(30 ILCS 740/2-7) (from Ch. 111 2/3, par. 667)
Sec. 2-7. Quarterly reports; annual audit.
(a) Any Metro-East Transit District participant shall, no
later than 60 days following the end of each quarter
of any fiscal year, file
with the Department on forms provided by the Department for that purpose, a
report of the actual operating deficit experienced during that quarter. The
Department shall, upon receipt of the quarterly report, determine whether
the operating deficits were incurred in conformity with
the program of proposed expenditures and services approved by the Department pursuant to
Section 2-11. Any Metro-East District may either monthly or quarterly for
any fiscal year file a request for the participant's eligible share, as
allocated in accordance with Section 2-6, of the amounts transferred into the
Metro-East Public Transportation Fund.
(b) Each participant other than any Metro-East Transit District
participant shall, 30 days before the end of each quarter, file with the
Department
on forms provided by the Department for such purposes a report of the projected
eligible operating expenses to be incurred in the next quarter and 30 days
before the third and fourth quarters of any fiscal year a statement of actual
eligible operating expenses incurred in the preceding quarters. Except as otherwise provided in subsection (b-5), within
45 days of receipt by the Department of such quarterly report, the Comptroller
shall order paid and the Treasurer shall pay from the Downstate Public
Transportation Fund to each participant an amount equal to one-third of
such participant's eligible operating expenses; provided, however, that in
Fiscal Year 1997, the amount paid to each participant from the
Downstate Public Transportation Fund shall be an amount equal to 47% of
such participant's eligible operating expenses and shall be increased to 49%
in Fiscal Year 1998, 51% in Fiscal Year 1999, 53% in Fiscal Year 2000, 55%
in Fiscal Years
2001 through 2007, and 65% in Fiscal Year 2008 and thereafter; however, in any year that a participant
receives funding under subsection (i) of Section 2705-305 of the Department of
Transportation Law (20 ILCS 2705/2705-305), that participant shall be eligible
only for assistance equal to the following percentage of its eligible operating
expenses: 42% in Fiscal Year 1997, 44% in Fiscal Year 1998, 46% in Fiscal Year
1999, 48% in Fiscal Year 2000, and 50% in Fiscal Year 2001 and thereafter. Any
such payment for the third and fourth quarters of any fiscal year shall be
adjusted to reflect
actual eligible operating expenses for preceding quarters of such fiscal
year. However, no participant shall receive an amount less than that which
was received in the immediate prior year, provided in the event of a
shortfall in the fund those participants receiving less than their full
allocation pursuant to Section 2-6 of this Article shall be the first
participants to receive an amount not less than that received in the
immediate prior year.
(b-5) (Blank).
(b-10) On July 1, 2008, each participant shall receive an appropriation in an amount equal to 65% of its fiscal year 2008 eligible operating expenses adjusted by the annual 10% increase required by Section 2-2.04 of this Act. In no case shall any participant receive an appropriation that is less than its fiscal year 2008 appropriation. Every fiscal year thereafter, each participant's appropriation shall increase by 10% over the appropriation established for the preceding fiscal year as required by Section 2-2.04 of this Act.
(b-15) Beginning on July 1, 2007, and for each fiscal year thereafter, each participant shall maintain a minimum local share contribution (from farebox and all other local revenues) equal to the actual amount provided in Fiscal Year 2006 or, for new recipients, an amount equivalent to the local share provided in the first year of participation.
The local share contribution shall be reduced by an amount equal to the total amount of lost revenue for services provided under Section 2-15.2 and Section 2-15.3 of this Act. (b-20) Any participant in the Downstate Public Transportation Fund may use State operating assistance funding pursuant to this Section to provide transportation services within any county that is contiguous to its territorial boundaries as defined by the Department and subject to Departmental approval. Any such contiguous-area service provided by a participant after July 1, 2007 must meet the requirements of subsection (a) of Section 2-5.1.
(c) No later than 180 days following the last day of the participant's Fiscal Year each
participant shall provide the Department with an audit prepared by a Certified
Public Accountant covering that Fiscal Year. For those participants other than a Metro-East Transit
District, any discrepancy between the funds paid and the
percentage of the eligible operating expenses provided for by paragraph
(b) of this Section shall be reconciled by appropriate payment or credit.
In the case of any Metro-East Transit District, any amount of payments from
the Metro-East Public Transportation Fund which exceed the eligible deficit
of the participant shall be reconciled by appropriate payment or credit. (d) Upon the Department's final reconciliation determination that
identifies a discrepancy between the Downstate Operating
Assistance Program funds paid and the percentage of the eligible
operating expenses which results in a reimbursement payment due
to the Department, the participant shall remit the reimbursement
payment to the Department no later than 90 days after written
notification. (e) Funds received by the Department from participants for
reimbursement as a result of an overpayment from a prior State
fiscal year shall be deposited into the Downstate Public
Transportation Fund in the fiscal year in which they are received
and all unspent funds shall roll to following fiscal years. (f) Upon the Department's final reconciliation determination that
identifies a discrepancy between the Downstate Operating
Assistance Program funds paid and the percentage of the eligible
operating expenses which results in a reimbursement payment due
to the participant, the Department shall remit the reimbursement
payment to the participant no later than 90 days after written
notifications.
(Source: P.A. 102-626, eff. 8-27-21; 102-790, eff. 1-1-23; 103-154, eff. 6-30-23.)
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