of the receipts to be received by the
Authority |
from the taxes imposed
by the Authority and the authorized |
estimates of amounts
to be available from State and other |
sources to the Service Boards, and
the times at which such |
receipts and amounts will be available, the Board
shall, not |
later than the next preceding September 15th prior to the |
beginning
of the Authority's next fiscal year,
advise each |
Service Board of the amounts estimated by the Board to be |
available
for such Service Board during such fiscal year and |
the two following fiscal
years and the times at which such |
|
amounts will be available. The Board
shall, at the same time, |
also advise each Service Board of its required
system generated |
revenues recovery ratio for the next fiscal year which
shall be |
the percentage of the aggregate costs of providing public
|
transportation by or under jurisdiction of that Service Board |
which must be
recovered from system generated revenues. The |
Board shall, at the same time, beginning with the 2007 fiscal |
year, also advise each Service Board that provides ADA |
paratransit services of its required system generated ADA |
paratransit services revenue recovery ratio for the next fiscal |
year which shall be the percentage of the aggregate costs of |
providing ADA paratransit services by or under jurisdiction of |
that Service Board which must be recovered from fares charged |
for such services, except that such required system generated |
ADA paratransit services revenue recovery ratio shall not |
exceed the minimum percentage established pursuant to Section |
4.01(b)(ii) of this Act. In determining
a Service Board's |
system generated revenue recovery ratio, the Board shall
|
consider the historical system generated revenues recovery |
ratio for the
services subject to the jurisdiction of that
|
Service Board. The Board shall not increase a Service Board's |
system generated
revenues recovery ratio for the next fiscal |
year over such ratio for the
current fiscal year |
disproportionately or prejudicially to increases in
such |
ratios for other Service Boards. The Board may, by ordinance,
|
provide that (i) the cost of research and development projects |
in the
fiscal year beginning January 1, 1986 and ending |
December 31, 1986
conducted pursuant to Section 2.09 of this |
Act, and (ii) up to $5,000,000
annually of the costs for |
passenger security, may be exempted from the
farebox recovery |
ratio or the system generated revenues recovery ratio of
the |
Chicago Transit Authority, the Suburban Bus Board, and the |
Commuter
Rail Board, or any of them. For the fiscal year |
beginning January 1, 1986
and ending December 31, 1986, and for |
the fiscal year beginning January
1, 1987 and ending December |
31, 1987, the Board shall, by ordinance, provide
that:
(1) the |
|
amount of a grant, pursuant to Section 2705-310 of the
|
Department of Transportation Law (20 ILCS 2705/2705-310), from |
the Department of Transportation for
the cost of services for |
the mobility limited provided by the Chicago
Transit Authority, |
and (2) the amount of a grant, pursuant to Section
2705-310 of |
the Department of Transportation Law (20 ILCS
2705/2705-310), |
from the Department
of
Transportation for the cost of services |
for the mobility limited by the
Suburban Bus Board or the |
Commuter Rail Board, be exempt from the farebox
recovery ratio |
or the system generated revenues recovery ratio.
|
(b)(1) Not later than the next preceding November 15 prior |
to the
commencement of such fiscal year, each Service Board |
shall submit to the
Authority its proposed budget for such |
fiscal year and its proposed
financial plan for the two |
following fiscal years. Such budget and
financial plan shall |
not project or assume a receipt of revenues from the
Authority |
in amounts greater than those set forth in the estimates |
provided
by the Authority pursuant to subsection (a) of this |
Section.
|
(2) The Board shall review the proposed budget and |
financial plan submitted
by each Service Board, and shall adopt |
a consolidated budget and financial
plan. The Board shall |
approve the budget and plan if:
|
(i) the Board has approved the proposed budget and cash |
flow plan for
such fiscal year of each Service Board, |
pursuant to the conditions set forth
in clauses (ii) |
through (vii) of this paragraph;
|
(ii) such budget and plan show a balance between (A) |
anticipated revenues
from all sources including operating |
subsidies and (B) the costs of providing
the services |
specified and of funding any operating deficits or |
encumbrances
incurred in prior periods, including |
provision for payment when due of
principal and interest on |
outstanding indebtedness;
|
(iii) such budget and plan show cash balances including |
the proceeds of
any anticipated cash flow borrowing |
|
sufficient to pay with reasonable
promptness all costs and |
expenses as incurred;
|
(iv) such budget and plan provide for a level of fares |
or charges and
operating or administrative costs for the |
public transportation provided
by or subject to the |
jurisdiction of such Service Board sufficient to allow
the |
Service Board to meet its required system generated revenue |
recovery ratio and, beginning with the 2007 fiscal year, |
system generated ADA paratransit services revenue recovery |
ratio ;
|
(v) such budget and plan are based upon and employ |
assumptions and
projections which are reasonable and |
prudent;
|
(vi) such budget and plan have been prepared in |
accordance with sound
financial practices as determined by |
the Board; and
|
(vii) such budget and plan meet such other financial, |
budgetary, or fiscal
requirements that the Board may by |
rule or regulation establish.
|
(3) In determining whether the budget and financial plan |
provide a level
of fares or charges sufficient to allow a |
Service Board to meet its required
system generated revenue |
recovery ratio and, beginning with the 2007 fiscal year, system |
generated ADA paratransit services revenue recovery ratio |
under clause (iv) in subparagraph (2),
the Board shall allow a |
Service Board to carry over cash from farebox
revenues to |
subsequent fiscal years.
|
(4) Unless the Board by an affirmative vote of 9 of the |
then Directors
determines that the budget and financial plan of |
a Service Board meets the
criteria specified in clauses (ii) |
through (vii) of subparagraph (2) of
this paragraph (b), the |
Board shall not release to that Service Board any
funds for the |
periods covered by such budget and financial plan except for
|
the proceeds of taxes imposed by the Authority under Section |
4.03 which
are allocated to the Service Board under Section |
4.01.
|
|
(5) If the Board has not found that the budget and |
financial plan of a
Service Board meets the criteria specified |
in clauses (i) through (vii)
of subparagraph (2) of this |
paragraph (b), the Board shall, five working
days after the |
start of the Service Board's fiscal year adopt a budget and
|
financial plan meeting such criteria for that Service Board.
|
(c)(1) If the Board shall at any time have received a
|
revised estimate, or revises any estimate the Board has made, |
pursuant to
this Section of the receipts to be collected by the |
Authority which, in
the judgment of the Board, requires a |
change in the estimates on which the
budget of any Service |
Board is based, the Board shall advise the affected
Service |
Board of such revised estimates, and such Service Board shall |
within
30 days after receipt of such advice submit a revised |
budget incorporating
such revised estimates. If the revised |
estimates require, in the judgment
of the Board, that the |
system generated revenues recovery ratio of one or
more Service |
Boards be revised in order to allow the Authority to meet its
|
required ratio, the Board shall advise any such Service Board |
of its revised
ratio and such Service Board shall within 30 |
days after receipt of such
advice submit a revised budget |
incorporating such revised estimates or ratio.
|
(2) Each Service Board shall, within such period after the |
end of each
fiscal quarter as shall be specified by the Board, |
report to the Authority
its financial condition and results of |
operations and the financial condition
and results of |
operations of the public transportation services subject
to its |
jurisdiction, as at the end of and for such quarter. If in the |
judgment
of the Board such condition and results are not |
substantially in accordance
with such Service Board's budget |
for such period, the Board shall so advise
such Service Board |
and such Service Board shall within the period specified
by the |
Board submit a revised budget incorporating such results.
|
(3) If the Board shall determine that a revised budget |
submitted by a
Service Board pursuant to subparagraph (1) or |
(2) of this paragraph (c)
does not meet the criteria specified |
|
in clauses (ii) through (vii) of
subparagraph
(2) of paragraph |
(b) of this Section, the Board shall not release any monies
to |
that Service Board except the proceeds of taxes imposed by the |
Authority
under Section 4.03 or 4.03.1 which are allocated to |
the Service Board under
Section 4.01. If the Service Board |
submits a revised financial plan and
budget which plan and |
budget shows that the criteria will be met within
a four |
quarter period, the Board shall continue to release funds to |
the
Service Board. The Board by a 9 vote of its then Directors |
may
require a Service Board to submit a revised financial plan |
and budget which
shows that the criteria will be met in a time |
period less than four quarters.
|
(d) All budgets and financial plans, financial statements, |
audits and
other information presented to the Authority |
pursuant to this Section or
which may be required by the Board |
to permit it to monitor compliance with
the provisions of this |
Section shall be prepared and presented in such
manner and |
frequency and in such detail as shall have been prescribed by
|
the Board, shall be prepared on both an accrual and cash flow |
basis as
specified by the Board, and shall identify and |
describe the assumptions and
projections employed in the |
preparation
thereof to the extent required by the Board. Except |
when the Board adopts
a budget and a financial plan for a |
Service Board under paragraph (b)(5),
a Service Board shall |
provide for such levels of transportation services
and fares or |
charges therefor as it deems appropriate and necessary in the
|
preparation of a budget and financial plan meeting the criteria |
set forth
in clauses (ii) through (vii) of subparagraph (2) of |
paragraph (b) of this
Section. The Board shall have access to |
and the right to examine and copy
all books, documents, papers, |
records, or other source data of a Service
Board relevant to |
any information submitted pursuant to this Section.
|
(e) Whenever this Section requires the Board to make |
determinations with
respect to estimates, budgets or financial |
plans, or rules or regulations
with respect thereto such |
determinations shall be made upon the affirmative
vote of at |