Public Act 097-0367 Public Act 0367 97TH GENERAL ASSEMBLY |
Public Act 097-0367 | HB1324 Enrolled | LRB097 05381 RLJ 45438 b |
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| AN ACT concerning local government.
| Be it enacted by the People of the State of Illinois,
| represented in the General Assembly:
| Section 5. The Metropolitan Water Reclamation District Act | is amended by changing Sections 5.2 and 9.6a as follows:
| (70 ILCS 2605/5.2) (from Ch. 42, par. 324L)
| Sec. 5.2. Definitions. Where used in this law, "budget | year" shall mean the fiscal year
for which a budget is made. | "Current year" shall mean the fiscal year in
progress, i.e., | the fiscal year next preceding the budget year. "Preceding
| year" shall mean the fiscal year preceding the current year.
| The "Clerk" shall mean that officer so designated as | provided in Section 4.
| "Fund" shall mean a sum of money or other resources set | aside for the
purpose of carrying on specific activities or | attaining certain objectives
in accordance with special | regulations, restrictions, or limitations. A
fund shall be a | distinct financial or fiscal entity.
| "Accountant" shall mean a public accountant or certified | public
accountant licensed under the laws of this State.
| "Expenditure" shall mean the amount of obligations | incurred either
paid or to be paid from the appropriations for | the budget year for all
purposes, including current expenses, |
| retirement of debt, and capital outlays.
| "Disbursement" shall mean the actual payment in cash for | any purpose.
| "Receipt" shall mean cash actually received and shall | include
appropriable cash on hand at the beginning of any | specified year.
| "Estimated receipt" shall mean cash estimated to be | received within
the budget year and shall include the cash | surplus estimated to be
appropriable at the beginning of the | budget year.
| "Cash basis" shall mean that system of accounting wherein | revenues
are accounted for when received in cash and | expenditures are accounted
for when paid.
| "Accrual basis" shall mean that system of accounting | wherein revenues
are accounted for when earned or due, even | though not collected, and
expenditures are accounted for as | soon as liabilities are incurred,
whether paid or not.
| "Function" (activity) of expenditure shall mean the | particular
purpose or group of services aimed at accomplishing | a certain end for
which an expenditure is made.
| "Line Item" or item shall mean a particular type of | expenditure
within a class or related group of such | expenditures, i. e., testing
service, hospital service, towel | and laundry service, within the class
titled "Impersonal | Services."
| "Object" of expenditure shall mean specific articles, or |
| classes of
things for which an expenditure is made, i. e., | personal services,
impersonal services, materials and | supplies, machinery and equipment,
fixed charges and any such | other classes of articles or things as may be
desirable.
| "Character" of expenditure shall refer to the relationship | of total
expenditures to current, prior, and future fiscal | periods, i. e.,
whether the expenditure is a current expense, | provision for the
retirement of debt, or a capital outlay.
| "Organization units" shall be the administrative units of | the
district, i. e., departments, major sewage treatment | plants, and such
other operating units or groups of operating | units as may be deemed
desirable by the authorities of the | Sanitary District.
| The "committee on finance" shall be any
committee so | appointed and so designated by the board of commissioners for
| the purpose of considering financial matters affecting the | district.
| "Sinking Fund Requirements" shall mean the amounts that | will be
needed to pay interest on and principal of bonds.
| "Construction Fund" shall mean the amounts to be used for | paying the
costs incurred for construction purposes.
| "Construction Purposes" shall mean the replacement, | remodeling,
completion, alteration, construction, and | enlargement, including
alterations, enlargements and | replacements which will add appreciably to
the value, utility, | or the useful life of sewage treatment works , administrative |
| buildings, or flood
control facilities , or water quality | improvement projects, and
additions therefor, pumping | stations, tunnels, conduits and intercepting
sewers connecting | therewith, and outlet sewers together with the
equipment and | appurtenances necessary thereto, and for the acquisition
of the | sites and rights of way necessary thereto, and for engineering
| expenses for designing and supervising the construction of the | works
above described, and for removal of the rock ledge in the | bed of the Des
Plaines River (Illinois Waterway) through the | City of Joliet.
| Prior to the commencing of work involved in the removal of | the rock ledge
in the bed of the Des Plaines River formal | approval shall be obtained for
the design and plans for | accomplishing this work from the Corps of Engineers,
U. S. | Army, and the State of Illinois Department of Natural | Resources.
| The Metropolitan Sanitary District of Greater Chicago, its | agents, successors
or assigns shall save the State of Illinois | harmless from any and all claims
of whatever nature which may | arise as a result of or in consequence of any
work which may be | performed by the District.
| The rights, powers, and authorities granted in this Act | shall be subject
to the provisions of Section 18 of the Rivers, | Lakes, and Streams Act.
| It is the intent and purpose of this Act to provide a legal | basis which
will authorize and require all Sanitary Districts |
| organized under the
provisions hereof to make and execute the | budgets of their Corporate Funds
and Construction Funds in such | manner that the budgets may be planned and
balanced with | receipts on an actual cash basis and expenditures on an
accrual | basis, and all definitions, terms, provisions and procedures | set
forth in this Act shall be thus construed as applied to | corporate funds and
construction funds.
| (Source: P.A. 95-125, eff. 8-13-07; 95-412, eff. 8-24-07.)
| (70 ILCS 2605/9.6a) (from Ch. 42, par. 328.6a)
| Sec. 9.6a. Bonds for sewage treatment and water quality | improvements. The corporate authorities of a sanitary | district, in
order to provide funds required for the replacing, | remodeling,
completing, altering, constructing and enlarging | of sewage treatment
works, administrative buildings, water | quality improvement projects, or flood control facilities, and | additions therefor, pumping
stations, tunnels, conduits, | intercepting sewers and outlet sewers,
together with the | equipment, including air pollution equipment, and
| appurtenances thereto, to acquire property, real, personal or | mixed,
necessary for said purposes, for costs and expenses for | the acquisition
of the sites and rights-of-way necessary | thereto, and for engineering
expenses for designing and | supervising the construction of such works,
may issue on or | before December 31, 2024, in addition to all
other obligations | heretofore or herein authorized, bonds, notes or
other |
| evidences of indebtedness for such purposes in an aggregate
| amount at any one time outstanding not to exceed 3.35% of the | equalized
assessed valuation of all taxable property within the | sanitary district,
to be ascertained by the last assessment for | State and local taxes
previous to the issuance of any such | obligations. Such obligations shall be
issued without | submitting the question of such issuance to the legal voters
of | such sanitary district for approval.
| The corporate authorities may sell such obligations at | private or
public sale and enter into any contract or agreement | necessary, appropriate
or incidental to the exercise of the | powers granted by this Act, including,
without limitation, | contracts or agreements for the sale and purchase of
such | obligations and the payment of costs and expenses incident | thereto.
The corporate authorities may pay such costs and | expenses, in whole or in
part, from the corporate fund.
| Such obligations shall be issued from time to time only in | amounts as may
be required for such purposes but the amount of | such obligations issued during
any one budget year shall not | exceed $150,000,000 plus
the amount of any obligations | authorized by this Act to be issued during the 3
budget years | next preceding the year of issuance but which were not issued,
| provided, however, that this limitation shall not be applicable | (i) to the issuance
of obligations to refund bonds, notes or | other evidences of indebtedness,
(ii) to obligations issued to | provide for the repayment of money received
from the Water |
| Pollution Control Revolving Fund for the construction or
repair | of wastewater treatment works, and (iii) to obligations issued | as part of the American Recovery and Reinvestment Act of 2009, | issued prior to January 1, 2011, that are commonly known as | "Build America Bonds" as authorized by Section 54AA of the | Internal Revenue Code of 1986, as amended. Each ordinance | authorizing the
issuance of the obligations shall state the | general purpose or purposes for
which they are to be issued, | and the corporate authorities may at any time
thereafter pass | supplemental appropriations ordinances appropriating the
| proceeds from the sale of such obligations for such purposes.
| The corporate authorities may issue bonds, notes or other | evidences of
indebtedness in an amount necessary to provide | funds to refund outstanding
obligations issued pursuant to this | Section, including interest accrued or
to accrue thereon.
| (Source: P.A. 95-125, eff. 8-13-07; 95-412, eff. 8-24-07; | 96-828, eff. 12-2-09; 96-1308, eff. 1-1-11.)
| Section 99. Effective date. This Act takes effect upon | becoming law.
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Effective Date: 8/15/2011
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