REPORT DIGEST KANKAKEE RIVER VALLEY AREA AIRPORT AUTHORITY FINANCIAL AND COMPLIANCE AUDIT For the Year Ended: June 30, 2001 Summary of Findings: Total this audit 0 Release Date: State of Illinois Office of the Auditor General WILLIAM G. HOLLAND AUDITOR GENERAL To obtain a copy of the Report contact: (217)782-6046 or TDD (217) 524-4646 This Report Digest is also available on |
INTRODUCTION The Kankakee River Valley Area Airport Authority was created September 10, 1990 as a result of Public Act 86-1400, the Kankakee River Valley Area Airport Authority Act. Its mission is to facilitate safe and convenient air travel and transportation to and from the Kankakee River Valley by acquisition or construction and operation of one or more airports. This digest covers the financial and compliance audit of the Authority for the year ended June 30, 2001. The Authority received no appropriations from the Illinois General Assembly, and funds were not held in the State Treasury. The Authority was financed solely through contributions from private sources and interest income received from locally held funds. There were no material findings of noncompliance disclosed during our audit tests. We commend the Authority for maintaining an effective system of internal control. AUDITORS OPINION Our auditors stated the financial statements of the Authority as of June 30, 2001, and for the year ended, are fairly presented in all material respects. ____________________________________ WILLIAM G. HOLLAND, Auditor General WGH:JSC AUDITORS ASSIGNED This audit was performed by the staff of the Office of the Auditor General. {Expenditures and Activity Measures are summarized on the reverse page.} |
KANKAKEE RIVER VALLEY AREA AIRPORT AUTHORITY
FINANCIAL AND COMPLIANCE AUDIT
For The Year Ended June 30, 2001
PROPRIETARY FUND FINANCIAL OPERATIONS | FY 2001 |
FY 2000 |
PROPRIETARY FUND REVENUES OPERATING REVENUES Interest Income Total Operating Revenues |
$92 |
$108 |
PROPRIETARY FUND EXPENSES OPERATING EXPENSES Contractual Services Management Expenses Office Expenses Dues - Airport Association Telephone Expenses Postage Bank Service Charge Total Operating Expenses Operating Income (Loss) Net Income (Loss) Retained Earnings, July 1 Retained Earnings, June 30 |
$1,400 |
$1,400 |
CONTRIBUTED SERVICES Contributed Facilities and Services |
$3,105 |
$70 |
SELECTED PROPRIETARY FUND BALANCES | JUNE
30, |
JUNE
30, |
Cash Retained Earnings |
$5,966 |
$8,753 |
AGENCY CHAIRMAN |
During Audit Period: Mr. Robert Glade Currently: Mr. Robert Glade |