Record #: O2017-7834   
Type: Ordinance Status: Passed
Intro date: 11/8/2017 Current Controlling Legislative Body: Committee on Budget and Government Operations
Final action: 11/21/2017
Title: Expenditure of portion of Motor Fuel Tax funds allocated to City of Chicago for Year 2018
Sponsors: Emanuel, Rahm
Topic: FINANCE FUNDS - Motor Fuel Tax - 2018
Attachments: 1. O2017-7834.pdf, 2. O2017-7834 (V1).pdf
ORDINANCE

EXPENDITURE OF THE PORTION OF THE MOTOR FUEL TAX FUND ALLOCATED TO THE CITY OF CHICAGO IN THE YEAR 2018

BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF CHICAGO:

SECTION 1. Definitions. As used in this ordinance: ,

The term "authorized use" means any use permitted pursuant to Division 2 of Article 7 of the Illinois Highway Code, 605 ILCS 5/7-202, et seq., as described and interpreted by the Illinois Department of Transportation in its Bureau of Local Roads and Streets Manual, Figure 4-3B.

The term "eligible debt service" means debt service eligible for payment out of the portion ofthe Motor Fuel Tax Fund allocated to the City pursuant to 605 ILCS 5/7-202.13.

The term "Fund 310" means Fund 310 as set forth in the Annual Appropriation Ordinance for the year 2018.

The term "Fund 383" means Fund 383 as set forth in the Annual Appropriation Ordinance for the year 2018.

SECTION 2. The City is hereby authorized to make the following expenditures from the portion of the Motor Fuel Tax Fund which has been or may be allocated to the City for the period beginning January 1, 2018, and ending December 31, 2018:

SUBSECTION A. The Commissioner of Transportation is authorized to expend:
the sum of Three Million Dollars ($3,000,000) for authorized uses related to Engineering maintenance, inspection, and oversight of pavement markings, bridges, and viaducts, as more fully described in Fund 310, and
the sum of Twenty Million, Five Hundred Thirty-One Dollars ($20,000,531) for authorized uses related to Electrical Operations in-house construction and maintenance services of the street lighting and traffic signal system, as more fully described in Fund 310, and
the sum of Eleven Million, Seven Hundred Seventy-Four Thousand, Six Hundred Thirty-Six Dollars ($11,774,636) for authorized uses related to In-House Construction services related to bridge maintenance, pothole and pavement maintenance, as more fully described in Fund 310.


SUBSECTION B. The Commissioner of F...

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