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Rep. Elaine Nekritz
Filed: 3/30/2011
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| 1 | | AMENDMENT TO HOUSE BILL 585
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| 2 | | AMENDMENT NO. ______. Amend House Bill 585 by replacing |
| 3 | | everything after the enacting clause with the following:
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| 4 | | "Section 5. The Regional Transportation Authority Act is |
| 5 | | amended by changing Sections 2.01c, 2.01d, 2.01e, 4.03.3, and |
| 6 | | 4.11 as follows: |
| 7 | | (70 ILCS 3615/2.01c)
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| 8 | | Sec. 2.01c. Innovation, Coordination, and Enhancement |
| 9 | | Fund. |
| 10 | | (a) The Authority shall establish an Innovation, |
| 11 | | Coordination, and Enhancement Fund and each year deposit into |
| 12 | | the Fund an amount equal to $10,000,000 in 2008, and, each year |
| 13 | | thereafter, an amount equal to the amount deposited in the |
| 14 | | previous year increased or decreased by the percentage growth |
| 15 | | or decline in revenues received by the Authority from taxes |
| 16 | | imposed under Section 4.03 in the previous year the amounts |
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| 1 | | directed by Section 4.03.3 of this Act. Amounts on deposit in |
| 2 | | such Fund and interest and other earnings on those amounts may |
| 3 | | be used by the Authority,
upon the affirmative vote of 12 of |
| 4 | | its then Directors, and after
a public participation process, |
| 5 | | for operating or capital grants
or loans to Service Boards, |
| 6 | | transportation agencies, or units
of local government that |
| 7 | | advance the goals and objectives
identified by the Authority in |
| 8 | | its Strategic Plan, provided
that no improvement that has been |
| 9 | | included in a Five-Year
Capital Program as of the effective |
| 10 | | date of this amendatory Act
of the 95th General Assembly may |
| 11 | | receive any funding from the
Innovation, Coordination, and |
| 12 | | Enhancement Fund. Unless the
Board has determined by a vote of |
| 13 | | 12 of its then Directors that
an emergency exists requiring the |
| 14 | | use of some or all of the
funds then in the Innovation, |
| 15 | | Coordination, and Enhancement
Fund, such funds may only be used |
| 16 | | to enhance the coordination
and integration of public |
| 17 | | transportation and develop and
implement innovations to |
| 18 | | improve the quality and delivery of
public transportation. |
| 19 | | (b) Any grantee that receives funds from the Innovation, |
| 20 | | Coordination, and Enhancement Fund for the operation of |
| 21 | | eligible programs must (i) implement such programs within one |
| 22 | | year of receipt of such funds and (ii) within 2 years following |
| 23 | | commencement of any program utilizing such funds, determine |
| 24 | | whether it is desirable to continue the program, and upon such |
| 25 | | a determination, either incorporate such program into its |
| 26 | | annual operating budget and capital program or discontinue such |
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| 1 | | program. No additional funds from the Innovation, |
| 2 | | Coordination, and Enhancement Fund may be distributed to a |
| 3 | | grantee for any individual program beyond 2 years unless the |
| 4 | | Authority by the affirmative vote of at least 12 of its then |
| 5 | | Directors waives this limitation. Any such waiver will be with |
| 6 | | regard to an individual program and with regard to a one |
| 7 | | year-period, and any further waivers for such individual |
| 8 | | program require a subsequent vote of the Board.
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| 9 | | (Source: P.A. 95-708, eff. 1-18-08.) |
| 10 | | (70 ILCS 3615/2.01d)
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| 11 | | Sec. 2.01d. ADA Paratransit Fund. The Authority shall |
| 12 | | establish an ADA Paratransit Fund and, each year, deposit into |
| 13 | | that Fund the following amounts: (i) a base amount equal to |
| 14 | | $115,000,000 in 2012, and, each year thereafter, an amount |
| 15 | | equal to 105% of the final budgeted funding for ADA paratransit |
| 16 | | services for the prior year, (ii) the amounts directed by |
| 17 | | Section 4.03.3 of this Act and any funds received from the |
| 18 | | State pursuant to appropriations for the purpose of funding ADA |
| 19 | | paratransit services, and (iii) any additional funds necessary |
| 20 | | to fund the budget or amended budget for ADA paratransit |
| 21 | | services adopted or approved by the Board for the current year. |
| 22 | | The amounts on deposit in the Fund and interest and other |
| 23 | | earnings on those amounts shall be used by the Authority to |
| 24 | | make grants to the Suburban Bus Board for ADA paratransit |
| 25 | | services provided pursuant to plans approved by the Authority |
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| 1 | | under Section 2.30 of this Act. Funds received by the Suburban |
| 2 | | Bus Board from the Authority's ADA Paratransit Fund shall be |
| 3 | | used only to provide ADA paratransit services to individuals |
| 4 | | who are determined to be eligible for such services by the |
| 5 | | Authority under the Americans with Disabilities Act of 1990 and |
| 6 | | its implementing regulations. Revenues from and costs of |
| 7 | | services provided by the Suburban Bus Board with grants made |
| 8 | | under this Section shall be included in the Annual Budget and |
| 9 | | Two-Year Financial Program of the Suburban Bus Board and shall |
| 10 | | be subject to all budgetary and financial requirements under |
| 11 | | this Act that apply to ADA paratransit services. Beginning in |
| 12 | | 2008, the Executive Director shall, no later than August 15 of |
| 13 | | each year, provide to the Board a written determination of the |
| 14 | | projected annual costs of ADA paratransit services that are |
| 15 | | required to be provided pursuant to the Americans with |
| 16 | | Disabilities Act of 1990 and its implementing regulations for |
| 17 | | the current year. The Authority shall conduct triennial |
| 18 | | financial, compliance, and performance audits of ADA |
| 19 | | paratransit services to assist in this determination.
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| 20 | | (Source: P.A. 95-708, eff. 1-18-08.) |
| 21 | | (70 ILCS 3615/2.01e)
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| 22 | | Sec. 2.01e. Suburban Community Mobility Fund. The |
| 23 | | Authority shall establish a Suburban Community Mobility Fund |
| 24 | | and, each year, deposit into that Fund an amount equal to |
| 25 | | $20,000,000 in 2008, and, each year thereafter, an amount equal |
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| 1 | | to the amount deposited in the previous year increased or |
| 2 | | decreased by the percentage growth or decline in revenues |
| 3 | | received by the Authority from taxes imposed under Section 4.03 |
| 4 | | in the previous year the amounts directed by Section 4.03.3 of |
| 5 | | this Act. The amounts on deposit in the Fund and interest and |
| 6 | | other earnings on those amounts shall be used by the Authority |
| 7 | | to make grants to the Suburban Bus Board for the purpose of |
| 8 | | operating transit services, other than traditional fixed-route |
| 9 | | services, that enhance suburban mobility, including, but not |
| 10 | | limited to, demand-responsive transit services, ride sharing, |
| 11 | | van pooling, service coordination, centralized dispatching and |
| 12 | | call taking, reverse commuting, service restructuring, and bus |
| 13 | | rapid transit. Revenues from and costs of services provided by |
| 14 | | the Suburban Bus Board with moneys from the Suburban Community |
| 15 | | Mobility Fund shall be included in the Annual Budget and |
| 16 | | Two-Year Financial Program of the Suburban Bus Board and shall |
| 17 | | be subject to all budgetary and financial requirements under |
| 18 | | this Act.
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| 19 | | (Source: P.A. 95-708, eff. 1-18-08.) |
| 20 | | (70 ILCS 3615/4.03.3)
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| 21 | | Sec. 4.03.3. Distribution of Revenues. This Section |
| 22 | | applies only after the Department begins administering and |
| 23 | | enforcing an increased tax under Section 4.03(m) as authorized |
| 24 | | by this amendatory Act of the 95th General Assembly. After |
| 25 | | providing for payment of its obligations with respect to bonds |
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| 1 | | and notes issued under the provisions of Section 4.04 and |
| 2 | | obligations related to those bonds and notes, the Authority |
| 3 | | shall disburse the remaining proceeds from taxes it has |
| 4 | | received from the Department of Revenue under this Article IV |
| 5 | | and the remaining proceeds it has received from the State under |
| 6 | | Section 4.09(a) as follows: |
| 7 | | (a) With respect to taxes imposed by the Authority under |
| 8 | | Section 4.03, after withholding 15% of 80% of the receipts from |
| 9 | | those taxes collected in Cook County at a rate of 1.25%, 15% of |
| 10 | | 75% of the receipts from those taxes collected in Cook County |
| 11 | | at the rate of 1%, 15% of one-half of the receipts from those |
| 12 | | taxes collected in DuPage, Kane, Lake, McHenry, and Will |
| 13 | | Counties, and 15% of money received by the Authority from the |
| 14 | | Regional Transportation Authority Occupation and Use Tax |
| 15 | | Replacement Fund or from the Regional Transportation Authority |
| 16 | | tax fund created in Section 4.03(n), the Board shall allocate |
| 17 | | the proceeds and money remaining to the Service Boards as |
| 18 | | follows:
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| 19 | | (1) an amount equal to (i) 85% of 80% of the receipts |
| 20 | | from those taxes collected within the City of Chicago at a |
| 21 | | rate of 1.25%, (ii) 85% of 75% of the receipts from those |
| 22 | | taxes collected in the City of Chicago at the rate of 1%, |
| 23 | | and (iii) 85% of the money received by the Authority on |
| 24 | | account of transfers to the Regional Transportation |
| 25 | | Authority Occupation and Use Tax Replacement Fund or to the |
| 26 | | Regional Transportation Authority tax fund created in |
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| 1 | | Section 4.03(n) from the County and Mass Transit District |
| 2 | | Fund attributable to retail sales within the City of |
| 3 | | Chicago shall be allocated to the Chicago Transit |
| 4 | | Authority;
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| 5 | | (2) an amount equal to (i) 85% of 80% of the receipts |
| 6 | | from those taxes collected within Cook County outside of |
| 7 | | the City of Chicago at a rate of 1.25%, (ii) 85% of 75% of |
| 8 | | the receipts from those taxes collected within Cook County |
| 9 | | outside the City of Chicago at a rate of 1%, and (iii) 85% |
| 10 | | of the money received by the Authority on account of |
| 11 | | transfers to the Regional Transportation Authority |
| 12 | | Occupation and Use Tax Replacement Fund or to the Regional |
| 13 | | Transportation Authority tax fund created in Section |
| 14 | | 4.03(n) from the County and Mass Transit District Fund |
| 15 | | attributable to retail sales within Cook County outside of |
| 16 | | the City of Chicago shall be allocated 30% to the Chicago |
| 17 | | Transit Authority, 55% to the Commuter Rail Board, and 15% |
| 18 | | to the Suburban Bus Board; and
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| 19 | | (3) an amount equal to 85% of one-half of the receipts |
| 20 | | from the taxes collected within the Counties of DuPage, |
| 21 | | Kane, Lake, McHenry, and Will shall be allocated 70% to the |
| 22 | | Commuter Rail Board and 30% to the Suburban Bus Board.
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| 23 | | (b) Moneys received by the Authority on account of |
| 24 | | transfers to the Regional Transportation Authority Occupation |
| 25 | | and Use Tax Replacement Fund from the State and Local Sales Tax |
| 26 | | Reform Fund shall be allocated among the Authority and the |
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| 1 | | Service Boards as follows: 15% of such moneys shall be retained |
| 2 | | by the Authority and the remaining 85% shall be transferred to |
| 3 | | the Service Boards as soon as may be practicable after the |
| 4 | | Authority receives payment. Moneys which are distributable to |
| 5 | | the Service Boards pursuant to the preceding sentence shall be |
| 6 | | allocated among the Service Boards on the basis of each Service |
| 7 | | Board's distribution ratio. The term "distribution ratio" |
| 8 | | means, for purposes of this subsection (b), the ratio of the |
| 9 | | total amount distributed to a Service Board pursuant to |
| 10 | | subsection (a) of Section 4.03.3 for the immediately preceding |
| 11 | | calendar year to the total amount distributed to all of the |
| 12 | | Service Boards pursuant to subsection (a) of Section 4.03.3 for |
| 13 | | the immediately preceding calendar year.
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| 14 | | (c)(i) 20% of the receipts from those taxes collected in |
| 15 | | Cook County under Section 4.03 at the rate of 1.25%, (ii) 25% |
| 16 | | of the receipts from those taxes collected in Cook County under |
| 17 | | Section 4.03 at the rate of 1%, (iii) 50% of the receipts from |
| 18 | | those taxes collected in DuPage, Kane, Lake, McHenry, and Will |
| 19 | | Counties under Section 4.03, and (iv) amounts received from the |
| 20 | | State under Section 4.09 (a)(2) and items (i), (ii), and (iii) |
| 21 | | of Section 4.09 (a)(3) shall be allocated as follows: the |
| 22 | | amount required to be deposited into in 2008, $100,000,000 |
| 23 | | shall be deposited in the ADA Paratransit Fund described in |
| 24 | | Section 2.01d, the amount required to be deposited into |
| 25 | | $20,000,000 shall be deposited in the Suburban Community |
| 26 | | Mobility Fund described in Section 2.01e, and the amount |
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| 1 | | required to be deposited into $10,000,000 shall be deposited in |
| 2 | | the Innovation, Coordination and Enhancement Fund described in |
| 3 | | Section 2.01c, and the balance shall be allocated 48% to the |
| 4 | | Chicago Transit Authority, 39% to the Commuter Rail Board, and |
| 5 | | 13% to the Suburban Bus Board; and in 2009 and each year |
| 6 | | thereafter, the amounts deposited in the ADA Paratransit Fund, |
| 7 | | the Suburban Community Mobility Fund and the Innovation, |
| 8 | | Coordination and Enhancement Fund respectively shall equal the |
| 9 | | amount deposited in the previous year increased or decreased by |
| 10 | | the percentage growth or decline in revenues received by the |
| 11 | | Authority from taxes imposed under Section 4.03 in the previous |
| 12 | | year, and the balance shall be allocated 48% to the Chicago |
| 13 | | Transit Authority, 39% to the Commuter Rail Board and 13% to |
| 14 | | the Suburban Bus Board.
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| 15 | | (d) Amounts received from the State under Section 4.09 |
| 16 | | (a)(3)(iv) shall be distributed 100% to the Chicago Transit |
| 17 | | Authority.
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| 18 | | (e) With respect to those taxes collected in DuPage, Kane, |
| 19 | | Lake, McHenry, and Will Counties and paid directly to the |
| 20 | | counties under Section 4.03, the County Board of each county |
| 21 | | shall use those amounts to fund operating and capital costs of |
| 22 | | public safety and public transportation services or facilities |
| 23 | | or to fund operating, capital, right-of-way, construction, and |
| 24 | | maintenance costs of other transportation purposes, including |
| 25 | | road, bridge, public safety, and transit purposes intended to |
| 26 | | improve mobility or reduce congestion in the county. The |
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| 1 | | receipt of funding by such counties pursuant to this paragraph |
| 2 | | shall not be used as the basis for reducing any funds that such |
| 3 | | counties would otherwise have received from the State of |
| 4 | | Illinois, any agency or instrumentality thereof, the |
| 5 | | Authority, or the Service Boards.
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| 6 | | (f) The Authority by ordinance adopted by 12 of its then |
| 7 | | Directors shall apportion to the Service Boards funds provided |
| 8 | | by the State of Illinois under Section 4.09(a)(1) as it shall |
| 9 | | determine and shall make payment of the amounts to each Service |
| 10 | | Board as soon as may be practicable upon their receipt provided |
| 11 | | the Authority has adopted a balanced budget as required by |
| 12 | | Section 4.01 and further provided the Service Board is in |
| 13 | | compliance with the requirements in Section 4.11.
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| 14 | | (g) Beginning January 1, 2009, before making any payments, |
| 15 | | transfers, or expenditures under this Section to a Service |
| 16 | | Board, the Authority must first comply with Section 4.02a or |
| 17 | | 4.02b of this Act, whichever may be applicable.
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| 18 | | (Source: P.A. 95-708, eff. 1-18-08.)
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| 19 | | (70 ILCS 3615/4.11) (from Ch. 111 2/3, par. 704.11)
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| 20 | | Sec. 4.11. Budget Review Powers.
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| 21 | | (a) Based
upon estimates which shall be given to the |
| 22 | | Authority by the Director of
the
Governor's Office of |
| 23 | | Management and Budget (formerly
Bureau of the Budget) of the |
| 24 | | receipts to be received by the
Authority from the taxes imposed
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| 25 | | by the Authority and the authorized estimates of amounts
to be |
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| 1 | | available from State and other sources to the Service Boards, |
| 2 | | and
the times at which such receipts and amounts will be |
| 3 | | available, the Board
shall, not later than the next preceding |
| 4 | | September 15th prior to the beginning
of the Authority's next |
| 5 | | fiscal year,
advise each Service Board of the amounts estimated |
| 6 | | by the Board to be available
for such Service Board during such |
| 7 | | fiscal year and the two following fiscal
years and the times at |
| 8 | | which such amounts will be available. The Board
shall, at the |
| 9 | | same time, also advise each Service Board of its required
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| 10 | | system generated revenues recovery ratio for the next fiscal |
| 11 | | year which
shall be the percentage of the aggregate costs of |
| 12 | | providing public
transportation by or under jurisdiction of |
| 13 | | that Service Board which must be
recovered from system |
| 14 | | generated revenues. The Board shall, at the same time, consider |
| 15 | | the written determination of the Executive Director, made |
| 16 | | pursuant to Section 2.01d, of the costs of ADA paratransit |
| 17 | | services that are required to be provided under the federal |
| 18 | | Americans with Disabilities Act of 1990 and its implementing |
| 19 | | regulations, and shall amend the current year budgets of the |
| 20 | | Authority and the Service Boards to provide for additional |
| 21 | | funding for the provision of ADA paratransit services, if |
| 22 | | needed. The Board shall, at the same time, beginning with the |
| 23 | | 2007 fiscal year, also advise each Service Board that provides |
| 24 | | ADA paratransit services of its required system generated ADA |
| 25 | | paratransit services revenue recovery ratio for the next fiscal |
| 26 | | year which shall be the percentage of the aggregate costs of |
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| 1 | | providing ADA paratransit services by or under jurisdiction of |
| 2 | | that Service Board which must be recovered from fares charged |
| 3 | | for such services, except that such required system generated |
| 4 | | ADA paratransit services revenue recovery ratio shall not |
| 5 | | exceed the minimum percentage established pursuant to Section |
| 6 | | 4.01(b)(ii) of this Act. In determining
a Service Board's |
| 7 | | system generated revenue recovery ratio, the Board shall
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| 8 | | consider the historical system generated revenues recovery |
| 9 | | ratio for the
services subject to the jurisdiction of that
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| 10 | | Service Board. The Board shall not increase a Service Board's |
| 11 | | system generated
revenues recovery ratio for the next fiscal |
| 12 | | year over such ratio for the
current fiscal year |
| 13 | | disproportionately or prejudicially to increases in
such |
| 14 | | ratios for other Service Boards. The Board may, by ordinance,
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| 15 | | provide that (i) the cost of research and development projects |
| 16 | | in the
fiscal year beginning January 1, 1986 and ending |
| 17 | | December 31, 1986
conducted pursuant to Section 2.09 of this |
| 18 | | Act, (ii) the costs for passenger security, and (iii) |
| 19 | | expenditures of amounts granted to a Service Board from the |
| 20 | | Innovation, Coordination, and Enhancement Fund for operating |
| 21 | | purposes may be exempted from the
farebox recovery ratio or the |
| 22 | | system generated revenues recovery ratio of
the Chicago Transit |
| 23 | | Authority, the Suburban Bus Board, and the Commuter
Rail Board, |
| 24 | | or any of them. During fiscal years 2008 through 2012, the |
| 25 | | Board may also allocate the exemption of $200,000,000 and the |
| 26 | | reducing amounts of costs provided by this amendatory Act of |
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| 1 | | the 95th General Assembly from the farebox recovery ratio or |
| 2 | | system generated revenues recovery ratio of each Service Board.
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| 3 | | (b)(1) Not later than the next preceding November 15 prior |
| 4 | | to the
commencement of such fiscal year, each Service Board |
| 5 | | shall submit to the
Authority its proposed budget for such |
| 6 | | fiscal year and its proposed
financial plan for the two |
| 7 | | following fiscal years. Such budget and
financial plan shall |
| 8 | | (i) be prepared in the format, follow the financial and |
| 9 | | budgetary practices, and be based on any assumptions and |
| 10 | | projections required by the Authority and (ii) not project or |
| 11 | | assume a receipt of revenues from the
Authority in amounts |
| 12 | | greater than those set forth in the estimates provided
by the |
| 13 | | Authority pursuant to subsection (a) of this Section.
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| 14 | | (2) The Board shall review the proposed budget and two-year
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| 15 | | financial plan submitted
by each Service Board. The Board shall |
| 16 | | approve the budget and two-year financial plan of a Service |
| 17 | | Board if:
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| 18 | | (i)
such budget and plan show a balance between (A) |
| 19 | | anticipated revenues
from all sources including operating |
| 20 | | subsidies and (B) the costs of providing
the services |
| 21 | | specified and of funding any operating deficits or |
| 22 | | encumbrances
incurred in prior periods, including |
| 23 | | provision for payment when due of
principal and interest on |
| 24 | | outstanding indebtedness;
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| 25 | | (ii)
such budget and plan show cash balances including |
| 26 | | the proceeds of
any anticipated cash flow borrowing |
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| 1 | | sufficient to pay with reasonable
promptness all costs and |
| 2 | | expenses as incurred;
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| 3 | | (iii)
such budget and plan provide for a level of fares |
| 4 | | or charges and
operating or administrative costs for the |
| 5 | | public transportation provided
by or subject to the |
| 6 | | jurisdiction of such Service Board sufficient to allow
the |
| 7 | | Service Board to meet its required system generated revenue |
| 8 | | recovery ratio and, beginning with the 2007 fiscal year, |
| 9 | | system generated ADA paratransit services revenue recovery |
| 10 | | ratio;
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| 11 | | (iv)
such budget and plan are based upon and employ |
| 12 | | assumptions and
projections which are reasonable and |
| 13 | | prudent;
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| 14 | | (v)
such budget and plan have been prepared in |
| 15 | | accordance with sound
financial practices as determined by |
| 16 | | the Board;
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| 17 | | (vi)
such budget and plan meet such other financial, |
| 18 | | budgetary, or fiscal
requirements that the Board may by |
| 19 | | rule or regulation establish; and
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| 20 | | (vii) such budget and plan are consistent with the |
| 21 | | goals and objectives adopted by the Authority in the |
| 22 | | Strategic Plan.
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| 23 | | (3) (Blank).
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| 24 | | (4) Unless the Board by an affirmative vote of 12
of the |
| 25 | | then Directors
determines that the budget and financial plan of |
| 26 | | a Service Board meets the
criteria specified in clauses (i)
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| 1 | | through (vii) of subparagraph (2) of
this paragraph (b), the |
| 2 | | Board shall withhold from that Service Board 25% of
the cash |
| 3 | | proceeds of taxes imposed by the Authority under Section 4.03
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| 4 | | and Section 4.03.1 and received after February 1 and 25% of the |
| 5 | | amounts transferred to the Authority from the Public |
| 6 | | Transportation Fund under Section 4.09(a) (but not including |
| 7 | | Section 4.09(a)(3)(iv)) after February 1 that the Board has |
| 8 | | estimated to be available to that Service Board under Section |
| 9 | | 4.11(a). Such funding shall be released to the Service Board |
| 10 | | only upon approval of a budget and financial plan under this |
| 11 | | Section or adoption of a budget and financial plan on behalf of |
| 12 | | the Service Board by the Authority.
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| 13 | | (5) If the Board has not found that the budget and |
| 14 | | financial plan of a
Service Board meets the criteria specified |
| 15 | | in clauses (i) through (vii)
of subparagraph (2) of this |
| 16 | | paragraph (b), the Board, by the affirmative vote of at least |
| 17 | | 12 of its then Directors, shall
adopt a budget and
financial |
| 18 | | plan meeting such criteria for that Service Board.
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| 19 | | (c)(1) If the Board shall at any time have received a
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| 20 | | revised estimate, or revises any estimate the Board has made, |
| 21 | | pursuant to
this Section of the receipts to be collected by the |
| 22 | | Authority which, in
the judgment of the Board, requires a |
| 23 | | change in the estimates on which the
budget of any Service |
| 24 | | Board is based, the Board shall advise the affected
Service |
| 25 | | Board of such revised estimates, and such Service Board shall |
| 26 | | within
30 days after receipt of such advice submit a revised |
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| 1 | | budget incorporating
such revised estimates. If the revised |
| 2 | | estimates require, in the judgment
of the Board, that the |
| 3 | | system generated revenues recovery ratio of one or
more Service |
| 4 | | Boards be revised in order to allow the Authority to meet its
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| 5 | | required ratio, the Board shall advise any such Service Board |
| 6 | | of its revised
ratio and such Service Board shall within 30 |
| 7 | | days after receipt of such
advice submit a revised budget |
| 8 | | incorporating such revised estimates or ratio.
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| 9 | | (2) Each Service Board shall, within such period after the |
| 10 | | end of each
fiscal quarter as shall be specified by the Board, |
| 11 | | report to the Authority
its financial condition and results of |
| 12 | | operations and the financial condition
and results of |
| 13 | | operations of the public transportation services subject
to its |
| 14 | | jurisdiction, as at the end of and for such quarter. If in the |
| 15 | | judgment
of the Board such condition and results are not |
| 16 | | substantially in accordance
with such Service Board's budget |
| 17 | | for such period, the Board shall so advise
such Service Board |
| 18 | | and such Service Board shall within the period specified
by the |
| 19 | | Board submit a revised budget incorporating such results.
|
| 20 | | (3) If the Board shall determine that a revised budget |
| 21 | | submitted by a
Service Board pursuant to subparagraph (1) or |
| 22 | | (2) of this paragraph (c)
does not meet the criteria specified |
| 23 | | in clauses (i)
through (vii) of
subparagraph
(2) of paragraph |
| 24 | | (b) of this Section, the Board shall withhold from that Service |
| 25 | | Board 25% of the cash proceeds of taxes imposed by the |
| 26 | | Authority
under Section 4.03 or 4.03.1 and received by the |
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| 1 | | Authority after February 1 and 25% of the amounts transferred |
| 2 | | to the Authority from the Public Transportation Fund under |
| 3 | | Section 4.09(a) (but not including Section 4.09(a)(3)(iv)) |
| 4 | | after February 1 that the Board has estimated to be available |
| 5 | | to that Service Board under
Section 4.11(a). If the Service |
| 6 | | Board submits a revised financial plan and
budget which plan |
| 7 | | and budget shows that the criteria will be met within
a four |
| 8 | | quarter period, the Board shall release any such withheld funds |
| 9 | | to the
Service Board. The Board by the affirmative vote of at |
| 10 | | least 12
of its then Directors may
require a Service Board to |
| 11 | | submit a revised financial plan and budget which
shows that the |
| 12 | | criteria will be met in a time period less than four quarters.
|
| 13 | | (d) All budgets and financial plans, financial statements, |
| 14 | | audits and
other information presented to the Authority |
| 15 | | pursuant to this Section or
which may be required by the Board |
| 16 | | to permit it to monitor compliance with
the provisions of this |
| 17 | | Section shall be prepared and presented in such
manner and |
| 18 | | frequency and in such detail as shall have been prescribed by
|
| 19 | | the Board, shall be prepared on both an accrual and cash flow |
| 20 | | basis as
specified by the Board, shall present such information |
| 21 | | as the Authority shall prescribe that fairly presents the |
| 22 | | condition of any pension plan or trust for health care benefits |
| 23 | | with respect to retirees established by the Service Board and |
| 24 | | describes the plans of the Service Board to meet the |
| 25 | | requirements of Sections 4.02a and 4.02b, and shall identify |
| 26 | | and describe the assumptions and
projections employed in the |
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| 1 | | preparation
thereof to the extent required by the Board. If the |
| 2 | | Executive Director certifies that a Service Board has not |
| 3 | | presented its budget and two-year financial plan in conformity |
| 4 | | with the rules adopted by the Authority under the provisions of |
| 5 | | Section 4.01(f) and this subsection (d), and such certification |
| 6 | | is accepted by the affirmative vote of at least 12 of the then |
| 7 | | Directors of the Authority, the Authority shall not distribute |
| 8 | | to that Service Board any funds for operating purposes in |
| 9 | | excess of the amounts distributed for such purposes to the |
| 10 | | Service Board in the previous fiscal year. Except when the |
| 11 | | Board adopts
a budget and a financial plan for a Service Board |
| 12 | | under paragraph (b)(5),
a Service Board shall provide for such |
| 13 | | levels of transportation services
and fares or charges therefor |
| 14 | | as it deems appropriate and necessary in the
preparation of a |
| 15 | | budget and financial plan meeting the criteria set forth
in |
| 16 | | clauses (i)
through (vii) of subparagraph (2) of paragraph (b) |
| 17 | | of this
Section. The Authority
shall have access to and the |
| 18 | | right to examine and copy
all books, documents, papers, |
| 19 | | records, or other source data of a Service
Board relevant to |
| 20 | | any information submitted pursuant to this Section.
|
| 21 | | (e) Whenever this Section requires the Board to make |
| 22 | | determinations with
respect to estimates, budgets or financial |
| 23 | | plans, or rules or regulations
with respect thereto such |
| 24 | | determinations shall be made upon the affirmative
vote of at |
| 25 | | least 12
of the then Directors and shall be incorporated in a
|
| 26 | | written report of the Board and such report shall be submitted |