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Executive Committee
Adopted in House Comm. on Oct 14, 2009
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| AMENDMENT TO SENATE BILL 941
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| AMENDMENT NO. ______. Amend Senate Bill 941 by replacing |
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| everything after the enacting clause with the following:
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| "Section 5. The Regional Transportation Authority Act is |
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| amended by changing Sections 2.01d, 2.30, 4.03.3, 4.04, and |
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| 4.11 as follows: |
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| (70 ILCS 3615/2.01d) |
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| Sec. 2.01d. ADA Paratransit Fund. The Authority shall |
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| establish an ADA Paratransit Fund and, each year, deposit into |
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| that Fund (i) the amounts estimated by the Authority as |
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| necessary to fund the operating deficit of the Suburban Bus |
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| Board in the provision of ADA paratransit service, together |
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| with a reserve amount described in directed by Section 4.03.3 |
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| of this Act and the proceeds of any Working Cash Notes issued |
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| to fund that operating deficit, and (ii) any funds received |
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| from the State pursuant to appropriations for the purpose of |
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| funding ADA paratransit services. The amounts on deposit in the |
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| Fund and interest and other earnings on those amounts shall be |
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| used by the Authority to fund the operating deficit of make |
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| grants to the Suburban Bus Board in the operation of for ADA |
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| paratransit services provided pursuant to plans approved by the |
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| Authority under Section 2.30 of this Act. Funds received by the |
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| Suburban Bus Board from the Authority's ADA Paratransit Fund |
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| shall be used only to provide ADA paratransit services to |
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| individuals who are determined to be eligible for such services |
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| by the Authority under the Americans with Disabilities Act of |
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| 1990 and its implementing regulations. Revenues from and costs |
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| of services provided by the Suburban Bus Board with grants made |
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| under this Section shall be included in the Annual Budget and |
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| Two-Year Financial Program of the Suburban Bus Board and shall |
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| be subject to all budgetary and financial requirements under |
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| this Act that apply to ADA paratransit services. Beginning in |
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| 2008, the Executive Director shall, no later than August 15 of |
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| each year, provide to the Board a written determination of the |
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| projected annual costs of ADA paratransit services that are |
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| required to be provided pursuant to the Americans with |
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| Disabilities Act of 1990 and its implementing regulations. The |
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| Authority shall conduct triennial financial, compliance, and |
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| performance audits of ADA paratransit services to assist in |
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| this determination. |
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| (Source: P.A. 95-708, eff. 1-18-08.) |
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| (70 ILCS 3615/2.30) |
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| Sec. 2.30. Paratransit services. |
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| (a) For purposes of this Act, "ADA paratransit services" |
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| shall mean those comparable or specialized transportation |
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| services provided by, or under grant or purchase of service |
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| contracts of, the Service Boards to individuals with |
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| disabilities who are unable to use fixed route transportation |
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| systems and who are determined to be eligible, for some or all |
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| of their trips, for such services under the Americans with |
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| Disabilities Act of 1990 and its implementing regulations. |
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| (b) Beginning July 1, 2005, the Authority is responsible |
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| for the funding, from amounts on deposit in the ADA Paratransit |
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| Fund established under Section 2.01d of this Act, financial |
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| review and oversight of all ADA paratransit services that are |
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| provided by the Authority or by any of the Service Boards. The |
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| Suburban Bus Board shall operate or provide for the operation |
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| of all ADA paratransit services by no later than July 1, 2006, |
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| except that this date may be extended to the extent necessary |
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| to obtain approval from the Federal Transit Administration of |
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| the plan prepared pursuant to subsection (c). |
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| (c) No later than January 1, 2006, the Authority, in |
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| collaboration with the Suburban Bus Board and the Chicago |
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| Transit Authority, shall develop a plan for the provision of |
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| ADA paratransit services and submit such plan to the Federal |
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| Transit Administration for approval. Approval of such plan by |
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| the Authority shall require the affirmative votes of 12
of the |
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| then Directors. The Suburban Bus Board, the Chicago Transit |
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| Authority and the Authority shall comply with the requirements |
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| of the Americans with Disabilities Act of 1990 and its |
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| implementing regulations in developing and approving such plan |
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| including, without limitation, consulting with individuals |
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| with disabilities and groups representing them in the |
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| community, and providing adequate opportunity for public |
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| comment and public hearings. The plan shall include the |
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| contents required for a paratransit plan pursuant to the |
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| Americans with Disabilities Act of 1990 and its implementing |
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| regulations. The plan shall also include, without limitation, |
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| provisions to: |
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| (1) maintain, at a minimum, the levels of ADA |
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| paratransit service that are required to be provided by the |
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| Service Boards pursuant to the Americans with Disabilities |
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| Act of 1990 and its implementing regulations; |
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| (2) transfer the appropriate ADA paratransit services, |
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| management, personnel, service contracts and assets from |
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| the Chicago Transit Authority to the Authority or the |
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| Suburban Bus Board, as necessary, by no later than July 1, |
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| 2006, except that this date may be extended to the extent |
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| necessary to obtain approval from the Federal Transit |
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| Administration of the plan prepared pursuant to this |
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| subsection (c); |
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| (3) provide for consistent policies throughout the |
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| metropolitan region for scheduling of ADA paratransit |
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| service trips to and from destinations, with consideration |
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| of scheduling of return trips on a "will-call" open-ended |
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| basis upon request of the rider, if practicable, and with |
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| consideration of an increased number of trips available by |
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| subscription service than are available as of the effective |
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| date of this amendatory Act; |
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| (4) provide that service contracts and rates, entered |
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| into or set after the approval by the Federal Transit |
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| Administration of the plan prepared pursuant to subsection |
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| (c) of this Section, with private carriers and taxicabs for |
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| ADA paratransit service are procured by means of an open |
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| procurement process; |
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| (5) provide for fares, fare collection and billing |
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| procedures for ADA paratransit services throughout the |
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| metropolitan region; |
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| (6) provide for performance standards for all ADA |
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| paratransit service transportation carriers, with |
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| consideration of door-to-door service; |
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| (7) provide, in cooperation with the Illinois |
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| Department of Transportation, the Illinois Department of |
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| Public Aid and other appropriate public agencies and |
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| private entities, for the application and receipt of |
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| grants, including, without limitation, reimbursement from |
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| Medicaid or other programs for ADA paratransit services; |
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| (8) provide for a system of dispatch of ADA paratransit |
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| services transportation carriers throughout the |
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| metropolitan region, with consideration of county-based |
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| dispatch systems already in place as of the effective date |
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| of this amendatory Act; |
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| (9) provide for a process of determining eligibility |
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| for ADA paratransit services that complies with the |
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| Americans with Disabilities Act of 1990 and its |
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| implementing regulations ; beginning no later than January |
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| 1, 2010, that process shall be operated by the Suburban Bus |
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| Division as part of the cost of the ADA paratransit |
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| services to be paid from the ADA Paratransit Fund ; |
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| (10) provide for consideration of innovative methods |
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| to provide and fund ADA paratransit services; and |
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| (11) provide for the creation of one or more ADA |
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| advisory boards, or the reconstitution of the existing ADA |
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| advisory boards for the Service Boards, to represent the |
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| diversity of individuals with disabilities in the |
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| metropolitan region and to provide appropriate ongoing |
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| input from individuals with disabilities into the |
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| operation of ADA paratransit services.
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| (d) All revisions and annual updates to the ADA paratransit |
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| services plan developed pursuant to subsection (c) of this |
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| Section, or certifications of continued compliance in lieu of |
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| plan updates, that are required to be provided to the Federal |
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| Transit Administration shall be developed by the Authority, in |
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| collaboration with the Suburban Bus Board and the Chicago |
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| Transit Authority, and the Authority shall submit such |
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| revision, update or certification to the Federal Transit |
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| Administration for approval. Approval of such revisions, |
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| updates or certifications by the Authority shall require the |
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| affirmative votes of 12
of the then Directors. |
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| (e) The Illinois Department of Transportation, the |
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| Illinois Department of Public Aid, the Authority, the Suburban |
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| Bus Board and the Chicago Transit Authority shall enter into |
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| intergovernmental agreements as may be necessary to provide |
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| funding and accountability for, and implementation of, the |
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| requirements of this Section. |
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| (f) By no later than April 1, 2007, the Authority shall |
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| develop and submit to the General Assembly and the Governor a |
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| funding plan for ADA paratransit services. Approval of such |
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| plan by the Authority shall require the affirmative votes of 12
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| of the then Directors. The funding plan shall, at a minimum, |
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| contain an analysis of the current costs of providing ADA |
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| paratransit services, projections of the long-term costs of |
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| providing ADA paratransit services, identification of and |
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| recommendations for possible cost efficiencies in providing |
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| ADA paratransit services, and identification of and |
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| recommendations for possible funding sources for providing ADA |
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| paratransit services. The Illinois Department of |
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| Transportation, the Illinois Department of Public Aid, the |
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| Suburban Bus Board, the Chicago Transit Authority and other |
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| State and local public agencies as appropriate shall cooperate |
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| with the Authority in the preparation of such funding plan. |
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| (g) Any funds derived from the federal Medicaid program for |
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| reimbursement of the costs of providing ADA paratransit |
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| services within the metropolitan region shall be directed to |
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| the Authority and shall be used to pay for or reimburse the |
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| costs of providing such services. |
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| (h) Nothing in this amendatory Act shall be construed to |
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| conflict with the requirements of the Americans with |
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| Disabilities Act of 1990 and its implementing regulations. |
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| (Source: P.A. 94-370, eff. 7-29-05; 95-708, eff. 1-18-08.) |
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| (70 ILCS 3615/4.03.3) |
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| Sec. 4.03.3. Distribution of Revenues. This Section |
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| applies only after the Department begins administering and |
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| enforcing an increased tax under Section 4.03(m) as authorized |
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| by this amendatory Act of the 95th General Assembly. After |
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| providing for payment of its obligations with respect to bonds |
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| and notes issued under the provisions of Section 4.04 and |
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| obligations related to those bonds and notes, the Authority |
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| shall disburse the remaining proceeds from taxes it has |
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| received from the Department of Revenue under this Article IV |
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| and the remaining proceeds it has received from the State under |
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| Section 4.09(a) as follows: |
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| (a) With respect to taxes imposed by the Authority under |
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| Section 4.03, after withholding 15% of 80% of the receipts from |
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| those taxes collected in Cook County at a rate of 1.25%, 15% of |
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| 75% of the receipts from those taxes collected in Cook County |
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| at the rate of 1%, 15% of one-half of the receipts from those |
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| taxes collected in DuPage, Kane, Lake, McHenry, and Will |
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| Counties, and 15% of money received by the Authority from the |
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| Regional Transportation Authority Occupation and Use Tax |
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| Replacement Fund or from the Regional Transportation Authority |
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| tax fund created in Section 4.03(n), the Board shall allocate |
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| the proceeds and money remaining to the Service Boards as |
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| follows:
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| (1) an amount equal to (i) 85% of 80% of the receipts |
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| from those taxes collected within the City of Chicago at a |
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| rate of 1.25%, (ii) 85% of 75% of the receipts from those |
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| taxes collected in the City of Chicago at the rate of 1%, |
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| and (iii) 85% of the money received by the Authority on |
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| account of transfers to the Regional Transportation |
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| Authority Occupation and Use Tax Replacement Fund or to the |
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| Regional Transportation Authority tax fund created in |
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| Section 4.03(n) from the County and Mass Transit District |
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| Fund attributable to retail sales within the City of |
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| Chicago shall be allocated to the Chicago Transit |
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| Authority;
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| (2) an amount equal to (i) 85% of 80% of the receipts |
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| from those taxes collected within Cook County outside of |
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| the City of Chicago at a rate of 1.25%, (ii) 85% of 75% of |
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| the receipts from those taxes collected within Cook County |
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| outside the City of Chicago at a rate of 1%, and (iii) 85% |
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| of the money received by the Authority on account of |
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| transfers to the Regional Transportation Authority |
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| Occupation and Use Tax Replacement Fund or to the Regional |
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| Transportation Authority tax fund created in Section |
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| 4.03(n) from the County and Mass Transit District Fund |
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| attributable to retail sales within Cook County outside of |
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| the City of Chicago shall be allocated 30% to the Chicago |
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| Transit Authority, 55% to the Commuter Rail Board, and 15% |
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| to the Suburban Bus Board; and
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| (3) an amount equal to 85% of one-half of the receipts |
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| from the taxes collected within the Counties of DuPage, |
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| Kane, Lake, McHenry, and Will shall be allocated 70% to the |
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| Commuter Rail Board and 30% to the Suburban Bus Board.
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| (b) Moneys received by the Authority on account of |
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| transfers to the Regional Transportation Authority Occupation |
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| and Use Tax Replacement Fund from the State and Local Sales Tax |
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| Reform Fund shall be allocated among the Authority and the |
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| 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 |
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| the Service Boards as soon as may be practicable after the |
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| Authority receives payment. Moneys which are distributable to |
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| the Service Boards pursuant to the preceding sentence shall be |
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| allocated among the Service Boards on the basis of each Service |
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| Board's distribution ratio. The term "distribution ratio" |
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| means, for purposes of this subsection (b), the ratio of the |
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| total amount distributed to a Service Board pursuant to |
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| subsection (a) of Section 4.03.3 for the immediately preceding |
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| calendar year to the total amount distributed to all of the |
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| Service Boards pursuant to subsection (a) of Section 4.03.3 for |
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| the immediately preceding calendar year.
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| (c)(i) 20% of the receipts from those taxes collected in |
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| Cook County under Section 4.03 at the rate of 1.25%, (ii) 25% |
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| of the receipts from those taxes collected in Cook County under |
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| Section 4.03 at the rate of 1%, (iii) 50% of the receipts from |
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| those taxes collected in DuPage, Kane, Lake, McHenry, and Will |
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| Counties under Section 4.03, and (iv) amounts received from the |
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| State under Section 4.09 (a)(2) and items (i), (ii), and (iii) |
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| of Section 4.09 (a)(3) shall be allocated as follows: (A) in |
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| 2008, $100,000,000 shall be deposited in the ADA Paratransit |
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| Fund described in Section 2.01d, $20,000,000 shall be deposited |
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| in the Suburban Community Mobility Fund described in Section |
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| 2.01e, and $10,000,000 shall be deposited in the Innovation, |
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| Coordination and Enhancement Fund described in Section 2.01c , |
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| and the balance shall be allocated 48% to the Chicago Transit |
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| Authority, 39% to the Commuter Rail Board, and 13% to the |
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| Suburban Bus Board ; (B) and in 2009 and each year thereafter, |
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| the amounts deposited into in the ADA Paratransit Fund in 2009, |
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| and amounts deposited into , the Suburban Community Mobility |
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| Fund and the Innovation, Coordination and Enhancement Fund |
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| respectively in 2009 and each year thereafter shall equal the |
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| amount deposited in the previous year increased or decreased by |
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| the percentage growth or decline in revenues received by the |
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| Authority from taxes imposed under Section 4.03 in the previous |
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| year ; (C) the amount deposited into the ADA Paratransit Fund in |
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| 2010 and each year thereafter shall be the sum of the amount |
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| estimated by the Board from time to time as the operating |
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| deficit for ADA paratransit services for that year under |
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| Section 4.11 of this Act, plus 10% of that amount as a reserve, |
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| plus any amounts necessary to pay principal of and interest on |
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| Working Cash Notes issued to fund cash flow deficits of the |
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| Suburban Bus Board in the provision of ADA paratransit service, |
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| less the amount estimated by the Board to be the surplus in the |
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| ADA Paratransit Fund for the previous year; , and (D) after |
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| making the deposits required in items (A) through (C) above, |
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| the balance shall be allocated 48% to the Chicago Transit |
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| Authority, 39% to the Commuter Rail Board and 13% to the |
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| Suburban Bus Board.
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| (d) Amounts received from the State under Section 4.09 |
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| (a)(3)(iv) shall be distributed 100% to the Chicago Transit |
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| Authority.
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| (e) With respect to those taxes collected in DuPage, Kane, |
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| Lake, McHenry, and Will Counties and paid directly to the |
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| counties under Section 4.03, the County Board of each county |
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| shall use those amounts to fund operating and capital costs of |
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| public safety and public transportation services or facilities |
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| or to fund operating, capital, right-of-way, construction, and |
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| maintenance costs of other transportation purposes, including |
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| road, bridge, public safety, and transit purposes intended to |
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| improve mobility or reduce congestion in the county. The |
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| receipt of funding by such counties pursuant to this paragraph |
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| shall not be used as the basis for reducing any funds that such |
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| counties would otherwise have received from the State of |
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| Illinois, any agency or instrumentality thereof, the |
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| Authority, or the Service Boards.
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| (f) The Authority by ordinance adopted by 12 of its then |
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| Directors shall apportion to the Service Boards funds provided |
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| by the State of Illinois under Section 4.09(a)(1) as it shall |
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| determine and shall make payment of the amounts to each Service |
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| Board as soon as may be practicable upon their receipt provided |
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| the Authority has adopted a balanced budget as required by |
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| Section 4.01 and further provided the Service Board is in |
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| compliance with the requirements in Section 4.11.
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| (g) Beginning January 1, 2009, before making any payments, |
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| transfers, or expenditures under this Section to a Service |
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| Board, the Authority must first comply with Section 4.02a or |
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| 4.02b of this Act, whichever may be applicable.
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| (Source: P.A. 95-708, eff. 1-18-08.) |
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| (70 ILCS 3615/4.04) (from Ch. 111 2/3, par. 704.04) |
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| Sec. 4.04. Issuance and Pledge of Bonds and Notes. |
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| (a) The Authority shall have the continuing power to borrow |
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| money and to
issue its negotiable bonds or notes as provided in |
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| this Section. Unless
otherwise indicated in this Section, the |
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| term "notes" also includes bond
anticipation notes, which are |
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| notes which by their terms provide for
their payment from the |
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| proceeds of bonds thereafter to be issued. Bonds
or notes of |
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| the Authority may be issued for any or all of the following
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| purposes: to pay costs to the Authority or a Service Board of |
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| constructing
or acquiring any public transportation facilities |
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| (including funds and
rights relating thereto, as provided in |
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| Section 2.05 of this Act); to repay
advances to the Authority |
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| or a Service Board made for such purposes; to pay
other |
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| expenses of the Authority or a Service Board incident to or |
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| incurred
in connection with such construction or acquisition; |
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| to provide funds for
any transportation agency to pay principal
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| of or interest or redemption premium on any bonds or notes, |
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| whether
as such amounts become due or by earlier redemption, |
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| issued prior to the
date of this amendatory Act by such |
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| transportation agency to construct or
acquire public |
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| transportation facilities or to provide funds to purchase
such |
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| bonds or notes; and to provide funds for any transportation |
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| agency to
construct or acquire any public transportation |
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| facilities, to repay
advances made for such purposes, and to |
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| pay other expenses incident to
or incurred in connection with |
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| such construction or acquisition; and to
provide funds for |
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| payment of obligations, including the funding of reserves,
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| under any self-insurance plan or joint self-insurance pool or |
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| entity. |
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| In addition to any other borrowing as may be authorized by |
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| this Section,
the Authority may issue its notes, from time to |
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| time, in anticipation of
tax receipts of the Authority or of |
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| other
revenues or receipts of the Authority, in order to |
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| provide money for the
Authority or the Service Boards to cover |
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| any cash flow deficit which
the Authority or a Service Board |
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| anticipates incurring , including, but not limited to, cash flow |
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| deficits related to the provision of ADA paratransit service by |
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| the Suburban Bus Board . Any such notes
are referred to in this |
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| Section as "Working Cash Notes". No Working
Cash Notes shall be |
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| issued for a term of longer than 24
months.
Proceeds of Working |
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| Cash Notes may be used to pay day to day operating
expenses of |
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| the Authority or the Service Boards, consisting of wages,
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| salaries and fringe benefits, professional and technical |
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| services
(including legal, audit, engineering and other |
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| consulting services), office
rental, furniture, fixtures and |
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| equipment, insurance premiums, claims for
self-insured amounts |
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| under insurance policies, public utility
obligations for |
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| telephone, light, heat and similar items, travel expenses,
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| office supplies, postage, dues, subscriptions, public hearings |
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| and information
expenses, fuel purchases, and payments of |
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| grants and payments under purchase
of service agreements for |
20 |
| operations of transportation agencies, prior to
the receipt by |
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| the Authority or a Service Board from time to time of
funds for |
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| paying such expenses. In addition to any Working Cash Notes
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| that the Board of the Authority may determine to issue, the |
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| Suburban Bus
Board, the Commuter Rail Board or the Board of the |
25 |
| Chicago Transit Authority
may demand and direct that the |
26 |
| Authority issue its Working Cash Notes in
such amounts and |
|
|
|
09600SB0941ham001 |
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LRB096 07050 HLH 29919 a |
|
|
1 |
| having such maturities as the Service Board may determine. |
2 |
| Notwithstanding any other provision of this Act, any |
3 |
| amounts necessary to
pay principal of and interest on any
|
4 |
| Working Cash Notes issued at the demand
and direction of a |
5 |
| Service Board or any Working Cash Notes the proceeds of
which |
6 |
| were used for the direct benefit of a Service Board or any |
7 |
| other
Bonds or Notes of the Authority the proceeds of which |
8 |
| were used for the
direct benefit of a Service Board shall |
9 |
| constitute a reduction of the amount
of any other funds |
10 |
| provided by the Authority to that Service
Board , except any |
11 |
| amounts necessary to pay principal of and interest on Working |
12 |
| Cash Notes issued to fund cash flow deficits of the Suburban |
13 |
| Bus Board in the provision of ADA paratransit service shall be |
14 |
| accounted for as paid from amounts deposited in the ADA |
15 |
| Paratransit Fund under Section 4.03.3 . The Authority shall, |
16 |
| after deducting any costs of issuance, tender
the net proceeds |
17 |
| of any Working Cash Notes issued at the demand and
direction of |
18 |
| a Service Board to such Service Board as soon as may be
|
19 |
| practicable after the proceeds are received. The Authority may |
20 |
| also issue
notes or bonds to pay, refund or redeem any of its |
21 |
| notes and bonds,
including to pay redemption premiums or |
22 |
| accrued interest on such bonds or
notes being renewed, paid or |
23 |
| refunded, and other costs in connection
therewith. The |
24 |
| Authority may also utilize the proceeds of any such bonds or
|
25 |
| notes to pay the legal, financial, administrative and other |
26 |
| expenses of
such authorization, issuance, sale or delivery of |
|
|
|
09600SB0941ham001 |
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LRB096 07050 HLH 29919 a |
|
|
1 |
| bonds or notes or to
provide or increase a debt service reserve |
2 |
| fund with respect to any or all
of its bonds or notes. The |
3 |
| Authority may also issue and deliver
its bonds or notes in |
4 |
| exchange for any public transportation facilities,
(including |
5 |
| funds and rights relating thereto, as provided in Section
2.05 |
6 |
| of this Act) or in exchange for outstanding bonds or notes of |
7 |
| the
Authority, including any accrued interest or redemption |
8 |
| premium thereon,
without advertising or submitting such notes |
9 |
| or bonds for public bidding. |
10 |
| (b) The ordinance providing for the issuance of any such |
11 |
| bonds or
notes shall fix the date or dates of maturity, the |
12 |
| dates on which
interest is payable, any sinking fund account or |
13 |
| reserve fund account
provisions and all other details of such |
14 |
| bonds or notes and may provide
for such covenants or agreements |
15 |
| necessary or desirable with regard to
the issue, sale and |
16 |
| security of such bonds or notes. The rate or rates of
interest |
17 |
| on its bonds or notes may be fixed or variable and the |
18 |
| Authority
shall determine or provide for the determination of |
19 |
| the rate or
rates of interest of its bonds or notes
issued |
20 |
| under this Act in an ordinance adopted by the Authority prior |
21 |
| to
the issuance thereof, none of which rates of interest shall |
22 |
| exceed
that permitted in the Bond Authorization Act. Interest |
23 |
| may be payable at such times as are provided for
by the Board. |
24 |
| Bonds and notes issued under this Section may
be issued as |
25 |
| serial or term obligations, shall be of such denomination
or |
26 |
| denominations and form, including interest coupons to be |
|
|
|
09600SB0941ham001 |
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LRB096 07050 HLH 29919 a |
|
|
1 |
| attached
thereto, be executed in such manner, shall be payable |
2 |
| at such place or
places and bear such date as the Authority |
3 |
| shall fix by the ordinance
authorizing such bond or note and |
4 |
| shall mature at such time or times,
within a period not to |
5 |
| exceed forty years from the date of issue, and
may be |
6 |
| redeemable prior to maturity with or without premium, at the
|
7 |
| option of the Authority, upon such terms and conditions as the |
8 |
| Authority
shall fix by the ordinance authorizing the issuance |
9 |
| of such bonds or
notes. No bond anticipation note or any |
10 |
| renewal thereof shall mature at
any time or times exceeding 5 |
11 |
| years from the date of the first issuance
of such note. The |
12 |
| Authority may provide for the registration of bonds or
notes in |
13 |
| the name of the owner as to the principal alone or as to both
|
14 |
| principal and interest, upon such terms and conditions as the |
15 |
| Authority
may determine. The ordinance authorizing bonds or |
16 |
| notes may provide for
the exchange of such bonds or notes which |
17 |
| are fully registered, as to
both principal and interest, with |
18 |
| bonds or notes which are registerable
as to principal only. All |
19 |
| bonds or notes issued under this Section by
the Authority other |
20 |
| than those issued in exchange for property or for
bonds or |
21 |
| notes of the Authority shall be sold at a price which may be at
|
22 |
| a premium or discount but such that the interest cost |
23 |
| (excluding any
redemption premium) to the Authority of the |
24 |
| proceeds of an issue of such
bonds or notes, computed to stated |
25 |
| maturity according to standard tables
of bond values, shall not |
26 |
| exceed that permitted in the Bond Authorization
Act. The |
|
|
|
09600SB0941ham001 |
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LRB096 07050 HLH 29919 a |
|
|
1 |
| Authority shall notify
the
Governor's Office of Management and |
2 |
| Budget and the State Comptroller at least 30 days
before any |
3 |
| bond sale and shall file with the
Governor's Office of |
4 |
| Management and Budget and the
State Comptroller a certified |
5 |
| copy of any ordinance authorizing the issuance
of bonds at or |
6 |
| before the issuance of the bonds.
After December 31, 1994, any |
7 |
| such bonds or notes shall be sold
to the highest and best |
8 |
| bidder on sealed bids as the Authority shall deem.
As such |
9 |
| bonds or notes are to be sold the Authority shall advertise for
|
10 |
| proposals to purchase the bonds or notes which advertisement |
11 |
| shall be published
at least once in a daily newspaper of |
12 |
| general circulation published in the
metropolitan region at |
13 |
| least 10 days before the time set for the submission
of bids. |
14 |
| The Authority shall have the right to reject any or all bids.
|
15 |
| Notwithstanding any other provisions of this Section, Working |
16 |
| Cash Notes or
bonds or notes to provide funds for |
17 |
| self-insurance or a joint self-insurance
pool or entity may be |
18 |
| sold either upon competitive bidding or by negotiated
sale
|
19 |
| (without any requirement of publication of intention to |
20 |
| negotiate the sale
of such Notes), as the Board shall determine |
21 |
| by ordinance adopted with the
affirmative votes of at least 9
|
22 |
| Directors. In case any officer whose signature
appears on any |
23 |
| bonds, notes or coupons authorized pursuant to this
Section |
24 |
| shall cease to be such officer before delivery of such bonds or
|
25 |
| notes, such signature shall nevertheless be valid and |
26 |
| sufficient for all
purposes, the same as if such officer had |
|
|
|
09600SB0941ham001 |
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LRB096 07050 HLH 29919 a |
|
|
1 |
| remained in office until such
delivery. Neither the Directors |
2 |
| of the Authority nor any person
executing any bonds or notes |
3 |
| thereof shall be liable personally on any
such bonds or notes |
4 |
| or coupons by reason of the issuance thereof. |
5 |
| (c) All bonds or notes of the Authority issued pursuant to |
6 |
| this Section
shall be general obligations
of the Authority to |
7 |
| which shall be pledged the full faith and credit of the
|
8 |
| Authority, as provided in this Section. Such bonds or notes
|
9 |
| shall be secured
as provided in the authorizing ordinance, |
10 |
| which may, notwithstanding any other
provision of this Act, |
11 |
| include in addition to any other security, a specific
pledge or |
12 |
| assignment of and lien on or security interest in any or all |
13 |
| tax
receipts of the Authority and on any or all other revenues |
14 |
| or moneys of the
Authority from whatever source, which may by |
15 |
| law be utilized for debt
service purposes and a specific pledge |
16 |
| or assignment of and lien on or security
interest in any funds |
17 |
| or accounts established or provided for by the ordinance
of the |
18 |
| Authority authorizing the issuance of such bonds or notes. Any |
19 |
| such
pledge, assignment, lien or security interest for the |
20 |
| benefit of holders of
bonds or notes of the Authority shall be |
21 |
| valid and binding from the time the
bonds or notes are issued |
22 |
| without any physical delivery or further act
and shall be valid |
23 |
| and binding as against and prior to the claims of all
other |
24 |
| parties having claims of any kind against the Authority or any |
25 |
| other
person irrespective of whether such other parties have |
26 |
| notice of such pledge,
assignment, lien or security interest. |
|
|
|
09600SB0941ham001 |
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LRB096 07050 HLH 29919 a |
|
|
1 |
| The obligations of the Authority
incurred pursuant to this |
2 |
| Section shall be superior to and have priority over
any other |
3 |
| obligations of the Authority. |
4 |
| The Authority may provide in the
ordinance authorizing the |
5 |
| issuance of any bonds or notes issued pursuant to
this Section |
6 |
| for the creation of, deposits in, and regulation and |
7 |
| disposition
of sinking fund or reserve accounts relating to |
8 |
| such bonds or notes. The
ordinance authorizing the issuance of |
9 |
| any bonds or notes pursuant to this
Section may contain |
10 |
| provisions as part of the contract with the holders
of the |
11 |
| bonds or notes, for the creation of a separate fund to provide
|
12 |
| for the payment of principal and interest on such bonds or |
13 |
| notes
and for the deposit in such fund from any or all the tax |
14 |
| receipts of the
Authority and from any or all such other moneys |
15 |
| or revenues of the
Authority from whatever source which may by |
16 |
| law be utilized for debt
service purposes, all as provided in |
17 |
| such ordinance, of amounts to meet
the debt service |
18 |
| requirements on such bonds or notes, including
principal and |
19 |
| interest, and any sinking fund or reserve fund account
|
20 |
| requirements as may be provided by such ordinance, and all |
21 |
| expenses
incident to or in connection with such fund and |
22 |
| accounts or the payment
of such bonds or notes.
Such ordinance |
23 |
| may also provide limitations on the issuance of additional
|
24 |
| bonds or notes of the Authority. No such bonds or notes of the |
25 |
| Authority
shall constitute a debt of the State of Illinois. |
26 |
| Nothing in this Act shall
be construed to enable the Authority |
|
|
|
09600SB0941ham001 |
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LRB096 07050 HLH 29919 a |
|
|
1 |
| to impose any ad valorem tax on property. |
2 |
| (d) The ordinance of the Authority authorizing the issuance |
3 |
| of any bonds
or notes may provide additional security for such |
4 |
| bonds or notes by providing
for appointment of a corporate |
5 |
| trustee (which may be any trust company or
bank having the |
6 |
| powers of a trust company within the state) with respect
to |
7 |
| such bonds or notes. The ordinance shall prescribe the rights, |
8 |
| duties
and powers of the trustee to be exercised for the |
9 |
| benefit of the Authority
and the protection of the holders of |
10 |
| such bonds or notes. The ordinance
may provide for the trustee |
11 |
| to hold in trust, invest and use amounts in
funds and accounts |
12 |
| created as provided by the ordinance with respect to
the bonds |
13 |
| or notes. The ordinance may provide for the assignment and |
14 |
| direct
payment to the trustee of any or all amounts produced |
15 |
| from the sources
provided in Section 4.03 and Section 4.09 of |
16 |
| this Act and provided in Section 6z-17 of "An Act
in relation |
17 |
| to State finance", approved June 10, 1919, as amended.
Upon |
18 |
| receipt of notice of any such assignment, the Department of |
19 |
| Revenue and
the Comptroller of the State of Illinois shall |
20 |
| thereafter, notwithstanding the
provisions of Section 4.03 and |
21 |
| Section 4.09 of this Act and Section 6z-17 of "An Act in |
22 |
| relation
to State finance", approved June 10, 1919, as amended, |
23 |
| provide for such
assigned amounts to be paid directly to the |
24 |
| trustee instead of the Authority,
all in accordance with the |
25 |
| terms of the ordinance making the assignment. The
ordinance |
26 |
| shall provide that
amounts so paid to the trustee which are not |
|
|
|
09600SB0941ham001 |
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LRB096 07050 HLH 29919 a |
|
|
1 |
| required to be deposited, held
or invested in funds and |
2 |
| accounts created by the ordinance with respect
to bonds or |
3 |
| notes or used for paying bonds or notes to be paid by the |
4 |
| trustee
to the Authority. |
5 |
| (e) Any bonds or notes of the Authority issued pursuant to |
6 |
| this
Section shall constitute a contract between the Authority |
7 |
| and the
holders from time to time of such bonds or notes. In |
8 |
| issuing any bond or
note, the Authority may include in the |
9 |
| ordinance authorizing such issue
a covenant as part of the |
10 |
| contract with the holders of the bonds or
notes, that as long |
11 |
| as such obligations are outstanding, it shall make
such |
12 |
| deposits, as provided in paragraph (c) of this Section. It may |
13 |
| also
so covenant that it shall impose and continue to impose |
14 |
| taxes, as
provided in Section 4.03 of this Act and in addition |
15 |
| thereto as
subsequently authorized by law, sufficient to make |
16 |
| such deposits and pay
the principal and interest and to meet |
17 |
| other debt service requirements
of such bonds or notes as they |
18 |
| become due. A certified copy of the
ordinance authorizing the |
19 |
| issuance of any such obligations shall be
filed at or prior to |
20 |
| the issuance of such obligations with the Comptroller
of the |
21 |
| State of Illinois and the Illinois Department of Revenue. |
22 |
| (f) The State of Illinois pledges to and agrees with the |
23 |
| holders of
the bonds and notes of the Authority issued pursuant |
24 |
| to this Section
that the State will not limit or alter the |
25 |
| rights and powers vested in
the Authority by this Act so as to |
26 |
| impair the terms of any contract made
by the Authority with |
|
|
|
09600SB0941ham001 |
- 24 - |
LRB096 07050 HLH 29919 a |
|
|
1 |
| such holders or in any way impair the rights and
remedies of |
2 |
| such holders until such bonds and notes, together with
interest |
3 |
| thereon, with interest on any unpaid installments of interest,
|
4 |
| and all costs and expenses in connection with any action or |
5 |
| proceedings
by or on behalf of such holders, are fully met and |
6 |
| discharged. In
addition, the State pledges to and agrees with |
7 |
| the holders of the bonds
and notes of the Authority issued |
8 |
| pursuant to this Section that the
State will not limit or alter |
9 |
| the basis on which State funds are to be
paid to the Authority |
10 |
| as provided in this Act, or the use of such funds,
so as to |
11 |
| impair the terms of any such contract. The Authority is
|
12 |
| authorized to include these pledges and agreements of the State |
13 |
| in any
contract with the holders of bonds or notes issued |
14 |
| pursuant to this
Section. |
15 |
| (g) (1) Except as provided in subdivisions (g)(2) and |
16 |
| (g)(3) of Section
4.04 of this Act, the Authority shall not |
17 |
| at any time issue, sell or deliver
any bonds or notes |
18 |
| (other than Working Cash Notes) pursuant to this Section
|
19 |
| 4.04 which will cause
it to have issued and outstanding at |
20 |
| any time in excess of $800,000,000 of such
bonds and notes |
21 |
| (other than Working Cash Notes).
The Authority shall not at |
22 |
| any time issue, sell, or deliver any Working Cash Notes |
23 |
| pursuant to this Section that will cause it to have issued |
24 |
| and outstanding at any time in excess of $400,000,000 |
25 |
| $100,000,000 . Notwithstanding the foregoing, before July |
26 |
| 1, 2009, the Authority may issue, sell, and deliver an |
|
|
|
09600SB0941ham001 |
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LRB096 07050 HLH 29919 a |
|
|
1 |
| additional $300,000,000 in Working Cash Notes, provided |
2 |
| that any such additional notes shall mature on or before |
3 |
| June 30, 2011.
Bonds or notes which are being paid or |
4 |
| retired by
such issuance, sale or delivery of bonds or |
5 |
| notes, and bonds or notes for
which sufficient funds have |
6 |
| been deposited with the paying agency of
such bonds or |
7 |
| notes to provide for payment of principal and interest
|
8 |
| thereon or to provide for the redemption thereof, all |
9 |
| pursuant to the
ordinance authorizing the issuance of such |
10 |
| bonds or notes, shall not be
considered to be outstanding |
11 |
| for the purposes of the first two sentences
of this |
12 |
| subsection. |
13 |
| (2) In addition to the authority provided by paragraphs
|
14 |
| (1) and (3), the Authority is authorized to issue, sell and |
15 |
| deliver bonds
or notes for Strategic Capital Improvement |
16 |
| Projects approved pursuant to
Section 4.13 as follows: |
17 |
| $100,000,000 is authorized to be issued on or after |
18 |
| January 1, 1990; |
19 |
| an additional $100,000,000 is authorized to be issued |
20 |
| on or after
January 1, 1991; |
21 |
| an additional $100,000,000 is authorized to be issued |
22 |
| on or after
January 1, 1992; |
23 |
| an additional $100,000,000 is authorized to be issued |
24 |
| on or after
January 1, 1993; |
25 |
| an additional $100,000,000 is authorized to be issued |
26 |
| on or after
January 1, 1994; and |
|
|
|
09600SB0941ham001 |
- 26 - |
LRB096 07050 HLH 29919 a |
|
|
1 |
| the aggregate total authorization of bonds and notes |
2 |
| for Strategic
Capital Improvement Projects as of January 1, |
3 |
| 1994, shall be $500,000,000. |
4 |
| The Authority is also authorized to issue, sell, and |
5 |
| deliver bonds or
notes in such amounts as are necessary to |
6 |
| provide for the refunding or advance
refunding of bonds or |
7 |
| notes issued for Strategic Capital Improvement Projects
|
8 |
| under this subdivision (g)(2), provided that no such |
9 |
| refunding bond or note
shall mature later than the final |
10 |
| maturity date of the series of bonds or notes
being |
11 |
| refunded, and provided further that the debt service |
12 |
| requirements for
such refunding bonds or notes in the |
13 |
| current or any future fiscal year shall
not exceed the debt |
14 |
| service requirements for that year on the refunded bonds
or |
15 |
| notes. |
16 |
| (3) In addition to the authority provided by paragraphs |
17 |
| (1) and (2),
the Authority is authorized to issue, sell, |
18 |
| and deliver bonds or notes for
Strategic Capital |
19 |
| Improvement Projects approved pursuant to Section 4.13 as
|
20 |
| follows: |
21 |
| $260,000,000 is authorized to be issued on or after |
22 |
| January 1, 2000; |
23 |
| an additional $260,000,000 is authorized to be issued |
24 |
| on or after
January 1, 2001; |
25 |
| an additional $260,000,000 is authorized to be issued |
26 |
| on or after
January 1, 2002; |
|
|
|
09600SB0941ham001 |
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LRB096 07050 HLH 29919 a |
|
|
1 |
| an additional $260,000,000 is authorized to be issued |
2 |
| on or after
January 1, 2003; |
3 |
| an additional $260,000,000 is authorized to be issued |
4 |
| on or after
January 1, 2004; and |
5 |
| the aggregate total authorization of bonds and notes |
6 |
| for Strategic
Capital Improvement Projects pursuant to |
7 |
| this paragraph (3) as of
January 1, 2004 shall be |
8 |
| $1,300,000,000. |
9 |
| The Authority is also authorized to issue, sell, and |
10 |
| deliver bonds or notes
in such amounts as are necessary to |
11 |
| provide for the refunding or advance
refunding of bonds or |
12 |
| notes issued for Strategic Capital Improvement projects
|
13 |
| under this subdivision (g)(3), provided that no such |
14 |
| refunding bond or note
shall mature later than the final |
15 |
| maturity date of the series of bonds or notes
being |
16 |
| refunded, and provided further that the debt service |
17 |
| requirements for
such refunding bonds or notes in the |
18 |
| current or any future fiscal year shall
not exceed the debt |
19 |
| service requirements for that year on the refunded bonds or
|
20 |
| notes. |
21 |
| (h) The Authority, subject to the terms of any agreements |
22 |
| with noteholders
or bond holders as may then exist, shall have |
23 |
| power, out of any funds
available therefor, to purchase notes |
24 |
| or bonds of the Authority, which
shall thereupon be cancelled. |
25 |
| (i) In addition to any other authority granted by law, the |
26 |
| State Treasurer
may, with the approval of the Governor, invest |
|
|
|
09600SB0941ham001 |
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LRB096 07050 HLH 29919 a |
|
|
1 |
| or reinvest, at a price not
to exceed par, any State money in |
2 |
| the State Treasury which is not needed
for current expenditures |
3 |
| due or about to become due in Working Cash Notes. |
4 |
| (Source: P.A. 94-793, eff. 5-19-06; 95-708, eff. 1-18-08.) |
5 |
| (70 ILCS 3615/4.11) (from Ch. 111 2/3, par. 704.11) |
6 |
| Sec. 4.11. Budget Review Powers. |
7 |
| (a) Based
upon estimates which shall be given to the |
8 |
| Authority by the Director of
the
Governor's Office of |
9 |
| Management and Budget (formerly
Bureau of the Budget) of the |
10 |
| receipts to be received by the
Authority from the taxes imposed
|
11 |
| by the Authority and the authorized estimates of amounts
to be |
12 |
| available from State and other sources to the Service Boards, |
13 |
| and
the times at which such receipts and amounts will be |
14 |
| available, the Board
shall, not later than the next preceding |
15 |
| September 15th prior to the beginning
of the Authority's next |
16 |
| fiscal year,
advise each Service Board of the amounts estimated |
17 |
| by the Board to be available
for such Service Board during such |
18 |
| fiscal year and the two following fiscal
years and the times at |
19 |
| which such amounts will be available. The Board shall also |
20 |
| advise the Service Boards of the estimated operating deficit of |
21 |
| the Suburban Bus Board in the provision of ADA paratransit |
22 |
| service during the next fiscal year, and the amount estimated |
23 |
| to be deposited into the ADA Paratransit Fund during that |
24 |
| fiscal year under Section 4.03.3. The Board
shall, at the same |
25 |
| time, also advise each Service Board of its required
system |
|
|
|
09600SB0941ham001 |
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LRB096 07050 HLH 29919 a |
|
|
1 |
| generated revenues recovery ratio for the next fiscal year |
2 |
| which
shall be the percentage of the aggregate costs of |
3 |
| providing public
transportation by or under jurisdiction of |
4 |
| that Service Board which must be
recovered from system |
5 |
| generated revenues. The Board shall, at the same time, |
6 |
| beginning with the 2007 fiscal year, also advise each Service |
7 |
| Board that provides ADA paratransit services of its required |
8 |
| system generated ADA paratransit services revenue recovery |
9 |
| ratio for the next fiscal year which shall be the percentage of |
10 |
| the aggregate costs of providing ADA paratransit services by or |
11 |
| under jurisdiction of that Service Board which must be |
12 |
| recovered from fares charged for such services, except that |
13 |
| such required system generated ADA paratransit services |
14 |
| revenue recovery ratio shall not exceed the minimum percentage |
15 |
| established pursuant to Section 4.01(b)(ii) of this Act. In |
16 |
| determining
a Service Board's system generated revenue |
17 |
| recovery ratio, the Board shall
consider the historical system |
18 |
| generated revenues recovery ratio for the
services subject to |
19 |
| the jurisdiction of that
Service Board. The Board shall not |
20 |
| increase a Service Board's system generated
revenues recovery |
21 |
| ratio for the next fiscal year over such ratio for the
current |
22 |
| fiscal year disproportionately or prejudicially to increases |
23 |
| in
such ratios for other Service Boards. The Board may, by |
24 |
| ordinance,
provide that (i) the cost of research and |
25 |
| development projects in the
fiscal year beginning January 1, |
26 |
| 1986 and ending December 31, 1986
conducted pursuant to Section |
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| 2.09 of this Act, (ii) the costs for passenger security, and |
2 |
| (iii) expenditures of amounts granted to a Service Board from |
3 |
| the Innovation, Coordination, and Enhancement Fund for |
4 |
| operating purposes may be exempted from the
farebox recovery |
5 |
| ratio or the system generated revenues recovery ratio of
the |
6 |
| Chicago Transit Authority, the Suburban Bus Board, and the |
7 |
| Commuter
Rail Board, or any of them. During fiscal years 2008 |
8 |
| through 2012, the Board may also allocate the exemption of |
9 |
| $200,000,000 and the reducing amounts of costs provided by this |
10 |
| amendatory Act of the 95th General Assembly from the farebox |
11 |
| recovery ratio or system generated revenues recovery ratio of |
12 |
| each Service Board. |
13 |
| (b)(1) Not later than the next preceding November 15 prior |
14 |
| to the
commencement of such fiscal year, each Service Board |
15 |
| shall submit to the
Authority its proposed budget for such |
16 |
| fiscal year and its proposed
financial plan for the two |
17 |
| following fiscal years. Such budget and
financial plan shall |
18 |
| (i) be prepared in the format, follow the financial and |
19 |
| budgetary practices, and be based on any assumptions and |
20 |
| projections required by the Authority and (ii) not project or |
21 |
| assume a receipt of revenues from the
Authority in amounts |
22 |
| greater than those set forth in the estimates provided
by the |
23 |
| Authority pursuant to subsection (a) of this Section and, for |
24 |
| ADA paratransit service, the budget and financial plan of the |
25 |
| Suburban Bus Board shall not project or assume a receipt of |
26 |
| revenues from the Authority in amounts greater than the |
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| operating deficit estimated by the Board . |
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| (2) The Board shall review the proposed budget and two-year
|
3 |
| financial plan submitted
by each Service Board. The Board shall |
4 |
| approve the budget and two-year financial plan of a Service |
5 |
| Board if: |
6 |
| (i)
such budget and plan show a balance between (A) |
7 |
| anticipated revenues
from all sources including operating |
8 |
| subsidies and (B) the costs of providing
the services |
9 |
| specified and of funding any operating deficits or |
10 |
| encumbrances
incurred in prior periods, including |
11 |
| provision for payment when due of
principal and interest on |
12 |
| outstanding indebtedness; |
13 |
| (ii)
such budget and plan show cash balances including |
14 |
| the proceeds of
any anticipated cash flow borrowing |
15 |
| sufficient to pay with reasonable
promptness all costs and |
16 |
| expenses as incurred; |
17 |
| (iii)
such budget and plan provide for a level of fares |
18 |
| or charges and
operating or administrative costs for the |
19 |
| public transportation provided
by or subject to the |
20 |
| jurisdiction of such Service Board sufficient to allow
the |
21 |
| Service Board to meet its required system generated revenue |
22 |
| recovery ratio and, beginning with the 2007 fiscal year, |
23 |
| system generated ADA paratransit services revenue recovery |
24 |
| ratio; |
25 |
| (iv)
such budget and plan are based upon and employ |
26 |
| assumptions and
projections which are reasonable and |
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| prudent; |
2 |
| (v)
such budget and plan have been prepared in |
3 |
| accordance with sound
financial practices as determined by |
4 |
| the Board; |
5 |
| (vi)
such budget and plan meet such other financial, |
6 |
| budgetary, or fiscal
requirements that the Board may by |
7 |
| rule or regulation establish; and
|
8 |
| (vii) such budget and plan are consistent with the |
9 |
| goals and objectives adopted by the Authority in the |
10 |
| Strategic Plan.
|
11 |
| (3) (Blank). |
12 |
| (4) Unless the Board by an affirmative vote of 12
of the |
13 |
| then Directors
determines that the budget and financial plan of |
14 |
| a Service Board meets the
criteria specified in clauses (i)
|
15 |
| through (vii) of subparagraph (2) of
this paragraph (b), the |
16 |
| Board shall withhold from that Service Board 25% of
the cash |
17 |
| proceeds of taxes imposed by the Authority under Section 4.03
|
18 |
| and Section 4.03.1 and received after February 1 and 25% of the |
19 |
| amounts transferred to the Authority from the Public |
20 |
| Transportation Fund under Section 4.09(a) (but not including |
21 |
| Section 4.09(a)(3)(iv)) after February 1 that the Board has |
22 |
| estimated to be available to that Service Board under Section |
23 |
| 4.11(a). Such funding shall be released to the Service Board |
24 |
| only upon approval of a budget and financial plan under this |
25 |
| Section or adoption of a budget and financial plan on behalf of |
26 |
| the Service Board by the Authority. |
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| (5) If the Board has not found that the budget and |
2 |
| financial plan of a
Service Board meets the criteria specified |
3 |
| in clauses (i) through (vii)
of subparagraph (2) of this |
4 |
| paragraph (b), the Board, by the affirmative vote of at least |
5 |
| 12 of its then Directors, shall
adopt a budget and
financial |
6 |
| plan meeting such criteria for that Service Board. |
7 |
| (c)(1) If the Board shall at any time have received a
|
8 |
| revised estimate, or revises any estimate the Board has made, |
9 |
| pursuant to
this Section of the receipts to be collected by the |
10 |
| Authority which, in
the judgment of the Board, requires a |
11 |
| change in the estimates on which the
budget of any Service |
12 |
| Board is based, the Board shall advise the affected
Service |
13 |
| Board of such revised estimates, and such Service Board shall |
14 |
| within
30 days after receipt of such advice submit a revised |
15 |
| budget incorporating
such revised estimates. If the revised |
16 |
| estimates require, in the judgment
of the Board, that the |
17 |
| system generated revenues recovery ratio of one or
more Service |
18 |
| Boards be revised in order to allow the Authority to meet its
|
19 |
| required ratio, the Board shall advise any such Service Board |
20 |
| of its revised
ratio and such Service Board shall within 30 |
21 |
| days after receipt of such
advice submit a revised budget |
22 |
| incorporating such revised estimates or ratio. |
23 |
| (2) Each Service Board shall, within such period after the |
24 |
| end of each
fiscal quarter as shall be specified by the Board, |
25 |
| report to the Authority
its financial condition and results of |
26 |
| operations and the financial condition
and results of |
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| operations of the public transportation services subject
to its |
2 |
| jurisdiction, as at the end of and for such quarter. If in the |
3 |
| judgment
of the Board such condition and results are not |
4 |
| substantially in accordance
with such Service Board's budget |
5 |
| for such period, the Board shall so advise
such Service Board |
6 |
| and such Service Board shall within the period specified
by the |
7 |
| Board submit a revised budget incorporating such results. |
8 |
| (2-5) If the Executive Director, at any time after |
9 |
| reviewing the financial condition and results of operations of |
10 |
| ADA paratransit services, revises the estimate of the operating |
11 |
| deficit in the provision of ADA paratransit service and |
12 |
| determines that amounts on deposit in the ADA Paratransit Fund |
13 |
| and other resources are inadequate to fund that revised |
14 |
| operating deficit, then, unless such determination is rejected |
15 |
| by a vote of 12 of the members of the Board, the Board shall |
16 |
| authorize the issuance of Working Cash Notes to fund that |
17 |
| operating deficit. |
18 |
| (3) If the Board shall determine that a revised budget |
19 |
| submitted by a
Service Board pursuant to subparagraph (1) or |
20 |
| (2) of this paragraph (c)
does not meet the criteria specified |
21 |
| in clauses (i)
through (vii) of
subparagraph
(2) of paragraph |
22 |
| (b) of this Section, the Board shall withhold from that Service |
23 |
| Board 25% of the cash proceeds of taxes imposed by the |
24 |
| Authority
under Section 4.03 or 4.03.1 and received by the |
25 |
| Authority after February 1 and 25% of the amounts transferred |
26 |
| to the Authority from the Public Transportation Fund under |
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| Section 4.09(a) (but not including Section 4.09(a)(3)(iv)) |
2 |
| after February 1 that the Board has estimated to be available |
3 |
| to that Service Board under
Section 4.11(a). If the Service |
4 |
| Board submits a revised financial plan and
budget which plan |
5 |
| and budget shows that the criteria will be met within
a four |
6 |
| quarter period, the Board shall release any such withheld funds |
7 |
| to the
Service Board. The Board by the affirmative vote of at |
8 |
| least 12
of its then Directors may
require a Service Board to |
9 |
| submit a revised financial plan and budget which
shows that the |
10 |
| criteria will be met in a time period less than four quarters. |
11 |
| (d) All budgets and financial plans, financial statements, |
12 |
| audits and
other information presented to the Authority |
13 |
| pursuant to this Section or
which may be required by the Board |
14 |
| to permit it to monitor compliance with
the provisions of this |
15 |
| Section shall be prepared and presented in such
manner and |
16 |
| frequency and in such detail as shall have been prescribed by
|
17 |
| the Board, shall be prepared on both an accrual and cash flow |
18 |
| basis as
specified by the Board, shall present such information |
19 |
| as the Authority shall prescribe that fairly presents the |
20 |
| condition of any pension plan or trust for health care benefits |
21 |
| with respect to retirees established by the Service Board and |
22 |
| describes the plans of the Service Board to meet the |
23 |
| requirements of Sections 4.02a and 4.02b, and shall identify |
24 |
| and describe the assumptions and
projections employed in the |
25 |
| preparation
thereof to the extent required by the Board. If the |
26 |
| Executive Director certifies that a Service Board has not |
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| presented its budget and two-year financial plan in conformity |
2 |
| with the rules adopted by the Authority under the provisions of |
3 |
| Section 4.01(f) and this subsection (d), and such certification |
4 |
| is accepted by the affirmative vote of at least 12 of the then |
5 |
| Directors of the Authority, the Authority shall not distribute |
6 |
| to that Service Board any funds for operating purposes in |
7 |
| excess of the amounts distributed for such purposes to the |
8 |
| Service Board in the previous fiscal year. Except when the |
9 |
| Board adopts
a budget and a financial plan for a Service Board |
10 |
| under paragraph (b)(5),
a Service Board shall provide for such |
11 |
| levels of transportation services
and fares or charges therefor |
12 |
| as it deems appropriate and necessary in the
preparation of a |
13 |
| budget and financial plan meeting the criteria set forth
in |
14 |
| clauses (i)
through (vii) of subparagraph (2) of paragraph (b) |
15 |
| of this
Section. The Authority
shall have access to and the |
16 |
| right to examine and copy
all books, documents, papers, |
17 |
| records, or other source data of a Service
Board relevant to |
18 |
| any information submitted pursuant to this Section. |
19 |
| (e) Whenever this Section requires the Board to make |
20 |
| determinations with
respect to estimates, budgets or financial |
21 |
| plans, or rules or regulations
with respect thereto such |
22 |
| determinations shall be made upon the affirmative
vote of at |
23 |
| least 12
of the then Directors and shall be incorporated in a
|
24 |
| written report of the Board and such report shall be submitted |
25 |
| within 10
days after such determinations are made to
the |
26 |
| Governor, the Mayor of Chicago (if such determinations relate |