REPORT DIGEST

DRYCLEANER ENVIRONMENTAL RESPONSE TRUST FUND COUNCIL OF ILLINOIS

COMPLIANCE AUDIT

For the Year Ended:

June 30, 2002

Summary of Findings:

Total this audit 0
Total last audit 0
Repeated from last audit 0

Release Date:
March 11, 2003

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State of Illinois

Office of the Auditor General

WILLIAM G. HOLLAND

AUDITOR GENERAL

To obtain a copy of the Report contact:
Office of the Auditor General
Attn: Records Manager
Iles Park Plaza
740 E. Ash Street
Springfield, IL 62703

(217)782-6046 or TDD (217) 524-4646

This Report Digest is also available on
the worldwide web at
http://www.state.il.us/auditor

 

 

 

 

FINDINGS, CONCLUSIONS, AND RECOMMENDATIONS

There were no material findings of noncompliance disclosed during our audit tests. We commend the Council for maintaining an effective system of internal controls.

We conducted a compliance audit of the Council as required by the Illinois State Auditing Act. We have not audited any financial statements of the Drycleaner Environmental Response Trust Fund Council of Illinois for the purpose of expressing an opinion because the Council is not required to prepare financial statements.

 

 

 

___________________________________

WILLIAM G. HOLLAND, Auditor General

 

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SPECIAL ASSISTANT AUDITORS

Our special assistant auditors for this audit were Sikich Gardner & Co., LLP.

{Receipts, Disbursements and Activity Measures are summarized on the next page.}

DRYCLEANER ENVIRONMENTAL RESPONSE
TRUST FUND COUNCIL OF ILLINOIS
COMPLIANCE AUDIT
FOR THE YEAR ENDED JUNE 30, 2002

STATISTICS

FY 2002

FY 2001

RECEIPTS:
License Fees Collected
Solvent Taxes Collected
Insurance Premium Collected
Late Payment Fees and Miscellaneous
Subtotal
Less 4% Department of Revenue Fees
Net Fees Collected for Council
Interest Income
Net Receipts
DISBURSEMENTS:
Contractual Services
Travel
Advertising
Refunds
Grants and Awards
Total Disbursements
Excess Receipts Over (Under) Disbursements
Total Fund Balance, July 1
Total Fund Balance, June 30

$926,808
659,434
441,980
91,698
$2,119,920
(63,450)
$2,056,470
210,927
$2,267,397

$624,858
1,086
-
23,955
1,156,421
$1,806,320

$461,077
6,125,653
$6,586,730


$985,190
783,161
369,825
165,099
$2,303,275
(70,953)
$2,232,322
324,691
$2,557,013

$645,210
1,411
2,450
49,071
207,526
$905,668

$1,651,345
4,474,308
$6,125,653

The above information was obtained from Comptroller records. This information represents the entire activity within Fund 0548, including that portion of the receipts reported by the Illinois Department of Revenue and the Office of the Treasurer.

ACTIVITY MEASURES

FY 2002

FY 2001

Licenses Issued

1,383

1,416

Insurance Policies Issued

909

937

Total Eligible Claims Closed

5

3

COUNCIL CHAIRMAN
During Audit Period: James E. Sober (7/1/01-7/14/02), John Polak (7/15/02-Present)
Currently: John Polak