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R-10-11 Res Accepting IDOT Audit Report No. 56RESOLUTION RESOLUTION ACCEPTING IDOT AUDIT REPORT NO. 56 OF MOTOR FUEL TAX FUNDS RECEIVED AND DISBURSED BY THE VILLAGE OF LEMONT FOR THE PERIOD JANUARY 1, 2008 - DECEMBER 31, 2009 WHEREAS, the Village of Lemont has received Audit Report No. 56 from the Illinois Department of Transportation as the official record of the receipt and disbursement of Motor Fuel Tax Funds for the period January 1, 2008 through December 31, 2009; and WHEREAS, Audit No. 56 attached hereto as Exhibit A will be retained by the Village of Lemont as a permanent record. NOW, THEREFORE, BE IT RESOLVED by the President and Board of Trustees as follows: Section 1: This Resolution shall become effective upon passage, approval and publication in the manner provided by law. Section 2: All Resolutions or parts of Resolutions inconsistent with this Resolution are hereby expressly repealed. PASSED AND APPROVED BY THE PRESIDENT AND BOARD OF TRUSTEES OF THE VILLAGE OF LEMONT, COUNTIES OF COOK, WILL AND DUPAGE, ILLINOIS, on this 14th _ day of February , 2011 Debby Blatzer Paul Chialdikas Clifford Miklos Rick Sniegowski Ronald Stapleton Jeanette Virgilio AYES NAYS PASSED ABSENT V V RIAN K. REAVES, Village President ATTEST: HARLENE SMO LEN, Village Clerk Illinois Department of Transportation Division of Highways /Region One / District One 201 West Center Court/Schaumburg, Illinois 60196 -1096 LOCAL ROADS AND STREETS Motor Fuel Tax — Audit Report Village of Lemont Cook County January 31, 2011 Ms. Charlene Smollen Village Clerk Village of Lemont 418 Main Street Lemont, IL 60439 Dear Ms. Smollen: VIA CERTIFIED MAIL Enclosed is a copy of Audit Report No. 56 covering the receipt and disbursement of Motor Fuel Tax (MFT) Funds by the Village for the period beginning January 1, 2008 and ending December 31, 2009. This report should be presented to the Mayor and Board of Trustees at the first regular meeting after receipt of this letter, and filed as a permanent record. If you have any questions or need additional information, please contact Charles Riddle, Program and Office Engineer, at (847) 705 -4406 or via email at Charles.Riddle @illinois.gov. Very truly yours, Diane M. O'Keefe, P.E. Deputy Director of Highways, Region One Engineer By: Christopher J. Holt, P.E. Bureau Chief of Local Roads and Streets Enclosures cc: George Schafer, Finance Director w /encl. Auditor's Certificate Audit Report No. 56 VILLAGE OF LEMONT a) 73 CD c C a o E O co N -O L r- O co U a) U L a) - a) C CO • a) CO 2 Co O f0 N a) CO 0) - C cu C r *C U C 2 a) L- a) U 13 O C co �L a) a) d 2 a) .1'i - 2 L (4 0 co i_ Z 8 2 J C y_ CO O V) W - 0) O W O JD .57 gj O a) -c .0 O• ) C Q L N X a) co L I— L Ti = N LL .O L . . O C O N 2 ca a)- 9 C O N a) O c c c 0 Cl. m U X a) -c 3 1 U a) U L O c Eti 8 a) U c U .O a) O O_ Q N 2 as U c a) E a) V N 0 •L a) C N III c co c O ms O Q co c U Ei cm o c 1+ 4= C E -t to a.5 ui a) c .O ca a) L C -o a) O C U) c O Q U a) .c 3 2 a) a) 0 C a) -D O 0 0 0) REVIEWED AND APPROVED BY BLR 15101 (Eff. 4/06) Auditor's Comments Audit Report No. 56 VILLAGE OF LEMONT Audit Period: Jan. 1, 2008 to Dec. 31, 2009 Purpose of Audit: To determine the status of Motor Fuel Tax Funds as of Dec. 31, 2009 received as follows: co co o co 0 0 0 0 Lricsi N- N 't ti N e- N d) O) 0 d) Efl 69 The other receipts to the Motor Fuel Tax Fund were Total received: 0 W Z 0 Cri BLR 15102 (Eff. 4/06) 2 Q TJ- N a-- CO "6 O a- O N N N M d Audit Report No. 56 VILLAGE OF LEMONT Audit Period Jan. 1, 2008 - Dec. 31, 2009 tember 2, 2010 Certified Correct BLR 15103 (Eff. 4/06) CO 0) O) co N- 00 C)) to N d' O d' co (O CO co 0 O O CO O — I- N O) .4 0 CO O co O .4 .4 L() 1•-- O ice- I`: N •-, M L() 1-- O h N. N I,- co N O co h CO C)) O 0 (.6, d' O d' '- N d' O .4. co co co co 00 L() r- N. I: .4- O O co d' r- O .4 Certified Correct BLR 15103 (Eff. 4/06) 5c O t ao Audit Report No. 56 VILLAGE OF LEMONT Type of Investment THE ILLINOIS FUNDS Outstanding Dec. 31 2009 $440,160.60 O to O O r- O Tr Interest Earned $9,125.06 co O 1) N r- a Value at Maturity or Redemption Purchase Cost Date of Maturity or Redemption Date of Purchase REMARKS: BLR 15105 (Eff. 4/06) Audit Report No. 56 Audit Period: January 1, 2008 - December 31, 2009 VILLAGE OF LEMONT Total Accumulated Disbursements 476,498.50 157,737.28 O 0 6 co O O V Co_ ,- N co O V to 0 O O Cn a-- N- N. CO O CO O CO 0) co 0 d CO CO V 229,172.56 I 373 369.11 248 088.46 I 0 O LL O O) M CO CO N: C 591,023.79 735,181.71 260,417.70 84_,767.73 2,552.75 _I 39,775.15 19,037.67 I 'mod' O � N N N 4,966,445.29 Prev. Accumulated Disbursements 476,498.50 157,737.28 O — C (0 O Co W CV E O a- 0 54,986.12 O 0 Cn x- O O ECO CO CO 229,172.56 373,369.11 248,088.46 O O O O CO 527,876.91 591,023.79 N. h 'ci' 0) 2,552.75 - f N. O) M CD NZ 0 O) e- 22,270.47 3,920,350.82 Unexpended Balance 0 0 O 0 O O 3.1,500.00] 0 0 O to 0 M C+ O V 0 0 d 0 0 O 0 N- o CO O (39,615.33) 0 O d 0.00 (3,514.00) 112,248.19 CO O D CO O o O a- N W h V M x f` <- O CO O 0 N ^ M CO h 0 0 O 0 0 O 0 0 O 3,544.68 9,739.53 CO V O M CO Surplus to Unobligated Balance (Credits) 0.00 I Total Disbursements co 0) N- o. O 39,615.33 735,181.71 260,417.70 I 1,046,094.47 I Total Funds Available 0 0 . O 0 0 O 31,500.00 0 0 d (140,337.35)1 0 O O 0 0 O 0 O O 0.00 0 0 O 0 0 O 0 0. V O C! `-' 0) (O N N r- CO 0 6 g v- CO 0) 0 lO v- N 0) N- H' M 636,600.00 0 0 O O s- CO 0 0 O 0 0 O 0 0 O CO CO M 9,739.53 882,480.31 _ Other Receipts 0 O O Adjustments O O O Total Amount Authorized $42,410.50 1 $16,884.28 O 0o0 O EA $61,304.83 04 00) V co $15,000.00 CO r to EA O O O N CH $369,855.11 O O co O CO COO Vi $184,100.00 I $84,767.73 0 CO r $39,775.15 1,615,572.75 Balance Prev. Audit ($42,410.50) ($16,884.28) $31,500.00 O 000 O CA CO CMO M. NOS. 1- o V a O O CC) CO n «) 01 0)) o N CO , CO M CA $112,248.19 I OO) O (0 O OO) E ($34,444.79)1 ($84,767.73)1 000 CA ($39,775.15) $3,544.68 $9,739.53 (733,092.44)1 Section CONSTRUCTION > 0 0 0 N O 0 0 A O 1 : 0 0 0 0) N O O 0 0) O 0 0 0 f` N 0 O O 00 O 'ENGINEERING > 0 0 0 N o 0 O 0) O > 0 0 0 CV N O 0 O 0) O IX 0 0 0 C) N O O O N. O 102- 00034 -O0ES 1 C O 0 0 0 V 4 O O O 00 0 CO 0 0 0 O 0 O 00 0 'MAINTENANCE 2 0 0 0 0 0 o 0 O CO 0 2 0 0 0 0 0 O 0 O f- 0 2 C9 0 0 0 0 O O O C�) 0 2 C9 0 0 0 0 0 0 Oy 4 0 2 0 0 0 0 0 0 O O 6 0 2 0 0 0 0 0 O 0 O CO 0 2 0 0 0 0 0 0 O O n 0 2 0 0 0 0 0 0 O O 00 0 2 0 0 9 0 0 0 O O O) 0 'MAINT. ENG. 2 0 0 O O 0 O 0 O to 0 2 0 0 o O 0 O 0 O I- 0 2 0 0 0 O 0 O O O ch 0 2 0 0 0 O 0 O 0 O 4 0 2 0 0 0 O 0 O 0 O 1f) 0 SUB TOTAL BLR 15106 (Eff. 4/06) Audit Report No. 56 Audit Period: January 1, 2008 - December 31, 2009 VILLAGE OF LEMONT Total Accumulated Disbursements 18,265.44 24,973.59 1 26,512.17 5,036,196.49 I Prev. Accumulated Disbursements 18,265.44 24,633.59 3,963,249.85 Unexpended Balance 16,862.56 3,947.41 3,487.83 N t- t- O cV 0) a- rr co co r r• n O cp 21,003.89 34,116.35 31,429.04 M CO N GO c0 557.73 (126,022.31) 0) 1 Co M (1,844.86) 0 0 0 0 0 o (690.00) 0 0 ai co CO 0 ai co (138.00) (147,942.44) Surplus to Unobligated Balance (Credits) O O O O O N 19,460.00 O O W O V Total Disbursements 1_ _ _ 340.00 F..- N O O N 690.00 O 0 0) co CO 0 O) co O s- 138.00 1,074,932.72 Total Funds Available O GO GO O O 4,287.41 O O O O M N � O N 0) erO 0) h (O n o 00 21,003.89 34,116.35 31,_4.2.9.04] 8,567.33 557.73 M N N (7,376.79) (O O v 0 0 O O N 0 0 O pp Oi 00'0 0 0 O 0 0 O 0 0 O CO N M GO O) Other Receipts 8,567.33 557.73 0 0 co O O N 0 0 6 V 0 .- O O N 0 V Adjustments 0.00 Total Amount Authorized O O O M n N- U). W O Balance Prev. Audit O O N CO O $4,287.41 12,077.72 0) ; t` c6 I 8,057.71 L 21,003.89 34,1.16.35 1 31,429.04] M N O O N (1,376.M1 (1,844.86)1 (727,707.53)1 Section 2 0 0 0 6 0 0 0 0 co 0 2 0 0 0 o 0 0 0 o g. 0 0 0 o 0 0 0 0 0 W 0 1EARNED INT. 0 o 0 0 0 0 o 0 N 0 0 0 o 0 0 0 0 0 c`) 0 0 0 0 0 0 0 0 0 4 0 0 0 o 0 0 0 0 O GO 0 0 0 0 o o 0 0 o co 0 0 0 0 0 0 0 0 0 t: 0 0 0 0 0 0 0 0 O co 0 0 o 0 0 0 0 0 O 6) 0 'OTHER CAT. I Q a 0 0 0 0 0 0 CO 0) a 0 0 0 0 0 0 N 0 QQQ N 0 0 0 0 0 0 N 0 V m 0 6 O 0 0 O O 0 I OV£0-00000-o i. a Q 0 a 0 0 0 0 o 0 Q N 0 a 0 0 0 0 d1 0 M 0 a 0 0 0 0 d1 0 QQ V d 0 0 0 0 t 0 1 TOTALS BLR 15106 (Eff. 4 /06)