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[ House Amendment 001 ] |
92_SB0103ham002 LRB9201942SMdvam03 1 AMENDMENT TO SENATE BILL 103 2 AMENDMENT NO. . Amend Senate Bill 103 on page 1, 3 lines 2 and 6, by replacing "2-2.02 and 2-2.04", each time it 4 appears, with "2-2.02, 2-2.04, and 2-7"; and 5 on page 1, line 16, by replacing "during Fiscal Year 2001" 6 with "on or before June 30, 2002"; and 7 by replacing lines 28 through 34 on page 3 and lines 1 and 2 8 on page 4 with the following: 9 "With respect to any mass transit district participant 10 that has increased its district boundaries by annexing 11 counties since 1998 and is maintaining a level of local 12 financial support, including all income and revenues, equal 13 to or greater than the level in the State fiscal year ending 14 June 30, 2001, the maximum eligible operating expenses for 15 any State fiscal year after 2002 shall be the amount 16 appropriated for that participant for the State fiscal year 17 ending June 30, 2002, plus, in each State fiscal year, a 10% 18 increase over the preceding State fiscal year. For State 19 fiscal year 2002, the maximum eligible operating expenses for 20 any such participant shall be the amount of projected 21 operating expenses upon which the appropriation for that 22 participant for State fiscal year 2002 is based. For that 23 participant, eligible operating expenses for State fiscal -2- LRB9201942SMdvam03 1 year 2002 in excess of the eligible operating expenses for 2 the State fiscal year ending June 30, 2001, plus 10%, must 3 be attributed to the provision of services in the newly 4 annexed counties. 5 With respect to a participant that receives an initial 6 appropriation in State fiscal year 2002, the maximum eligible 7 operating expenses for any State fiscal year after 2003 shall 8 be the amount appropriated for that participant for the State 9 fiscal year ending June 30, 2003, plus, in each year, a 10% 10 increase over the preceding year. For State fiscal year 11 2003, the maximum eligible operating expenses for any such 12 participant shall be the amount of projected operating 13 expenses upon which the appropriation for that participant 14 for State fiscal year 2003 is based. 15The 10% maximum increase over the amount appropriated for16the preceding year, however, may be exceeded for a17participant that received an initial appropriation in Fiscal18Year 1994 or Fiscal Year 1998. For any such participant, a1910% maximum increase over the amount appropriated in the20preceding year is established in each subsequent year21following the Fiscal Year when the amount appropriated is22equal to or greater than the maximum allowable under Section232-7 of this Act."; and 24 on page 4, immediately below line 3, by inserting the 25 following: 26 "(30 ILCS 740/2-7) (from Ch. 111 2/3, par. 667) 27 Sec. 2-7. Quarterly reports; annual audit. 28 (a) Any Metro-East Transit District participant shall, 29 no later than 6030days following the end of each quarter 30monthof any fiscal year, file with the Department on forms 31 provided by the Department for that purpose, a report of the 32 actual operating deficit experienced during that quarter. 33 The Department shall, upon receipt of the quarterly report, -3- LRB9201942SMdvam03 1 determine whether theand upon determining that such2 operating deficits were incurred in conformity with the 3 program of proposed expenditures approved by the Department 4 pursuant to Section 2-11. Any Metro-East District may either 5 monthly or quarterly for any fiscal year file a request for 6 the participant's eligible share, as allocated in accordance 7 with Section 2-6, of the amounts transferred into the 8 Metro-East Public Transportation Fund, pay to any Metro-East9Transit District participant such portion of such operating10deficit as funds have been transferred to the Metro-East11Transit Public Transportation Fund and allocated to that12Metro-East Transit District participant. 13 (b) Each participant other than any Metro-East Transit 14 District participant shall, 30 days before the end of each 15 quarter, file with the Department on forms provided by the 16 Department for such purposes a report of the projected 17 eligible operating expenses to be incurred in the next 18 quarter and 30 days before the third and fourth quarters of 19 any fiscal year a statement of actual eligible operating 20 expenses incurred in the preceding quarters. Within 45 days 21 of receipt by the Department of such quarterly report, the 22 Comptroller shall order paid and the Treasurer shall pay from 23 the Downstate Public Transportation Fund to each participant 24 an amount equal to one-third of such participant's eligible 25 operating expenses; provided, however, that in Fiscal Year 26 1997, the amount paid to each participant from the Downstate 27 Public Transportation Fund shall be an amount equal to 47% of 28 such participant's eligible operating expenses and shall be 29 increased to 49% in Fiscal Year 1998, 51% in Fiscal Year 30 1999, 53% in Fiscal Year 2000, and 55% in Fiscal Year 2001 31 and thereafter; however, in any year that a participant 32 receives funding under subsection (i) of Section 2705-305 of 33 the Department of Transportation Law (20 ILCS 2705/2705-305), 34 that participant shall be eligible only for assistance equal -4- LRB9201942SMdvam03 1 to the following percentage of its eligible operating 2 expenses: 42% in Fiscal Year 1997, 44% in Fiscal Year 1998, 3 46% in Fiscal Year 1999, 48% in Fiscal Year 2000, and 50% in 4 Fiscal Year 2001 and thereafter. Any such payment for the 5 third and fourth quarters of any fiscal year shall be 6 adjusted to reflect actual eligible operating expenses for 7 preceding quarters of such fiscal year. However, no 8 participant shall receive an amount less than that which was 9 received in the immediate prior year, provided in the event 10 of a shortfall in the fund those participants receiving less 11 than their full allocation pursuant to Section 2-6 of this 12 Article shall be the first participants to receive an amount 13 not less than that received in the immediate prior year. 14 (c) No later than 180 days following the last day of the 15 Fiscal Year each participant shall provide the Department 16 with an audit prepared by a Certified Public Accountant 17 covering that Fiscal Year.Any discrepancy between the18grants paid and one-third of the eligible operating expenses19or in the case of the Bi-State Metropolitan Development20District the approved program amount shall be reconciled by21appropriate payment or credit. Beginning in Fiscal Year 1985,22 For those participants other than a Metro-East Transit 23 Districtthe Bi-State Metropolitan Development District, any 24 discrepancy between the grants paid and the percentage of the 25 eligible operating expenses provided for by paragraph (b) of 26 this Section shall be reconciled by appropriate payment or 27 credit. In the case of any Metro-East Transit District, any 28 amount of payments from the Metro-East Public Transportation 29 Fund which exceed the eligible deficit of the participant 30 shall be reconciled by appropriate payment or credit. 31 (Source: P.A. 91-239, eff. 1-1-00; 91-357, eff. 7-29-99; 32 revised 8-9-99.)".