Public Act 099-0581
 
SB2900 EnrolledLRB099 20672 SMS 45286 b

    AN ACT concerning regulation.
 
    Be it enacted by the People of the State of Illinois,
represented in the General Assembly:
 
    Section 5. The State Employees Group Insurance Act of 1971
is amended by changing Section 6.11A as follows:
 
    (5 ILCS 375/6.11A)
    Sec. 6.11A. Physical therapy and occupational therapy.
    (a) The program of health benefits provided under this Act
shall provide coverage for medically necessary physical
therapy and occupational therapy when that therapy is ordered
for the treatment of autoimmune diseases or referred for the
same purpose by (i) a physician licensed under the Medical
Practice Act of 1987, (ii) a physician physician's assistant
licensed under the Physician Physician's Assistant Practice
Act of 1987, or (iii) an advanced practice nurse licensed under
the Nurse Practice Act.
    (b) For the purpose of this Section, "medically necessary"
means any care, treatment, intervention, service, or item that
will or is reasonably expected to:
        (i) prevent the onset of an illness, condition, injury,
    disease, or disability;
        (ii) reduce or ameliorate the physical, mental, or
    developmental effects of an illness, condition, injury,
    disease, or disability; or
        (iii) assist the achievement or maintenance of maximum
    functional activity in performing daily activities.
    (c) The coverage required under this Section shall be
subject to the same deductible, coinsurance, waiting period,
cost sharing limitation, treatment limitation, calendar year
maximum, or other limitations as provided for other physical or
rehabilitative or occupational therapy benefits covered by the
policy.
    (d) Upon request of the reimbursing insurer, the provider
of the physical therapy or occupational therapy shall furnish
medical records, clinical notes, or other necessary data that
substantiate that initial or continued treatment is medically
necessary. When treatment is anticipated to require continued
services to achieve demonstrable progress, the insurer may
request a treatment plan consisting of the diagnosis, proposed
treatment by type, proposed frequency of treatment,
anticipated duration of treatment, anticipated outcomes stated
as goals, and proposed frequency of updating the treatment
plan.
    (e) When making a determination of medical necessity for
treatment, an insurer must make the determination in a manner
consistent with the manner in which that determination is made
with respect to other diseases or illnesses covered under the
policy, including an appeals process. During the appeals
process, any challenge to medical necessity may be viewed as
reasonable only if the review includes a licensed health care
professional with the same category of license as the
professional who ordered or referred the service in question
and with expertise in the most current and effective treatment.
(Source: P.A. 96-1227, eff. 1-1-11; 97-604, eff. 8-26-11.)
 
    Section 10. The Election Code is amended by changing
Sections 19-12.1 and 19-13 as follows:
 
    (10 ILCS 5/19-12.1)  (from Ch. 46, par. 19-12.1)
    Sec. 19-12.1. Any qualified elector who has secured an
Illinois Person with a Disability Identification Card in
accordance with the Illinois Identification Card Act,
indicating that the person named thereon has a Class 1A or
Class 2 disability or any qualified voter who has a permanent
physical incapacity of such a nature as to make it improbable
that he will be able to be present at the polls at any future
election, or any voter who is a resident of (i) a federally
operated veterans' home, hospital, or facility located in
Illinois or (ii) a facility licensed or certified pursuant to
the Nursing Home Care Act, the Specialized Mental Health
Rehabilitation Act of 2013, the ID/DD Community Care Act, or
the MC/DD Act and has a condition or disability of such a
nature as to make it improbable that he will be able to be
present at the polls at any future election, may secure a
voter's identification card for persons with disabilities or a
nursing home resident's identification card, which will enable
him to vote under this Article as a physically incapacitated or
nursing home voter. For the purposes of this Section,
"federally operated veterans' home, hospital, or facility"
means the long-term care facilities at the Jesse Brown VA
Medical Center, Illiana Health Care System, Edward Hines, Jr.
VA Hospital, Marion VA Medical Center, and Captain James A.
Lovell Federal Health Care Center.
    Application for a voter's identification card for persons
with disabilities or a nursing home resident's identification
card shall be made either: (a) in writing, with voter's sworn
affidavit, to the county clerk or board of election
commissioners, as the case may be, and shall be accompanied by
the affidavit of the attending physician, advanced practice
nurse, or a physician assistant specifically describing the
nature of the physical incapacity or the fact that the voter is
a nursing home resident and is physically unable to be present
at the polls on election days; or (b) by presenting, in writing
or otherwise, to the county clerk or board of election
commissioners, as the case may be, proof that the applicant has
secured an Illinois Person with a Disability Identification
Card indicating that the person named thereon has a Class 1A or
Class 2 disability. Upon the receipt of either the sworn-to
application and the physician's, advanced practice nurse's, or
a physician assistant's affidavit or proof that the applicant
has secured an Illinois Person with a Disability Identification
Card indicating that the person named thereon has a Class 1A or
Class 2 disability, the county clerk or board of election
commissioners shall issue a voter's identification card for
persons with disabilities or a nursing home resident's
identification card. Such identification cards shall be issued
for a period of 5 years, upon the expiration of which time the
voter may secure a new card by making application in the same
manner as is prescribed for the issuance of an original card,
accompanied by a new affidavit of the attending physician,
advanced practice nurse, or a physician assistant. The date of
expiration of such five-year period shall be made known to any
interested person by the election authority upon the request of
such person. Applications for the renewal of the identification
cards shall be mailed to the voters holding such cards not less
than 3 months prior to the date of expiration of the cards.
    Each voter's identification card for persons with
disabilities or nursing home resident's identification card
shall bear an identification number, which shall be clearly
noted on the voter's original and duplicate registration record
cards. In the event the holder becomes physically capable of
resuming normal voting, he must surrender his voter's
identification card for persons with disabilities or nursing
home resident's identification card to the county clerk or
board of election commissioners before the next election.
    The holder of a voter's identification card for persons
with disabilities or a nursing home resident's identification
card may make application by mail for an official ballot within
the time prescribed by Section 19-2. Such application shall
contain the same information as is included in the form of
application for ballot by a physically incapacitated elector
prescribed in Section 19-3 except that it shall also include
the applicant's voter's identification card for persons with
disabilities card number and except that it need not be sworn
to. If an examination of the records discloses that the
applicant is lawfully entitled to vote, he shall be mailed a
ballot as provided in Section 19-4. The ballot envelope shall
be the same as that prescribed in Section 19-5 for voters with
physical disabilities, and the manner of voting and returning
the ballot shall be the same as that provided in this Article
for other vote by mail ballots, except that a statement to be
subscribed to by the voter but which need not be sworn to shall
be placed on the ballot envelope in lieu of the affidavit
prescribed by Section 19-5.
    Any person who knowingly subscribes to a false statement in
connection with voting under this Section shall be guilty of a
Class A misdemeanor.
    For the purposes of this Section, "nursing home resident"
includes a resident of (i) a federally operated veterans' home,
hospital, or facility located in Illinois or (ii) a facility
licensed under the ID/DD Community Care Act, the MC/DD Act, or
the Specialized Mental Health Rehabilitation Act of 2013. For
the purposes of this Section, "federally operated veterans'
home, hospital, or facility" means the long-term care
facilities at the Jesse Brown VA Medical Center, Illiana Health
Care System, Edward Hines, Jr. VA Hospital, Marion VA Medical
Center, and Captain James A. Lovell Federal Health Care Center.
(Source: P.A. 98-104, eff. 7-22-13; 98-1171, eff. 6-1-15;
99-143, eff. 7-27-15; 99-180, eff. 7-29-15; revised 10-14-15.)
 
    (10 ILCS 5/19-13)  (from Ch. 46, par. 19-13)
    Sec. 19-13. Any qualified voter who has been admitted to a
hospital, nursing home, or rehabilitation center due to an
illness or physical injury not more than 14 days before an
election shall be entitled to personal delivery of a vote by
mail ballot in the hospital, nursing home, or rehabilitation
center subject to the following conditions:
    (1) The voter completes the Application for Physically
Incapacitated Elector as provided in Section 19-3, stating as
reasons therein that he is a patient in ............... (name
of hospital/home/center), ............... located at,
............... (address of hospital/home/center),
............... (county, city/village), was admitted for
............... (nature of illness or physical injury), on
............... (date of admission), and does not expect to be
released from the hospital/home/center on or before the day of
election or, if released, is expected to be homebound on the
day of the election and unable to travel to the polling place.
    (2) The voter's physician, advanced practice nurse, or
physician assistant completes a Certificate of Attending
Health Care Professional Physician in a form substantially as
follows:
CERTIFICATE OF ATTENDING HEALTH CARE PROFESSIONAL PHYSICIAN
    I state that I am a physician, advanced practice nurse, or
physician assistant, duly licensed to practice in the State of
.........; that .......... is a patient in .......... (name of
hospital/home/center), located at ............. (address of
hospital/home/center), ................. (county,
city/village); that such individual was admitted for
............. (nature of illness or physical injury), on
............ (date of admission); and that I have examined such
individual in the State in which I am licensed to practice
medicine and do not expect such individual to be released from
the hospital/home/center on or before the day of election or,
if released, to be able to travel to the polling place on
election day.
    Under penalties as provided by law pursuant to Section
29-10 of The Election Code, the undersigned certifies that the
statements set forth in this certification are true and
correct.
(Signature) ...............
(Date licensed) ............
    (3) Any person who is registered to vote in the same
precinct as the admitted voter or any legal relative of the
admitted voter may present such voter's vote by mail ballot
application, completed as prescribed in paragraph 1,
accompanied by the physician's, advanced practice nurse's, or a
physician assistant's certificate, completed as prescribed in
paragraph 2, to the election authority. Such precinct voter or
relative shall execute and sign an affidavit furnished by the
election authority attesting that he is a registered voter in
the same precinct as the admitted voter or that he is a legal
relative of the admitted voter and stating the nature of the
relationship. Such precinct voter or relative shall further
attest that he has been authorized by the admitted voter to
obtain his or her vote by mail ballot from the election
authority and deliver such ballot to him in the hospital, home,
or center.
    Upon receipt of the admitted voter's application,
physician's, advanced practice nurse's, or a physician
assistant's certificate, and the affidavit of the precinct
voter or the relative, the election authority shall examine the
registration records to determine if the applicant is qualified
to vote and, if found to be qualified, shall provide the
precinct voter or the relative the vote by mail ballot for
delivery to the applicant.
    Upon receipt of the vote by mail ballot, the admitted voter
shall mark the ballot in secret and subscribe to the
certifications on the vote by mail ballot return envelope.
After depositing the ballot in the return envelope and securely
sealing the envelope, such voter shall give the envelope to the
precinct voter or the relative who shall deliver it to the
election authority in sufficient time for the ballot to be
delivered by the election authority to the election authority's
central ballot counting location before 7 p.m. on election day.
    Upon receipt of the admitted voter's vote by mail ballot,
the ballot shall be counted in the manner prescribed in this
Article.
(Source: P.A. 98-1171, eff. 6-1-15.)
 
    Section 15. The Alcoholism and Other Drug Abuse and
Dependency Act is amended by changing Section 5-23 as follows:
 
    (20 ILCS 301/5-23)
    Sec. 5-23. Drug Overdose Prevention Program.
    (a) Reports of drug overdose.
        (1) The Director of the Division of Alcoholism and
    Substance Abuse shall publish annually a report on drug
    overdose trends statewide that reviews State death rates
    from available data to ascertain changes in the causes or
    rates of fatal and nonfatal drug overdose. The report shall
    also provide information on interventions that would be
    effective in reducing the rate of fatal or nonfatal drug
    overdose and shall include an analysis of drug overdose
    information reported to the Department of Public Health
    pursuant to subsection (e) of Section 3-3013 of the
    Counties Code, Section 6.14g of the Hospital Licensing Act,
    and subsection (j) of Section 22-30 of the School Code.
        (2) The report may include:
            (A) Trends in drug overdose death rates.
            (B) Trends in emergency room utilization related
        to drug overdose and the cost impact of emergency room
        utilization.
            (C) Trends in utilization of pre-hospital and
        emergency services and the cost impact of emergency
        services utilization.
            (D) Suggested improvements in data collection.
            (E) A description of other interventions effective
        in reducing the rate of fatal or nonfatal drug
        overdose.
            (F) A description of efforts undertaken to educate
        the public about unused medication and about how to
        properly dispose of unused medication, including the
        number of registered collection receptacles in this
        State, mail-back programs, and drug take-back events.
    (b) Programs; drug overdose prevention.
        (1) The Director may establish a program to provide for
    the production and publication, in electronic and other
    formats, of drug overdose prevention, recognition, and
    response literature. The Director may develop and
    disseminate curricula for use by professionals,
    organizations, individuals, or committees interested in
    the prevention of fatal and nonfatal drug overdose,
    including, but not limited to, drug users, jail and prison
    personnel, jail and prison inmates, drug treatment
    professionals, emergency medical personnel, hospital
    staff, families and associates of drug users, peace
    officers, firefighters, public safety officers, needle
    exchange program staff, and other persons. In addition to
    information regarding drug overdose prevention,
    recognition, and response, literature produced by the
    Department shall stress that drug use remains illegal and
    highly dangerous and that complete abstinence from illegal
    drug use is the healthiest choice. The literature shall
    provide information and resources for substance abuse
    treatment.
        The Director may establish or authorize programs for
    prescribing, dispensing, or distributing opioid
    antagonists for the treatment of drug overdose. Such
    programs may include the prescribing of opioid antagonists
    for the treatment of drug overdose to a person who is not
    at risk of opioid overdose but who, in the judgment of the
    health care professional, may be in a position to assist
    another individual during an opioid-related drug overdose
    and who has received basic instruction on how to administer
    an opioid antagonist.
        (2) The Director may provide advice to State and local
    officials on the growing drug overdose crisis, including
    the prevalence of drug overdose incidents, programs
    promoting the disposal of unused prescription drugs,
    trends in drug overdose incidents, and solutions to the
    drug overdose crisis.
    (c) Grants.
        (1) The Director may award grants, in accordance with
    this subsection, to create or support local drug overdose
    prevention, recognition, and response projects. Local
    health departments, correctional institutions, hospitals,
    universities, community-based organizations, and
    faith-based organizations may apply to the Department for a
    grant under this subsection at the time and in the manner
    the Director prescribes.
        (2) In awarding grants, the Director shall consider the
    necessity for overdose prevention projects in various
    settings and shall encourage all grant applicants to
    develop interventions that will be effective and viable in
    their local areas.
        (3) The Director shall give preference for grants to
    proposals that, in addition to providing life-saving
    interventions and responses, provide information to drug
    users on how to access drug treatment or other strategies
    for abstaining from illegal drugs. The Director shall give
    preference to proposals that include one or more of the
    following elements:
            (A) Policies and projects to encourage persons,
        including drug users, to call 911 when they witness a
        potentially fatal drug overdose.
            (B) Drug overdose prevention, recognition, and
        response education projects in drug treatment centers,
        outreach programs, and other organizations that work
        with, or have access to, drug users and their families
        and communities.
            (C) Drug overdose recognition and response
        training, including rescue breathing, in drug
        treatment centers and for other organizations that
        work with, or have access to, drug users and their
        families and communities.
            (D) The production and distribution of targeted or
        mass media materials on drug overdose prevention and
        response, the potential dangers of keeping unused
        prescription drugs in the home, and methods to properly
        dispose of unused prescription drugs.
            (E) Prescription and distribution of opioid
        antagonists.
            (F) The institution of education and training
        projects on drug overdose response and treatment for
        emergency services and law enforcement personnel.
            (G) A system of parent, family, and survivor
        education and mutual support groups.
        (4) In addition to moneys appropriated by the General
    Assembly, the Director may seek grants from private
    foundations, the federal government, and other sources to
    fund the grants under this Section and to fund an
    evaluation of the programs supported by the grants.
    (d) Health care professional prescription of opioid
antagonists.
        (1) A health care professional who, acting in good
    faith, directly or by standing order, prescribes or
    dispenses an opioid antagonist to: (a) a patient who, in
    the judgment of the health care professional, is capable of
    administering the drug in an emergency, or (b) a person who
    is not at risk of opioid overdose but who, in the judgment
    of the health care professional, may be in a position to
    assist another individual during an opioid-related drug
    overdose and who has received basic instruction on how to
    administer an opioid antagonist shall not, as a result of
    his or her acts or omissions, be subject to: (i) any
    disciplinary or other adverse action under the Medical
    Practice Act of 1987, the Physician Assistant Practice Act
    of 1987, the Nurse Practice Act, the Pharmacy Practice Act,
    or any other professional licensing statute or (ii) any
    criminal liability, except for willful and wanton
    misconduct.
        (2) A person who is not otherwise licensed to
    administer an opioid antagonist may in an emergency
    administer without fee an opioid antagonist if the person
    has received the patient information specified in
    paragraph (4) of this subsection and believes in good faith
    that another person is experiencing a drug overdose. The
    person shall not, as a result of his or her acts or
    omissions, be (i) liable for any violation of the Medical
    Practice Act of 1987, the Physician Assistant Practice Act
    of 1987, the Nurse Practice Act, the Pharmacy Practice Act,
    or any other professional licensing statute, or (ii)
    subject to any criminal prosecution or civil liability,
    except for willful and wanton misconduct.
        (3) A health care professional prescribing an opioid
    antagonist to a patient shall ensure that the patient
    receives the patient information specified in paragraph
    (4) of this subsection. Patient information may be provided
    by the health care professional or a community-based
    organization, substance abuse program, or other
    organization with which the health care professional
    establishes a written agreement that includes a
    description of how the organization will provide patient
    information, how employees or volunteers providing
    information will be trained, and standards for documenting
    the provision of patient information to patients.
    Provision of patient information shall be documented in the
    patient's medical record or through similar means as
    determined by agreement between the health care
    professional and the organization. The Director of the
    Division of Alcoholism and Substance Abuse, in
    consultation with statewide organizations representing
    physicians, pharmacists, advanced practice nurses,
    physician assistants, substance abuse programs, and other
    interested groups, shall develop and disseminate to health
    care professionals, community-based organizations,
    substance abuse programs, and other organizations training
    materials in video, electronic, or other formats to
    facilitate the provision of such patient information.
        (4) For the purposes of this subsection:
        "Opioid antagonist" means a drug that binds to opioid
    receptors and blocks or inhibits the effect of opioids
    acting on those receptors, including, but not limited to,
    naloxone hydrochloride or any other similarly acting drug
    approved by the U.S. Food and Drug Administration.
        "Health care professional" means a physician licensed
    to practice medicine in all its branches, a licensed
    physician assistant with prescriptive authority, a
    licensed advanced practice nurse with prescriptive
    authority, or an advanced practice nurse or physician
    assistant who practices in a hospital, hospital affiliate,
    or ambulatory surgical treatment center and possesses
    appropriate clinical privileges in accordance with the
    Nurse Practice Act, or a pharmacist licensed to practice
    pharmacy under the Pharmacy Practice Act.
        "Patient" includes a person who is not at risk of
    opioid overdose but who, in the judgment of the physician,
    advanced practice nurse, or physician assistant, may be in
    a position to assist another individual during an overdose
    and who has received patient information as required in
    paragraph (2) of this subsection on the indications for and
    administration of an opioid antagonist.
        "Patient information" includes information provided to
    the patient on drug overdose prevention and recognition;
    how to perform rescue breathing and resuscitation; opioid
    antagonist dosage and administration; the importance of
    calling 911; care for the overdose victim after
    administration of the overdose antagonist; and other
    issues as necessary.
    (e) Drug overdose response policy.
        (1) Every State and local government agency that
    employs a law enforcement officer or fireman as those terms
    are defined in the Line of Duty Compensation Act must
    possess opioid antagonists and must establish a policy to
    control the acquisition, storage, transportation, and
    administration of such opioid antagonists and to provide
    training in the administration of opioid antagonists. A
    State or local government agency that employs a fireman as
    defined in the Line of Duty Compensation Act but does not
    respond to emergency medical calls or provide medical
    services shall be exempt from this subsection.
        (2) Every publicly or privately owned ambulance,
    special emergency medical services vehicle, non-transport
    vehicle, or ambulance assist vehicle, as described in the
    Emergency Medical Services (EMS) Systems Act, which
    responds to requests for emergency services or transports
    patients between hospitals in emergency situations must
    possess opioid antagonists.
        (3) Entities that are required under paragraphs (1) and
    (2) to possess opioid antagonists may also apply to the
    Department for a grant to fund the acquisition of opioid
    antagonists and training programs on the administration of
    opioid antagonists.
(Source: P.A. 99-173, eff. 7-29-15; 99-480, eff. 9-9-15;
revised 10-19-15.)
 
    Section 20. The Department of Central Management Services
Law of the Civil Administrative Code of Illinois is amended by
changing Section 405-105 as follows:
 
    (20 ILCS 405/405-105)  (was 20 ILCS 405/64.1)
    Sec. 405-105. Fidelity, surety, property, and casualty
insurance. The Department shall establish and implement a
program to coordinate the handling of all fidelity, surety,
property, and casualty insurance exposures of the State and the
departments, divisions, agencies, branches, and universities
of the State. In performing this responsibility, the Department
shall have the power and duty to do the following:
        (1) Develop and maintain loss and exposure data on all
    State property.
        (2) Study the feasibility of establishing a
    self-insurance plan for State property and prepare
    estimates of the costs of reinsurance for risks beyond the
    realistic limits of the self-insurance.
        (3) Prepare a plan for centralizing the purchase of
    property and casualty insurance on State property under a
    master policy or policies and purchase the insurance
    contracted for as provided in the Illinois Purchasing Act.
        (4) Evaluate existing provisions for fidelity bonds
    required of State employees and recommend changes that are
    appropriate commensurate with risk experience and the
    determinations respecting self-insurance or reinsurance so
    as to permit reduction of costs without loss of coverage.
        (5) Investigate procedures for inclusion of school
    districts, public community college districts, and other
    units of local government in programs for the centralized
    purchase of insurance.
        (6) Implement recommendations of the State Property
    Insurance Study Commission that the Department finds
    necessary or desirable in the performance of its powers and
    duties under this Section to achieve efficient and
    comprehensive risk management.
        (7) Prepare and, in the discretion of the Director,
    implement a plan providing for the purchase of public
    liability insurance or for self-insurance for public
    liability or for a combination of purchased insurance and
    self-insurance for public liability (i) covering the State
    and drivers of motor vehicles owned, leased, or controlled
    by the State of Illinois pursuant to the provisions and
    limitations contained in the Illinois Vehicle Code, (ii)
    covering other public liability exposures of the State and
    its employees within the scope of their employment, and
    (iii) covering drivers of motor vehicles not owned, leased,
    or controlled by the State but used by a State employee on
    State business, in excess of liability covered by an
    insurance policy obtained by the owner of the motor vehicle
    or in excess of the dollar amounts that the Department
    shall determine to be reasonable. Any contract of insurance
    let under this Law shall be by bid in accordance with the
    procedure set forth in the Illinois Purchasing Act. Any
    provisions for self-insurance shall conform to subdivision
    (11).
        The term "employee" as used in this subdivision (7) and
    in subdivision (11) means a person while in the employ of
    the State who is a member of the staff or personnel of a
    State agency, bureau, board, commission, committee,
    department, university, or college or who is a State
    officer, elected official, commissioner, member of or ex
    officio member of a State agency, bureau, board,
    commission, committee, department, university, or college,
    or a member of the National Guard while on active duty
    pursuant to orders of the Governor of the State of
    Illinois, or any other person while using a licensed motor
    vehicle owned, leased, or controlled by the State of
    Illinois with the authorization of the State of Illinois,
    provided the actual use of the motor vehicle is within the
    scope of that authorization and within the course of State
    service.
        Subsequent to payment of a claim on behalf of an
    employee pursuant to this Section and after reasonable
    advance written notice to the employee, the Director may
    exclude the employee from future coverage or limit the
    coverage under the plan if (i) the Director determines that
    the claim resulted from an incident in which the employee
    was grossly negligent or had engaged in willful and wanton
    misconduct or (ii) the Director determines that the
    employee is no longer an acceptable risk based on a review
    of prior accidents in which the employee was at fault and
    for which payments were made pursuant to this Section.
        The Director is authorized to promulgate
    administrative rules that may be necessary to establish and
    administer the plan.
        Appropriations from the Road Fund shall be used to pay
    auto liability claims and related expenses involving
    employees of the Department of Transportation, the
    Illinois State Police, and the Secretary of State.
        (8) Charge, collect, and receive from all other
    agencies of the State government fees or monies equivalent
    to the cost of purchasing the insurance.
        (9) Establish, through the Director, charges for risk
    management services rendered to State agencies by the
    Department. The State agencies so charged shall reimburse
    the Department by vouchers drawn against their respective
    appropriations. The reimbursement shall be determined by
    the Director as amounts sufficient to reimburse the
    Department for expenditures incurred in rendering the
    service.
        The Department shall charge the employing State agency
    or university for workers' compensation payments for
    temporary total disability paid to any employee after the
    employee has received temporary total disability payments
    for 120 days if the employee's treating physician, advanced
    practice nurse, or physician assistant has issued a release
    to return to work with restrictions and the employee is
    able to perform modified duty work but the employing State
    agency or university does not return the employee to work
    at modified duty. Modified duty shall be duties assigned
    that may or may not be delineated as part of the duties
    regularly performed by the employee. Modified duties shall
    be assigned within the prescribed restrictions established
    by the treating physician and the physician who performed
    the independent medical examination. The amount of all
    reimbursements shall be deposited into the Workers'
    Compensation Revolving Fund which is hereby created as a
    revolving fund in the State treasury. In addition to any
    other purpose authorized by law, moneys in the Fund shall
    be used, subject to appropriation, to pay these or other
    temporary total disability claims of employees of State
    agencies and universities.
        Beginning with fiscal year 1996, all amounts recovered
    by the Department through subrogation in workers'
    compensation and workers' occupational disease cases shall
    be deposited into the Workers' Compensation Revolving Fund
    created under this subdivision (9).
        (10) Establish rules, procedures, and forms to be used
    by State agencies in the administration and payment of
    workers' compensation claims. For claims filed prior to
    July 1, 2013, the Department shall initially evaluate and
    determine the compensability of any injury that is the
    subject of a workers' compensation claim and provide for
    the administration and payment of such a claim for all
    State agencies. For claims filed on or after July 1, 2013,
    the Department shall retain responsibility for certain
    administrative payments including, but not limited to,
    payments to the private vendor contracted to perform
    services under subdivision (10b) of this Section, payments
    related to travel expenses for employees of the Office of
    the Attorney General, and payments to internal Department
    staff responsible for the oversight and management of any
    contract awarded pursuant to subdivision (10b) of this
    Section. Through December 31, 2012, the Director may
    delegate to any agency with the agreement of the agency
    head the responsibility for evaluation, administration,
    and payment of that agency's claims. Neither the Department
    nor the private vendor contracted to perform services under
    subdivision (10b) of this Section shall be responsible for
    providing workers' compensation services to the Illinois
    State Toll Highway Authority or to State universities that
    maintain self-funded workers' compensation liability
    programs.
        (10a) By April 1 of each year prior to calendar year
    2013, the Director must report and provide information to
    the State Workers' Compensation Program Advisory Board
    concerning the status of the State workers' compensation
    program for the next fiscal year. Information that the
    Director must provide to the State Workers' Compensation
    Program Advisory Board includes, but is not limited to,
    documents, reports of negotiations, bid invitations,
    requests for proposals, specifications, copies of proposed
    and final contracts or agreements, and any other materials
    concerning contracts or agreements for the program. By the
    first of each month prior to calendar year 2013, the
    Director must provide updated, and any new, information to
    the State Workers' Compensation Program Advisory Board
    until the State workers' compensation program for the next
    fiscal year is determined.
        (10b) No later than January 1, 2013, the chief
    procurement officer appointed under paragraph (4) of
    subsection (a) of Section 10-20 of the Illinois Procurement
    Code (hereinafter "chief procurement officer"), in
    consultation with the Department of Central Management
    Services, shall procure one or more private vendors to
    administer the program providing payments for workers'
    compensation liability with respect to the employees of all
    State agencies. The chief procurement officer may procure a
    single contract applicable to all State agencies or
    multiple contracts applicable to one or more State
    agencies. If the chief procurement officer procures a
    single contract applicable to all State agencies, then the
    Department of Central Management Services shall be
    designated as the agency that enters into the contract and
    shall be responsible for the contract. If the chief
    procurement officer procures multiple contracts applicable
    to one or more State agencies, each agency to which the
    contract applies shall be designated as the agency that
    shall enter into the contract and shall be responsible for
    the contract. If the chief procurement officer procures
    contracts applicable to an individual State agency, the
    agency subject to the contract shall be designated as the
    agency responsible for the contract.
        (10c) The procurement of private vendors for the
    administration of the workers' compensation program for
    State employees is subject to the provisions of the
    Illinois Procurement Code and administration by the chief
    procurement officer.
        (10d) Contracts for the procurement of private vendors
    for the administration of the workers' compensation
    program for State employees shall be based upon, but
    limited to, the following criteria: (i) administrative
    cost, (ii) service capabilities of the vendor, and (iii)
    the compensation (including premiums, fees, or other
    charges). A vendor for the administration of the workers'
    compensation program for State employees shall provide
    services, including, but not limited to:
            (A) providing a web-based case management system
        and provide access to the Office of the Attorney
        General;
            (B) ensuring claims adjusters are available to
        provide testimony or information as requested by the
        Office of the Attorney General;
            (C) establishing a preferred provider program for
        all State agencies and facilities; and
            (D) authorizing the payment of medical bills at the
        preferred provider discount rate.
        (10e) By September 15, 2012, the Department of Central
    Management Services shall prepare a plan to effectuate the
    transfer of responsibility and administration of the
    workers' compensation program for State employees to the
    selected private vendors. The Department shall submit a
    copy of the plan to the General Assembly.
        (11) Any plan for public liability self-insurance
    implemented under this Section shall provide that (i) the
    Department shall attempt to settle and may settle any
    public liability claim filed against the State of Illinois
    or any public liability claim filed against a State
    employee on the basis of an occurrence in the course of the
    employee's State employment; (ii) any settlement of such a
    claim is not subject to fiscal year limitations and must be
    approved by the Director and, in cases of settlements
    exceeding $100,000, by the Governor; and (iii) a settlement
    of any public liability claim against the State or a State
    employee shall require an unqualified release of any right
    of action against the State and the employee for acts
    within the scope of the employee's employment giving rise
    to the claim.
        Whenever and to the extent that a State employee
    operates a motor vehicle or engages in other activity
    covered by self-insurance under this Section, the State of
    Illinois shall defend, indemnify, and hold harmless the
    employee against any claim in tort filed against the
    employee for acts or omissions within the scope of the
    employee's employment in any proper judicial forum and not
    settled pursuant to this subdivision (11), provided that
    this obligation of the State of Illinois shall not exceed a
    maximum liability of $2,000,000 for any single occurrence
    in connection with the operation of a motor vehicle or
    $100,000 per person per occurrence for any other single
    occurrence, or $500,000 for any single occurrence in
    connection with the provision of medical care by a licensed
    physician, advanced practice nurse, or physician assistant
    employee.
        Any claims against the State of Illinois under a
    self-insurance plan that are not settled pursuant to this
    subdivision (11) shall be heard and determined by the Court
    of Claims and may not be filed or adjudicated in any other
    forum. The Attorney General of the State of Illinois or the
    Attorney General's designee shall be the attorney with
    respect to all public liability self-insurance claims that
    are not settled pursuant to this subdivision (11) and
    therefore result in litigation. The payment of any award of
    the Court of Claims entered against the State relating to
    any public liability self-insurance claim shall act as a
    release against any State employee involved in the
    occurrence.
        (12) Administer a plan the purpose of which is to make
    payments on final settlements or final judgments in
    accordance with the State Employee Indemnification Act.
    The plan shall be funded through appropriations from the
    General Revenue Fund specifically designated for that
    purpose, except that indemnification expenses for
    employees of the Department of Transportation, the
    Illinois State Police, and the Secretary of State shall be
    paid from the Road Fund. The term "employee" as used in
    this subdivision (12) has the same meaning as under
    subsection (b) of Section 1 of the State Employee
    Indemnification Act. Subject to sufficient appropriation,
    the Director shall approve payment of any claim, without
    regard to fiscal year limitations, presented to the
    Director that is supported by a final settlement or final
    judgment when the Attorney General and the chief officer of
    the public body against whose employee the claim or cause
    of action is asserted certify to the Director that the
    claim is in accordance with the State Employee
    Indemnification Act and that they approve of the payment.
    In no event shall an amount in excess of $150,000 be paid
    from this plan to or for the benefit of any claimant.
        (13) Administer a plan the purpose of which is to make
    payments on final settlements or final judgments for
    employee wage claims in situations where there was an
    appropriation relevant to the wage claim, the fiscal year
    and lapse period have expired, and sufficient funds were
    available to pay the claim. The plan shall be funded
    through appropriations from the General Revenue Fund
    specifically designated for that purpose.
        Subject to sufficient appropriation, the Director is
    authorized to pay any wage claim presented to the Director
    that is supported by a final settlement or final judgment
    when the chief officer of the State agency employing the
    claimant certifies to the Director that the claim is a
    valid wage claim and that the fiscal year and lapse period
    have expired. Payment for claims that are properly
    submitted and certified as valid by the Director shall
    include interest accrued at the rate of 7% per annum from
    the forty-fifth day after the claims are received by the
    Department or 45 days from the date on which the amount of
    payment is agreed upon, whichever is later, until the date
    the claims are submitted to the Comptroller for payment.
    When the Attorney General has filed an appearance in any
    proceeding concerning a wage claim settlement or judgment,
    the Attorney General shall certify to the Director that the
    wage claim is valid before any payment is made. In no event
    shall an amount in excess of $150,000 be paid from this
    plan to or for the benefit of any claimant.
        Nothing in Public Act 84-961 shall be construed to
    affect in any manner the jurisdiction of the Court of
    Claims concerning wage claims made against the State of
    Illinois.
        (14) Prepare and, in the discretion of the Director,
    implement a program for self-insurance for official
    fidelity and surety bonds for officers and employees as
    authorized by the Official Bond Act.
(Source: P.A. 96-928, eff. 6-15-10; 97-18, eff. 6-28-11;
97-895, eff. 8-3-12; 97-1143, eff. 12-28-12.)
 
    Section 25. The Foster Parent Law is amended by changing
Section 1-15 as follows:
 
    (20 ILCS 520/1-15)
    Sec. 1-15. Foster parent rights. A foster parent's rights
include, but are not limited to, the following:
        (1) The right to be treated with dignity, respect, and
    consideration as a professional member of the child welfare
    team.
        (2) The right to be given standardized pre-service
    training and appropriate ongoing training to meet mutually
    assessed needs and improve the foster parent's skills.
        (3) The right to be informed as to how to contact the
    appropriate child placement agency in order to receive
    information and assistance to access supportive services
    for children in the foster parent's care.
        (4) The right to receive timely financial
    reimbursement commensurate with the care needs of the child
    as specified in the service plan.
        (5) The right to be provided a clear, written
    understanding of a placement agency's plan concerning the
    placement of a child in the foster parent's home. Inherent
    in this right is the foster parent's responsibility to
    support activities that will promote the child's right to
    relationships with his or her own family and cultural
    heritage.
        (6) The right to be provided a fair, timely, and
    impartial investigation of complaints concerning the
    foster parent's licensure, to be provided the opportunity
    to have a person of the foster parent's choosing present
    during the investigation, and to be provided due process
    during the investigation; the right to be provided the
    opportunity to request and receive mediation or an
    administrative review of decisions that affect licensing
    parameters, or both mediation and an administrative
    review; and the right to have decisions concerning a
    licensing corrective action plan specifically explained
    and tied to the licensing standards violated.
        (7) The right, at any time during which a child is
    placed with the foster parent, to receive additional or
    necessary information that is relevant to the care of the
    child.
        (7.5) The right to be given information concerning a
    child (i) from the Department as required under subsection
    (u) of Section 5 of the Children and Family Services Act
    and (ii) from a child welfare agency as required under
    subsection (c-5) of Section 7.4 of the Child Care Act of
    1969.
        (8) The right to be notified of scheduled meetings and
    staffings concerning the foster child in order to actively
    participate in the case planning and decision-making
    process regarding the child, including individual service
    planning meetings, administrative case reviews,
    interdisciplinary staffings, and individual educational
    planning meetings; the right to be informed of decisions
    made by the courts or the child welfare agency concerning
    the child; the right to provide input concerning the plan
    of services for the child and to have that input given full
    consideration in the same manner as information presented
    by any other professional on the team; and the right to
    communicate with other professionals who work with the
    foster child within the context of the team, including
    therapists, physicians, attending health care
    professionals, and teachers.
        (9) The right to be given, in a timely and consistent
    manner, any information a case worker has regarding the
    child and the child's family which is pertinent to the care
    and needs of the child and to the making of a permanency
    plan for the child. Disclosure of information concerning
    the child's family shall be limited to that information
    that is essential for understanding the needs of and
    providing care to the child in order to protect the rights
    of the child's family. When a positive relationship exists
    between the foster parent and the child's family, the
    child's family may consent to disclosure of additional
    information.
        (10) The right to be given reasonable written notice of
    (i) any change in a child's case plan, (ii) plans to
    terminate the placement of the child with the foster
    parent, and (iii) the reasons for the change or termination
    in placement. The notice shall be waived only in cases of a
    court order or when the child is determined to be at
    imminent risk of harm.
        (11) The right to be notified in a timely and complete
    manner of all court hearings, including notice of the date
    and time of the court hearing, the name of the judge or
    hearing officer hearing the case, the location of the
    hearing, and the court docket number of the case; and the
    right to intervene in court proceedings or to seek mandamus
    under the Juvenile Court Act of 1987.
        (12) The right to be considered as a placement option
    when a foster child who was formerly placed with the foster
    parent is to be re-entered into foster care, if that
    placement is consistent with the best interest of the child
    and other children in the foster parent's home.
        (13) The right to have timely access to the child
    placement agency's existing appeals process and the right
    to be free from acts of harassment and retaliation by any
    other party when exercising the right to appeal.
        (14) The right to be informed of the Foster Parent
    Hotline established under Section 35.6 of the Children and
    Family Services Act and all of the rights accorded to
    foster parents concerning reports of misconduct by
    Department employees, service providers, or contractors,
    confidential handling of those reports, and investigation
    by the Inspector General appointed under Section 35.5 of
    the Children and Family Services Act.
(Source: P.A. 94-1010, eff. 10-1-06.)
 
    Section 30. The Regional Integrated Behavioral Health
Networks Act is amended by changing Section 20 as follows:
 
    (20 ILCS 1340/20)
    Sec. 20. Steering Committee and Networks.
    (a) To achieve these goals, the Department of Human
Services shall convene a Regional Integrated Behavioral Health
Networks Steering Committee (hereinafter "Steering Committee")
comprised of State agencies involved in the provision,
regulation, or financing of health, mental health, substance
abuse, rehabilitation, and other services. These include, but
shall not be limited to, the following agencies:
        (1) The Department of Healthcare and Family Services.
        (2) The Department of Human Services and its Divisions
    of Mental Illness and Alcoholism and Substance Abuse
    Services.
        (3) The Department of Public Health, including its
    Center for Rural Health.
    The Steering Committee shall include a representative from
each Network. The agencies of the Steering Committee are
directed to work collaboratively to provide consultation,
advice, and leadership to the Networks in facilitating
communication within and across multiple agencies and in
removing regulatory barriers that may prevent Networks from
accomplishing the goals. The Steering Committee collectively
or through one of its member Agencies shall also provide
technical assistance to the Networks.
    (b) There also shall be convened Networks in each of the
Department of Human Services' regions comprised of
representatives of community stakeholders represented in the
Network, including when available, but not limited to, relevant
trade and professional associations representing hospitals,
community providers, public health care, hospice care, long
term care, law enforcement, emergency medical service,
physicians, advanced practice nurses, and physician assistants
trained in psychiatry; an organization that advocates on behalf
of federally qualified health centers, an organization that
advocates on behalf of persons suffering with mental illness
and substance abuse disorders, an organization that advocates
on behalf of persons with disabilities, an organization that
advocates on behalf of persons who live in rural areas, an
organization that advocates on behalf of persons who live in
medically underserved areas; and others designated by the
Steering Committee or the Networks. A member from each Network
may choose a representative who may serve on the Steering
Committee.
(Source: P.A. 97-381, eff. 1-1-12.)
 
    Section 35. The Mental Health and Developmental
Disabilities Administrative Act is amended by changing
Sections 5.1, 14, and 15.4 as follows:
 
    (20 ILCS 1705/5.1)  (from Ch. 91 1/2, par. 100-5.1)
    Sec. 5.1. The Department shall develop, by rule, the
procedures and standards by which it shall approve medications
for clinical use in its facilities. A list of those drugs
approved pursuant to these procedures shall be distributed to
all Department facilities.
    Drugs not listed by the Department may not be administered
in facilities under the jurisdiction of the Department,
provided that an unlisted drug may be administered as part of
research with the prior written consent of the Secretary
specifying the nature of the permitted use and the physicians
authorized to prescribe the drug. Drugs, as used in this
Section, mean psychotropic and narcotic drugs.
    No physician, advanced practice nurse, or physician
assistant in the Department shall sign a prescription in blank,
nor permit blank prescription forms to circulate out of his
possession or control.
(Source: P.A. 89-507, eff. 7-1-97.)
 
    (20 ILCS 1705/14)  (from Ch. 91 1/2, par. 100-14)
    Sec. 14. Chester Mental Health Center. To maintain and
operate a facility for the care, custody, and treatment of
persons with mental illness or habilitation of persons with
developmental disabilities hereinafter designated, to be known
as the Chester Mental Health Center.
    Within the Chester Mental Health Center there shall be
confined the following classes of persons, whose history, in
the opinion of the Department, discloses dangerous or violent
tendencies and who, upon examination under the direction of the
Department, have been found a fit subject for confinement in
that facility:
        (a) Any male person who is charged with the commission
    of a crime but has been acquitted by reason of insanity as
    provided in Section 5-2-4 of the Unified Code of
    Corrections.
        (b) Any male person who is charged with the commission
    of a crime but has been found unfit under Article 104 of
    the Code of Criminal Procedure of 1963.
        (c) Any male person with mental illness or
    developmental disabilities or person in need of mental
    treatment now confined under the supervision of the
    Department or hereafter admitted to any facility thereof or
    committed thereto by any court of competent jurisdiction.
    If and when it shall appear to the facility director of the
Chester Mental Health Center that it is necessary to confine
persons in order to maintain security or provide for the
protection and safety of recipients and staff, the Chester
Mental Health Center may confine all persons on a unit to their
rooms. This period of confinement shall not exceed 10 hours in
a 24 hour period, including the recipient's scheduled hours of
sleep, unless approved by the Secretary of the Department.
During the period of confinement, the persons confined shall be
observed at least every 15 minutes. A record shall be kept of
the observations. This confinement shall not be considered
seclusion as defined in the Mental Health and Developmental
Disabilities Code.
    The facility director of the Chester Mental Health Center
may authorize the temporary use of handcuffs on a recipient for
a period not to exceed 10 minutes when necessary in the course
of transport of the recipient within the facility to maintain
custody or security. Use of handcuffs is subject to the
provisions of Section 2-108 of the Mental Health and
Developmental Disabilities Code. The facility shall keep a
monthly record listing each instance in which handcuffs are
used, circumstances indicating the need for use of handcuffs,
and time of application of handcuffs and time of release
therefrom. The facility director shall allow the Illinois
Guardianship and Advocacy Commission, the agency designated by
the Governor under Section 1 of the Protection and Advocacy for
Persons with Developmental Disabilities Act, and the
Department to examine and copy such record upon request.
    The facility director of the Chester Mental Health Center
may authorize the temporary use of transport devices on a civil
recipient when necessary in the course of transport of the
civil recipient outside the facility to maintain custody or
security. The decision whether to use any transport devices
shall be reviewed and approved on an individualized basis by a
physician, an advanced practice nurse, or a physician assistant
based upon a determination of the civil recipient's: (1)
history of violence, (2) history of violence during transports,
(3) history of escapes and escape attempts, (4) history of
trauma, (5) history of incidents of restraint or seclusion and
use of involuntary medication, (6) current functioning level
and medical status, and (7) prior experience during similar
transports, and the length, duration, and purpose of the
transport. The least restrictive transport device consistent
with the individual's need shall be used. Staff transporting
the individual shall be trained in the use of the transport
devices, recognizing and responding to a person in distress,
and shall observe and monitor the individual while being
transported. The facility shall keep a monthly record listing
all transports, including those transports for which use of
transport devices was not sought, those for which use of
transport devices was sought but denied, and each instance in
which transport devices are used, circumstances indicating the
need for use of transport devices, time of application of
transport devices, time of release from those devices, and any
adverse events. The facility director shall allow the Illinois
Guardianship and Advocacy Commission, the agency designated by
the Governor under Section 1 of the Protection and Advocacy for
Persons with Developmental Disabilities Act, and the
Department to examine and copy the record upon request. This
use of transport devices shall not be considered restraint as
defined in the Mental Health and Developmental Disabilities
Code. For the purpose of this Section "transport device" means
ankle cuffs, handcuffs, waist chains or wrist-waist devices
designed to restrict an individual's range of motion while
being transported. These devices must be approved by the
Division of Mental Health, used in accordance with the
manufacturer's instructions, and used only by qualified staff
members who have completed all training required to be eligible
to transport patients and all other required training relating
to the safe use and application of transport devices, including
recognizing and responding to signs of distress in an
individual whose movement is being restricted by a transport
device.
    If and when it shall appear to the satisfaction of the
Department that any person confined in the Chester Mental
Health Center is not or has ceased to be such a source of
danger to the public as to require his subjection to the
regimen of the center, the Department is hereby authorized to
transfer such person to any State facility for treatment of
persons with mental illness or habilitation of persons with
developmental disabilities, as the nature of the individual
case may require.
    Subject to the provisions of this Section, the Department,
except where otherwise provided by law, shall, with respect to
the management, conduct and control of the Chester Mental
Health Center and the discipline, custody and treatment of the
persons confined therein, have and exercise the same rights and
powers as are vested by law in the Department with respect to
any and all of the State facilities for treatment of persons
with mental illness or habilitation of persons with
developmental disabilities, and the recipients thereof, and
shall be subject to the same duties as are imposed by law upon
the Department with respect to such facilities and the
recipients thereof.
    The Department may elect to place persons who have been
ordered by the court to be detained under the Sexually Violent
Persons Commitment Act in a distinct portion of the Chester
Mental Health Center. The persons so placed shall be separated
and shall not comingle with the recipients of the Chester
Mental Health Center. The portion of Chester Mental Health
Center that is used for the persons detained under the Sexually
Violent Persons Commitment Act shall not be a part of the
mental health facility for the enforcement and implementation
of the Mental Health and Developmental Disabilities Code nor
shall their care and treatment be subject to the provisions of
the Mental Health and Developmental Disabilities Code. The
changes added to this Section by this amendatory Act of the
98th General Assembly are inoperative on and after June 30,
2015.
(Source: P.A. 98-79, eff. 7-15-13; 98-356, eff. 8-16-13;
98-756, eff. 7-16-14; 99-143, eff. 7-27-15.)
 
    (20 ILCS 1705/15.4)
    Sec. 15.4. Authorization for nursing delegation to permit
direct care staff to administer medications.
    (a) This Section applies to (i) all programs for persons
with a developmental disability in settings of 16 persons or
fewer that are funded or licensed by the Department of Human
Services and that distribute or administer medications and (ii)
all intermediate care facilities for persons with
developmental disabilities with 16 beds or fewer that are
licensed by the Department of Public Health. The Department of
Human Services shall develop a training program for authorized
direct care staff to administer medications under the
supervision and monitoring of a registered professional nurse.
This training program shall be developed in consultation with
professional associations representing (i) physicians licensed
to practice medicine in all its branches, (ii) registered
professional nurses, and (iii) pharmacists.
    (b) For the purposes of this Section:
    "Authorized direct care staff" means non-licensed persons
who have successfully completed a medication administration
training program approved by the Department of Human Services
and conducted by a nurse-trainer. This authorization is
specific to an individual receiving service in a specific
agency and does not transfer to another agency.
    "Medications" means oral and topical medications, insulin
in an injectable form, oxygen, epinephrine auto-injectors, and
vaginal and rectal creams and suppositories. "Oral" includes
inhalants and medications administered through enteral tubes,
utilizing aseptic technique. "Topical" includes eye, ear, and
nasal medications. Any controlled substances must be packaged
specifically for an identified individual.
    "Insulin in an injectable form" means a subcutaneous
injection via an insulin pen pre-filled by the manufacturer.
Authorized direct care staff may administer insulin, as ordered
by a physician, advanced practice nurse, or physician
assistant, if: (i) the staff has successfully completed a
Department-approved advanced training program specific to
insulin administration developed in consultation with
professional associations listed in subsection (a) of this
Section, and (ii) the staff consults with the registered nurse,
prior to administration, of any insulin dose that is determined
based on a blood glucose test result. The authorized direct
care staff shall not: (i) calculate the insulin dosage needed
when the dose is dependent upon a blood glucose test result, or
(ii) administer insulin to individuals who require blood
glucose monitoring greater than 3 times daily, unless directed
to do so by the registered nurse.
    "Nurse-trainer training program" means a standardized,
competency-based medication administration train-the-trainer
program provided by the Department of Human Services and
conducted by a Department of Human Services master
nurse-trainer for the purpose of training nurse-trainers to
train persons employed or under contract to provide direct care
or treatment to individuals receiving services to administer
medications and provide self-administration of medication
training to individuals under the supervision and monitoring of
the nurse-trainer. The program incorporates adult learning
styles, teaching strategies, classroom management, and a
curriculum overview, including the ethical and legal aspects of
supervising those administering medications.
    "Self-administration of medications" means an individual
administers his or her own medications. To be considered
capable to self-administer their own medication, individuals
must, at a minimum, be able to identify their medication by
size, shape, or color, know when they should take the
medication, and know the amount of medication to be taken each
time.
    "Training program" means a standardized medication
administration training program approved by the Department of
Human Services and conducted by a registered professional nurse
for the purpose of training persons employed or under contract
to provide direct care or treatment to individuals receiving
services to administer medications and provide
self-administration of medication training to individuals
under the delegation and supervision of a nurse-trainer. The
program incorporates adult learning styles, teaching
strategies, classroom management, curriculum overview,
including ethical-legal aspects, and standardized
competency-based evaluations on administration of medications
and self-administration of medication training programs.
    (c) Training and authorization of non-licensed direct care
staff by nurse-trainers must meet the requirements of this
subsection.
        (1) Prior to training non-licensed direct care staff to
    administer medication, the nurse-trainer shall perform the
    following for each individual to whom medication will be
    administered by non-licensed direct care staff:
            (A) An assessment of the individual's health
        history and physical and mental status.
            (B) An evaluation of the medications prescribed.
        (2) Non-licensed authorized direct care staff shall
    meet the following criteria:
            (A) Be 18 years of age or older.
            (B) Have completed high school or have a high
        school equivalency certificate.
            (C) Have demonstrated functional literacy.
            (D) Have satisfactorily completed the Health and
        Safety component of a Department of Human Services
        authorized direct care staff training program.
            (E) Have successfully completed the training
        program, pass the written portion of the comprehensive
        exam, and score 100% on the competency-based
        assessment specific to the individual and his or her
        medications.
            (F) Have received additional competency-based
        assessment by the nurse-trainer as deemed necessary by
        the nurse-trainer whenever a change of medication
        occurs or a new individual that requires medication
        administration enters the program.
        (3) Authorized direct care staff shall be re-evaluated
    by a nurse-trainer at least annually or more frequently at
    the discretion of the registered professional nurse. Any
    necessary retraining shall be to the extent that is
    necessary to ensure competency of the authorized direct
    care staff to administer medication.
        (4) Authorization of direct care staff to administer
    medication shall be revoked if, in the opinion of the
    registered professional nurse, the authorized direct care
    staff is no longer competent to administer medication.
        (5) The registered professional nurse shall assess an
    individual's health status at least annually or more
    frequently at the discretion of the registered
    professional nurse.
    (d) Medication self-administration shall meet the
following requirements:
        (1) As part of the normalization process, in order for
    each individual to attain the highest possible level of
    independent functioning, all individuals shall be
    permitted to participate in their total health care
    program. This program shall include, but not be limited to,
    individual training in preventive health and
    self-medication procedures.
            (A) Every program shall adopt written policies and
        procedures for assisting individuals in obtaining
        preventative health and self-medication skills in
        consultation with a registered professional nurse,
        advanced practice nurse, physician assistant, or
        physician licensed to practice medicine in all its
        branches.
            (B) Individuals shall be evaluated to determine
        their ability to self-medicate by the nurse-trainer
        through the use of the Department's required,
        standardized screening and assessment instruments.
            (C) When the results of the screening and
        assessment indicate an individual not to be capable to
        self-administer his or her own medications, programs
        shall be developed in consultation with the Community
        Support Team or Interdisciplinary Team to provide
        individuals with self-medication administration.
        (2) Each individual shall be presumed to be competent
    to self-administer medications if:
            (A) authorized by an order of a physician licensed
        to practice medicine in all its branches, an advanced
        practice nurse, or a physician assistant; and
            (B) approved to self-administer medication by the
        individual's Community Support Team or
        Interdisciplinary Team, which includes a registered
        professional nurse or an advanced practice nurse.
    (e) Quality Assurance.
        (1) A registered professional nurse, advanced practice
    nurse, licensed practical nurse, physician licensed to
    practice medicine in all its branches, physician
    assistant, or pharmacist shall review the following for all
    individuals:
            (A) Medication orders.
            (B) Medication labels, including medications
        listed on the medication administration record for
        persons who are not self-medicating to ensure the
        labels match the orders issued by the physician
        licensed to practice medicine in all its branches,
        advanced practice nurse, or physician assistant.
            (C) Medication administration records for persons
        who are not self-medicating to ensure that the records
        are completed appropriately for:
                (i) medication administered as prescribed;
                (ii) refusal by the individual; and
                (iii) full signatures provided for all
            initials used.
        (2) Reviews shall occur at least quarterly, but may be
    done more frequently at the discretion of the registered
    professional nurse or advanced practice nurse.
        (3) A quality assurance review of medication errors and
    data collection for the purpose of monitoring and
    recommending corrective action shall be conducted within 7
    days and included in the required annual review.
    (f) Programs using authorized direct care staff to
administer medications are responsible for documenting and
maintaining records on the training that is completed.
    (g) The absence of this training program constitutes a
threat to the public interest, safety, and welfare and
necessitates emergency rulemaking by the Departments of Human
Services and Public Health under Section 5-45 of the Illinois
Administrative Procedure Act.
    (h) Direct care staff who fail to qualify for delegated
authority to administer medications pursuant to the provisions
of this Section shall be given additional education and testing
to meet criteria for delegation authority to administer
medications. Any direct care staff person who fails to qualify
as an authorized direct care staff after initial training and
testing must within 3 months be given another opportunity for
retraining and retesting. A direct care staff person who fails
to meet criteria for delegated authority to administer
medication, including, but not limited to, failure of the
written test on 2 occasions shall be given consideration for
shift transfer or reassignment, if possible. No employee shall
be terminated for failure to qualify during the 3-month time
period following initial testing. Refusal to complete training
and testing required by this Section may be grounds for
immediate dismissal.
    (i) No authorized direct care staff person delegated to
administer medication shall be subject to suspension or
discharge for errors resulting from the staff person's acts or
omissions when performing the functions unless the staff
person's actions or omissions constitute willful and wanton
conduct. Nothing in this subsection is intended to supersede
paragraph (4) of subsection (c).
    (j) A registered professional nurse, advanced practice
nurse, physician licensed to practice medicine in all its
branches, or physician assistant shall be on duty or on call at
all times in any program covered by this Section.
    (k) The employer shall be responsible for maintaining
liability insurance for any program covered by this Section.
    (l) Any direct care staff person who qualifies as
authorized direct care staff pursuant to this Section shall be
granted consideration for a one-time additional salary
differential. The Department shall determine and provide the
necessary funding for the differential in the base. This
subsection (l) is inoperative on and after June 30, 2000.
(Source: P.A. 98-718, eff. 1-1-15; 98-901, eff. 8-15-14; 99-78,
eff. 7-20-15; 99-143, eff. 7-27-15.)
 
    Section 40. The Department of Professional Regulation Law
of the Civil Administrative Code of Illinois is amended by
changing Section 2105-360 as follows:
 
    (20 ILCS 2105/2105-360)
    Sec. 2105-360. Licensing exemptions for athletic team
health care professionals.
    (a) Definitions. For purposes of this Section:
    "Athletic team" means any professional or amateur level
group from outside the State of Illinois organized for the
purpose of engaging in athletic events that employs the
services of a health care professional.
    "Health care professional" means a physician, physician
assistant, physical therapist, athletic trainer, or
acupuncturist.
    (b) Notwithstanding any other provision of law, a health
care professional who is licensed to practice in another state
or country shall be exempt from licensure requirements under
the applicable Illinois professional Act while practicing his
or her profession in this State if all of the following
conditions are met:
        (1) The health care professional has an oral or written
    agreement with an athletic team to provide health care
    services to the athletic team members, coaching staff, and
    families traveling with the athletic team for a specific
    sporting event to take place in this State.
        (2) The health care professional may not provide care
    or consultation to any person residing in this State other
    than a person described in paragraph (1) of this subsection
    (b) unless the care is covered under the Good Samaritan
    Act.
    (c) The exemption from licensure shall remain in force
while the health care professional is traveling with the
athletic team, but shall be no longer than 10 days per
individual sporting event.
    (d) The Secretary, upon prior written request by the health
care professional, may grant the health care professional
additional time of up to 20 additional days per sporting event.
The total number of days the health care professional may be
exempt, including additional time granted upon request, may not
exceed 30 days per sporting event.
    (e) A health care professional who is exempt from licensure
requirements under this Section is not authorized to practice
at a health care clinic or facility, including an acute care
facility.
(Source: P.A. 99-206, eff. 9-1-15.)
 
    Section 45. The Department of Public Health Act is amended
by changing Sections 7 and 8.2 as follows:
 
    (20 ILCS 2305/7)  (from Ch. 111 1/2, par. 22.05)
    Sec. 7. The Illinois Department of Public Health shall
adopt rules requiring that upon death of a person who had or is
suspected of having an infectious or communicable disease that
could be transmitted through contact with the person's body or
bodily fluids, the body shall be labeled "Infection Hazard", or
with an equivalent term to inform persons having subsequent
contact with the body, including any funeral director or
embalmer, to take suitable precautions. Such rules shall
require that the label shall be prominently displayed on and
affixed to the outer wrapping or covering of the body if the
body is wrapped or covered in any manner. Responsibility for
such labeling shall lie with the attending physician, advanced
practice nurse, or physician assistant who certifies death, or
if the death occurs in a health care facility, with such staff
member as may be designated by the administrator of the
facility. The Department may adopt rules providing for the safe
disposal of human remains. To the extent feasible without
endangering the public's health, the Department shall respect
and accommodate the religious beliefs of individuals in
implementing this Section.
(Source: P.A. 93-829, eff. 7-28-04.)
 
    (20 ILCS 2305/8.2)
    Sec. 8.2. Osteoporosis Prevention and Education Program.
    (a) The Department of Public Health, utilizing available
federal funds, State funds appropriated for that purpose, or
other available funding as provided for in this Section, shall
establish, promote, and maintain an Osteoporosis Prevention
and Education Program to promote public awareness of the causes
of osteoporosis, options for prevention, the value of early
detection, and possible treatments (including the benefits and
risks of those treatments). The Department may accept, for that
purpose, any special grant of money, services, or property from
the federal government or any of its agencies or from any
foundation, organization, or medical school.
    (b) The program shall include the following:
        (1) Development of a public education and outreach
    campaign to promote osteoporosis prevention and education,
    including, but not limited to, the following subjects:
            (A) The cause and nature of the disease.
            (B) Risk factors.
            (C) The role of hysterectomy.
            (D) Prevention of osteoporosis, including
        nutrition, diet, and physical exercise.
            (E) Diagnostic procedures and appropriate
        indications for their use.
            (F) Hormone replacement, including benefits and
        risks.
            (G) Environmental safety and injury prevention.
            (H) Availability of osteoporosis diagnostic
        treatment services in the community.
        (2) Development of educational materials to be made
    available for consumers, particularly targeted to
    high-risk groups, through local health departments, local
    physicians, advanced practice nurses, or physician
    assistants, other providers (including, but not limited
    to, health maintenance organizations, hospitals, and
    clinics), and women's organizations.
        (3) Development of professional education programs for
    health care providers to assist them in understanding
    research findings and the subjects set forth in paragraph
    (1).
        (4) Development and maintenance of a list of current
    providers of specialized services for the prevention and
    treatment of osteoporosis. Dissemination of the list shall
    be accompanied by a description of diagnostic procedures,
    appropriate indications for their use, and a cautionary
    statement about the current status of osteoporosis
    research, prevention, and treatment. The statement shall
    also indicate that the Department does not license,
    certify, or in any other way approve osteoporosis programs
    or centers in this State.
    (c) The State Board of Health shall serve as an advisory
board to the Department with specific respect to the prevention
and education activities related to osteoporosis described in
this Section. The State Board of Health shall assist the
Department in implementing this Section.
(Source: P.A. 88-622, eff. 1-1-95.)
 
    Section 50. The Department of Public Health Powers and
Duties Law of the Civil Administrative Code of Illinois is
amended by changing Sections 2310-345, 2310-397, 2310-410,
2310-425, and 2310-600 and by renumbering and changing Section
2310-685 (as added by Public Act 99-424) as follows:
 
    (20 ILCS 2310/2310-345)  (was 20 ILCS 2310/55.49)
    Sec. 2310-345. Breast cancer; written summary regarding
early detection and treatment.
    (a) From funds made available for this purpose, the
Department shall publish, in layman's language, a standardized
written summary outlining methods for the early detection and
diagnosis of breast cancer. The summary shall include
recommended guidelines for screening and detection of breast
cancer through the use of techniques that shall include but not
be limited to self-examination, clinical breast exams, and
diagnostic radiology.
    (b) The summary shall also suggest that women seek
mammography services from facilities that are certified to
perform mammography as required by the federal Mammography
Quality Standards Act of 1992.
    (c) The summary shall also include the medically viable
alternative methods for the treatment of breast cancer,
including, but not limited to, hormonal, radiological,
chemotherapeutic, or surgical treatments or combinations
thereof. The summary shall contain information on breast
reconstructive surgery, including, but not limited to, the use
of breast implants and their side effects. The summary shall
inform the patient of the advantages, disadvantages, risks, and
dangers of the various procedures. The summary shall include
(i) a statement that mammography is the most accurate method
for making an early detection of breast cancer, however, no
diagnostic tool is 100% effective, (ii) the benefits of
clinical breast exams, and (iii) instructions for performing
breast self-examination and a statement that it is important to
perform a breast self-examination monthly.
    (c-5) The summary shall specifically address the benefits
of early detection and review the clinical standard
recommendations by the Centers for Disease Control and
Prevention and the American Cancer Society for mammography,
clinical breast exams, and breast self-exams.
    (c-10) The summary shall also inform individuals that
public and private insurance providers shall pay for clinical
breast exams as part of an exam, as indicated by guidelines of
practice.
    (c-15) The summary shall also inform individuals, in
layman's terms, of the meaning and consequences of "dense
breast tissue" under the guidelines of the Breast Imaging
Reporting and Data System of the American College of Radiology
and potential recommended follow-up tests or studies.
    (d) In developing the summary, the Department shall consult
with the Advisory Board of Cancer Control, the Illinois State
Medical Society and consumer groups. The summary shall be
updated by the Department every 2 years.
    (e) The summaries shall additionally be translated into
Spanish, and the Department shall conduct a public information
campaign to distribute the summaries to the Hispanic women of
this State in order to inform them of the importance of early
detection and mammograms.
    (f) The Department shall distribute the summary to
hospitals, public health centers, and physicians, and other
health care professionals who are likely to perform or order
diagnostic tests for breast disease or treat breast cancer by
surgical or other medical methods. Those hospitals, public
health centers, and physicians, and other health care
professionals shall make the summaries available to the public.
The Department shall also distribute the summaries to any
person, organization, or other interested parties upon
request. The summaries may be duplicated by any person,
provided the copies are identical to the current summary
prepared by the Department.
    (g) The summary shall display, on the inside of its cover,
printed in capital letters, in bold face type, the following
paragraph:
    "The information contained in this brochure regarding
recommendations for early detection and diagnosis of breast
disease and alternative breast disease treatments is only for
the purpose of assisting you, the patient, in understanding the
medical information and advice offered by your physician. This
brochure cannot serve as a substitute for the sound
professional advice of your physician. The availability of this
brochure or the information contained within is not intended to
alter, in any way, the existing physician-patient
relationship, nor the existing professional obligations of
your physician in the delivery of medical services to you, the
patient."
    (h) The summary shall be updated when necessary.
(Source: P.A. 98-502, eff. 1-1-14; 98-886, eff. 1-1-15.)
 
    (20 ILCS 2310/2310-397)  (was 20 ILCS 2310/55.90)
    Sec. 2310-397. Prostate and testicular cancer program.
    (a) The Department, subject to appropriation or other
available funding, shall conduct a program to promote awareness
and early detection of prostate and testicular cancer. The
program may include, but need not be limited to:
        (1) Dissemination of information regarding the
    incidence of prostate and testicular cancer, the risk
    factors associated with prostate and testicular cancer,
    and the benefits of early detection and treatment.
        (2) Promotion of information and counseling about
    treatment options.
        (3) Establishment and promotion of referral services
    and screening programs.
    Beginning July 1, 2004, the program must include the
development and dissemination, through print and broadcast
media, of public service announcements that publicize the
importance of prostate cancer screening for men over age 40.
    (b) Subject to appropriation or other available funding, a
Prostate Cancer Screening Program shall be established in the
Department of Public Health.
        (1) The Program shall apply to the following persons
    and entities:
            (A) uninsured and underinsured men 50 years of age
        and older;
            (B) uninsured and underinsured men between 40 and
        50 years of age who are at high risk for prostate
        cancer, upon the advice of a physician, advanced
        practice nurse, or physician assistant or upon the
        request of the patient; and
            (C) non-profit organizations providing assistance
        to persons described in subparagraphs (A) and (B).
        (2) Any entity funded by the Program shall coordinate
    with other local providers of prostate cancer screening,
    diagnostic, follow-up, education, and advocacy services to
    avoid duplication of effort. Any entity funded by the
    Program shall comply with any applicable State and federal
    standards regarding prostate cancer screening.
        (3) Administrative costs of the Department shall not
    exceed 10% of the funds allocated to the Program. Indirect
    costs of the entities funded by this Program shall not
    exceed 12%. The Department shall define "indirect costs" in
    accordance with applicable State and federal law.
        (4) Any entity funded by the Program shall collect data
    and maintain records that are determined by the Department
    to be necessary to facilitate the Department's ability to
    monitor and evaluate the effectiveness of the entities and
    the Program. Commencing with the Program's second year of
    operation, the Department shall submit an Annual Report to
    the General Assembly and the Governor. The report shall
    describe the activities and effectiveness of the Program
    and shall include, but not be limited to, the following
    types of information regarding those served by the Program:
            (A) the number; and
            (B) the ethnic, geographic, and age breakdown.
        (5) The Department or any entity funded by the Program
    shall collect personal and medical information necessary
    to administer the Program from any individual applying for
    services under the Program. The information shall be
    confidential and shall not be disclosed other than for
    purposes directly connected with the administration of the
    Program or except as otherwise provided by law or pursuant
    to prior written consent of the subject of the information.
        (6) The Department or any entity funded by the program
    may disclose the confidential information to medical
    personnel and fiscal intermediaries of the State to the
    extent necessary to administer the Program, and to other
    State public health agencies or medical researchers if the
    confidential information is necessary to carry out the
    duties of those agencies or researchers in the
    investigation, control, or surveillance of prostate
    cancer.
    (c) The Department shall adopt rules to implement the
Prostate Cancer Screening Program in accordance with the
Illinois Administrative Procedure Act.
(Source: P.A. 98-87, eff. 1-1-14.)
 
    (20 ILCS 2310/2310-410)  (was 20 ILCS 2310/55.42)
    Sec. 2310-410. Sickle cell disease. To conduct a public
information campaign for physicians, advanced practice nurses,
physician assistants, hospitals, health facilities, public
health departments, and the general public on sickle cell
disease, methods of care, and treatment modalities available;
to identify and catalogue sickle cell resources in this State
for distribution and referral purposes; and to coordinate
services with the established programs, including State,
federal, and voluntary groups.
(Source: P.A. 91-239, eff. 1-1-00.)
 
    (20 ILCS 2310/2310-425)  (was 20 ILCS 2310/55.66)
    Sec. 2310-425. Health care summary for women.
    (a) From funds made available from the General Assembly for
this purpose, the Department shall publish in plain language,
in both an English and a Spanish version, a pamphlet providing
information regarding health care for women which shall include
the following:
        (1) A summary of the various medical conditions,
    including cancer, sexually transmitted diseases,
    endometriosis, or other similar diseases or conditions
    widely affecting women's reproductive health, that may
    require a hysterectomy or other treatment.
        (2) A summary of the recommended schedule and
    indications for physical examinations, including "pap
    smears" or other tests designed to detect medical
    conditions of the uterus and other reproductive organs.
        (3) A summary of the widely accepted medical
    treatments, including viable alternatives, that may be
    prescribed for the medical conditions specified in
    paragraph (1).
    (b) In developing the summary the Department shall consult
with the Illinois State Medical Society, Illinois Society of
Advanced Practice Nurses, the Illinois Academy of Physician
Assistants, and consumer groups. The summary shall be updated
by the Department every 2 years.
    (c) The Department shall distribute the summary to
hospitals, public health centers, and health care
professionals physicians who are likely to treat medical
conditions described in paragraph (1) of subsection (a). Those
hospitals, public health centers, and physicians shall make the
summaries available to the public. The Department shall also
distribute the summaries to any person, organization, or other
interested parties upon request. The summary may be duplicated
by any person provided the copies are identical to the current
summary prepared by the Department.
    (d) The summary shall display on the inside of its cover,
printed in capital letters and bold face type, the following
paragraph:
    "The information contained in this brochure is only for the
purpose of assisting you, the patient, in understanding the
medical information and advice offered by your health care
professional physician. This brochure cannot serve as a
substitute for the sound professional advice of your health
care professional physician. The availability of this brochure
or the information contained within is not intended to alter,
in any way, the existing health care professional-patient
physician-patient relationship, nor the existing professional
obligations of your health care professional physician in the
delivery of medical services to you, the patient."
(Source: P.A. 91-239, eff. 1-1-00.)
 
    (20 ILCS 2310/2310-600)
    Sec. 2310-600. Advance directive information.
    (a) The Department of Public Health shall prepare and
publish the summary of advance directives law, as required by
the federal Patient Self-Determination Act, and related forms.
Publication may be limited to the World Wide Web. The summary
required under this subsection (a) must include the Department
of Public Health Uniform POLST form.
    (b) The Department of Public Health shall publish Spanish
language versions of the following:
        (1) The statutory Living Will Declaration form.
        (2) The Illinois Statutory Short Form Power of Attorney
    for Health Care.
        (3) The statutory Declaration of Mental Health
    Treatment Form.
        (4) The summary of advance directives law in Illinois.
        (5) The Department of Public Health Uniform POLST form.
    Publication may be limited to the World Wide Web.
    (b-5) In consultation with a statewide professional
organization representing physicians licensed to practice
medicine in all its branches, statewide organizations
representing physician assistants, advanced practice nurses,
nursing homes, registered professional nurses, and emergency
medical systems, and a statewide organization representing
hospitals, the Department of Public Health shall develop and
publish a uniform form for practitioner cardiopulmonary
resuscitation (CPR) or life-sustaining treatment orders that
may be utilized in all settings. The form shall meet the
published minimum requirements to nationally be considered a
practitioner orders for life-sustaining treatment form, or
POLST, and may be referred to as the Department of Public
Health Uniform POLST form. This form does not replace a
physician's or other practitioner's authority to make a
do-not-resuscitate (DNR) order.
    (c) (Blank).
    (d) The Department of Public Health shall publish the
Department of Public Health Uniform POLST form reflecting the
changes made by this amendatory Act of the 98th General
Assembly no later than January 1, 2015.
(Source: P.A. 98-1110, eff. 8-26-14; 99-319, eff. 1-1-16.)
 
    (20 ILCS 2310/2310-690)
    Sec. 2310-690 2310-685. Cytomegalovirus public education.
    (a) In this Section:
        "CMV" means cytomegalovirus.
        "Health care professional and provider" means any
    physician, advanced practice nurse, physician assistant,
    hospital facility, or other person that is licensed or
    otherwise authorized to deliver health care services.
    (b) The Department shall develop or approve and publish
informational materials for women who may become pregnant,
expectant parents, and parents of infants regarding:
        (1) the incidence of CMV;
        (2) the transmission of CMV to pregnant women and women
    who may become pregnant;
        (3) birth defects caused by congenital CMV;
        (4) methods of diagnosing congenital CMV; and
        (5) available preventive measures to avoid the
    infection of women who are pregnant or may become pregnant.
    (c) The Department shall publish the information required
under subsection (b) on its Internet website.
    (d) The Department shall publish information to:
        (1) educate women who may become pregnant, expectant
    parents, and parents of infants about CMV; and
        (2) raise awareness of CMV among health care
    professionals and providers who provide care to expectant
    mothers or infants.
    (e) The Department may solicit and accept the assistance of
any relevant health care professional medical associations or
community resources, including faith-based resources, to
promote education about CMV under this Section.
    (f) If a newborn infant fails the 2 initial hearing
screenings in the hospital, then the hospital performing that
screening shall provide to the parents of the newborn infant
information regarding: (i) birth defects caused by congenital
CMV; (ii) testing opportunities and options for CMV, including
the opportunity to test for CMV before leaving the hospital;
and (iii) early intervention services. Health care
professionals and providers may, but are not required to, use
the materials developed by the Department for distribution to
parents of newborn infants.
(Source: P.A. 99-424, eff. 1-1-16; revised 9-28-15.)
 
    Section 55. The Comprehensive Healthcare Workforce
Planning Act is amended by changing Section 15 as follows:
 
    (20 ILCS 2325/15)
    Sec. 15. Members.
    (a) The following 10 persons or their designees shall be
members of the Council: the Director of the Department; a
representative of the Governor's Office; the Secretary of Human
Services; the Directors of the Departments of Commerce and
Economic Opportunity, Employment Security, Financial and
Professional Regulation, and Healthcare and Family Services;
and the Executive Director of the Board of Higher Education,
the Executive Director of the Illinois Community College Board,
and the State Superintendent of Education.
    (b) The Governor shall appoint 9 8 additional members, who
shall be healthcare workforce experts, including
representatives of practicing physicians, nurses, pharmacists,
and dentists, physician assistants, State and local health
professions organizations, schools of medicine and osteopathy,
nursing, dental, physician assistants, allied health, and
public health; public and private teaching hospitals; health
insurers, business; and labor. The Speaker of the Illinois
House of Representatives, the President of the Illinois Senate,
the Minority Leader of the Illinois House of Representatives,
and the Minority Leader of the Illinois Senate may each appoint
2 representatives to the Council. Members appointed under this
subsection (b) shall serve 4-year terms and may be reappointed.
    (c) The Director of the Department shall serve as Chair of
the Council. The Governor shall appoint a healthcare workforce
expert from the non-governmental sector to serve as Vice-Chair.
(Source: P.A. 97-424, eff. 7-1-12; 98-719, eff. 1-1-15.)
 
    Section 60. The Community Health Worker Advisory Board Act
is amended by changing Section 10 as follows:
 
    (20 ILCS 2335/10)
    Sec. 10. Advisory Board.
    (a) There is created the Advisory Board on Community Health
Workers. The Board shall consist of 16 15 members appointed by
the Director of Public Health. The Director shall make the
appointments to the Board within 90 days after the effective
date of this Act. The members of the Board shall represent
different racial and ethnic backgrounds and have the
qualifications as follows:
        (1) four members who currently serve as community
    health workers in Cook County, one of whom shall have
    served as a health insurance marketplace navigator;
        (2) two members who currently serve as community health
    workers in DuPage, Kane, Lake, or Will County;
        (3) one member who currently serves as a community
    health worker in Bond, Calhoun, Clinton, Jersey, Macoupin,
    Madison, Monroe, Montgomery, Randolph, St. Clair, or
    Washington County;
        (4) one member who currently serves as a community
    health worker in any other county in the State;
        (5) one member who is a physician licensed to practice
    medicine in Illinois;
        (6) one member who is a physician assistant;
        (7) (6) one member who is a licensed nurse or advanced
    practice nurse;
        (8) (7) one member who is a licensed social worker,
    counselor, or psychologist;
        (9) (8) one member who currently employs community
    health workers;
        (10) (9) one member who is a health policy advisor with
    experience in health workforce policy;
        (11) (10) one member who is a public health
    professional with experience with community health policy;
    and
        (12) (11) one representative of a community college,
    university, or educational institution that provides
    training to community health workers.
    (b) In addition, the following persons or their designees
shall serve as ex officio, non-voting members of the Board: the
Executive Director of the Illinois Community College Board, the
Director of Children and Family Services, the Director of
Aging, the Director of Public Health, the Director of
Employment Security, the Director of Commerce and Economic
Opportunity, the Secretary of Financial and Professional
Regulation, the Director of Healthcare and Family Services, and
the Secretary of Human Services.
    (c) The voting members of the Board shall select a
chairperson from the voting members of the Board. The Board
shall consult with additional experts as needed. Members of the
Board shall serve without compensation. The Department shall
provide administrative and staff support to the Board. The
meetings of the Board are subject to the provisions of the Open
Meetings Act.
    (d) The Board shall consider the core competencies of a
community health worker, including skills and areas of
knowledge that are essential to bringing about expanded health
and wellness in diverse communities and reducing health
disparities. As relating to members of communities and health
teams, the core competencies for effective community health
workers may include, but are not limited to:
        (1) outreach methods and strategies;
        (2) client and community assessment;
        (3) effective community-based and participatory
    methods, including research;
        (4) culturally competent communication and care;
        (5) health education for behavior change;
        (6) support, advocacy, and health system navigation
    for clients;
        (7) application of public health concepts and
    approaches;
        (8) individual and community capacity building and
    mobilization; and
        (9) writing, oral, technical, and communication
    skills.
(Source: P.A. 98-796, eff. 7-31-14.)
 
    Section 65. The Illinois Housing Development Act is amended
by changing Section 7.30 as follows:
 
    (20 ILCS 3805/7.30)
    Sec. 7.30. Foreclosure Prevention Program.
    (a) The Authority shall establish and administer a
Foreclosure Prevention Program. The Authority shall use moneys
in the Foreclosure Prevention Program Fund, and any other funds
appropriated for this purpose, to make grants to (i) approved
counseling agencies for approved housing counseling and (ii)
approved community-based organizations for approved
foreclosure prevention outreach programs. The Authority shall
promulgate rules to implement this Program and may adopt
emergency rules as soon as practicable to begin implementation
of the Program.
    (b) Subject to appropriation and the annual receipt of
funds, the Authority shall make grants from the Foreclosure
Prevention Program Fund derived from fees paid as specified in
subsection (a) of Section 15-1504.1 of the Code of Civil
Procedure as follows:
        (1) 25% of the moneys in the Fund shall be used to make
    grants to approved counseling agencies that provide
    services in Illinois outside of the City of Chicago. Grants
    shall be based upon the number of foreclosures filed in an
    approved counseling agency's service area, the capacity of
    the agency to provide foreclosure counseling services, and
    any other factors that the Authority deems appropriate.
        (2) 25% of the moneys in the Fund shall be distributed
    to the City of Chicago to make grants to approved
    counseling agencies located within the City of Chicago for
    approved housing counseling or to support foreclosure
    prevention counseling programs administered by the City of
    Chicago.
        (3) 25% of the moneys in the Fund shall be used to make
    grants to approved community-based organizations located
    outside of the City of Chicago for approved foreclosure
    prevention outreach programs.
        (4) 25% of the moneys in the Fund shall be used to make
    grants to approved community-based organizations located
    within the City of Chicago for approved foreclosure
    prevention outreach programs, with priority given to
    programs that provide door-to-door outreach.
    (b-1) Subject to appropriation and the annual receipt of
funds, the Authority shall make grants from the Foreclosure
Prevention Program Graduated Fund derived from fees paid as
specified in paragraph (1) of subsection (a-5) of Section
15-1504.1 of the Code of Civil Procedure, as follows:
        (1) 30% shall be used to make grants for approved
    housing counseling in Cook County outside of the City of
    Chicago;
        (2) 25% shall be used to make grants for approved
    housing counseling in the City of Chicago;
        (3) 30% shall be used to make grants for approved
    housing counseling in DuPage, Kane, Lake, McHenry, and Will
    Counties; and
        (4) 15% shall be used to make grants for approved
    housing counseling in Illinois in counties other than Cook,
    DuPage, Kane, Lake, McHenry, and Will Counties provided
    that grants to provide approved housing counseling to
    borrowers residing within these counties shall be based, to
    the extent practicable, (i) proportionately on the amount
    of fees paid to the respective clerks of the courts within
    these counties and (ii) on any other factors that the
    Authority deems appropriate.
    The percentages set forth in this subsection (b-1) shall be
calculated after deduction of reimbursable administrative
expenses incurred by the Authority, but shall not be greater
than 4% of the annual appropriated amount.
    (b-5) As used in this Section:
    "Approved community-based organization" means a
not-for-profit entity that provides educational and financial
information to residents of a community through in-person
contact. "Approved community-based organization" does not
include a not-for-profit corporation or other entity or person
that provides legal representation or advice in a civil
proceeding or court-sponsored mediation services, or a
governmental agency.
    "Approved foreclosure prevention outreach program" means a
program developed by an approved community-based organization
that includes in-person contact with residents to provide (i)
pre-purchase and post-purchase home ownership counseling, (ii)
education about the foreclosure process and the options of a
mortgagor in a foreclosure proceeding, and (iii) programs
developed by an approved community-based organization in
conjunction with a State or federally chartered financial
institution.
    "Approved counseling agency" means a housing counseling
agency approved by the U.S. Department of Housing and Urban
Development.
    "Approved housing counseling" means in-person counseling
provided by a counselor employed by an approved counseling
agency to all borrowers, or documented telephone counseling
where a hardship would be imposed on one or more borrowers. A
hardship shall exist in instances in which the borrower is
confined to his or her home due to a medical condition, as
verified in writing by a physician, advanced practice nurse, or
physician assistant, or the borrower resides 50 miles or more
from the nearest approved counseling agency. In instances of
telephone counseling, the borrower must supply all necessary
documents to the counselor at least 72 hours prior to the
scheduled telephone counseling session.
    (c) (Blank).
    (c-5) Where the jurisdiction of an approved counseling
agency is included within more than one of the geographic areas
set forth in this Section, the Authority may elect to fully
fund the applicant from one of the relevant geographic areas.
(Source: P.A. 97-1164, eff. 6-1-13; 98-20, eff. 6-11-13.)
 
    Section 70. The Illinois Health Information Exchange and
Technology Act is amended by changing Section 15 as follows:
 
    (20 ILCS 3860/15)
    (Section scheduled to be repealed on January 1, 2021)
    Sec. 15. Governance of the Illinois Health Information
Exchange Authority.
    (a) The Authority shall consist of and be governed by one
Executive Director and 8 directors who are hereby authorized to
carry out the provisions of this Act and to exercise the powers
conferred under this Act.
    (b) The Executive Director and 8 directors shall be
appointed to 3-year staggered terms by the Governor with the
advice and consent of the Senate. Of the members first
appointed after the effective date of this Act, 3 shall be
appointed for a term of one year, 3 shall be appointed for a
term of 2 years, and 3 shall be appointed for a term of 3 years.
The Executive Director and directors may serve successive terms
and, in the event the term of the Executive Director or a
director expires, he or she shall serve in the expired term
until a new Executive Director or director is appointed and
qualified. Vacancies shall be filled for the unexpired term in
the same manner as original appointments. The Governor may
remove a director or the Executive Director for incompetency,
dereliction of duty, malfeasance, misfeasance, or nonfeasance
in office or any other good cause. The Executive Director shall
be compensated at an annual salary of 75% of the salary of the
Governor.
    (c) The Executive Director and directors shall be chosen
with due regard to broad geographic representation and shall be
representative of a broad spectrum of health care providers and
stakeholders, including representatives from any of the
following fields or groups: health care consumers, consumer
advocates, physicians, physician assistants, nurses,
hospitals, federally qualified health centers as defined in
Section 1905(l)(2)(B) of the Social Security Act and any
subsequent amendments thereto, health plans or third-party
payors, employers, long-term care providers, pharmacists,
State and local public health entities, outpatient diagnostic
service providers, behavioral health providers, home health
agency organizations, health professional schools in Illinois,
health information technology, or health information research.
    (d) The directors of the Illinois Department of Healthcare
and Family Services, the Illinois Department of Public Health,
and the Illinois Department of Insurance and the Secretary of
the Illinois Department of Human Services, or their designees,
and a designee of the Office of the Governor, shall serve as
ex-officio members of the Authority.
    (e) The Authority is authorized to conduct its business by
a majority of the appointed members. The Authority may adopt
bylaws in order to conduct meetings. The bylaws may permit the
Authority to meet by telecommunication or electronic
communication.
    (f) The Authority shall appoint an Illinois Health
Information Exchange Authority Advisory Committee ("Advisory
Committee") with representation from any of the fields or
groups listed in subsection (c) of this Section. The purpose of
the Advisory Committee shall be to advise and provide
recommendations to the Authority regarding the ILHIE. The
Advisory Committee members shall serve 2-year terms. The
Authority may establish other advisory committees and
subcommittees to conduct the business of the Authority.
    (g) Directors of the Authority, members of the Advisory
Committee, and any other advisory committee and subcommittee
members may be reimbursed for ordinary and contingent travel
and meeting expenses for their service at the rate approved for
State employee travel.
(Source: P.A. 96-1331, eff. 7-27-10.)
 
    Section 75. The Property Tax Code is amended by changing
Sections 15-168 and 15-172 as follows:
 
    (35 ILCS 200/15-168)
    Sec. 15-168. Homestead exemption for persons with
disabilities.
    (a) Beginning with taxable year 2007, an annual homestead
exemption is granted to persons with disabilities in the amount
of $2,000, except as provided in subsection (c), to be deducted
from the property's value as equalized or assessed by the
Department of Revenue. The person with a disability shall
receive the homestead exemption upon meeting the following
requirements:
        (1) The property must be occupied as the primary
    residence by the person with a disability.
        (2) The person with a disability must be liable for
    paying the real estate taxes on the property.
        (3) The person with a disability must be an owner of
    record of the property or have a legal or equitable
    interest in the property as evidenced by a written
    instrument. In the case of a leasehold interest in
    property, the lease must be for a single family residence.
    A person who has a disability during the taxable year is
eligible to apply for this homestead exemption during that
taxable year. Application must be made during the application
period in effect for the county of residence. If a homestead
exemption has been granted under this Section and the person
awarded the exemption subsequently becomes a resident of a
facility licensed under the Nursing Home Care Act, the
Specialized Mental Health Rehabilitation Act of 2013, the ID/DD
Community Care Act, or the MC/DD Act, then the exemption shall
continue (i) so long as the residence continues to be occupied
by the qualifying person's spouse or (ii) if the residence
remains unoccupied but is still owned by the person qualified
for the homestead exemption.
    (b) For the purposes of this Section, "person with a
disability" means a person unable to engage in any substantial
gainful activity by reason of a medically determinable physical
or mental impairment which can be expected to result in death
or has lasted or can be expected to last for a continuous
period of not less than 12 months. Persons with disabilities
filing claims under this Act shall submit proof of disability
in such form and manner as the Department shall by rule and
regulation prescribe. Proof that a claimant is eligible to
receive disability benefits under the Federal Social Security
Act shall constitute proof of disability for purposes of this
Act. Issuance of an Illinois Person with a Disability
Identification Card stating that the claimant is under a Class
2 disability, as defined in Section 4A of the Illinois
Identification Card Act, shall constitute proof that the person
named thereon is a person with a disability for purposes of
this Act. A person with a disability not covered under the
Federal Social Security Act and not presenting an Illinois
Person with a Disability Identification Card stating that the
claimant is under a Class 2 disability shall be examined by a
physician, advanced practice nurse, or physician assistant
designated by the Department, and his status as a person with a
disability determined using the same standards as used by the
Social Security Administration. The costs of any required
examination shall be borne by the claimant.
    (c) For land improved with (i) an apartment building owned
and operated as a cooperative or (ii) a life care facility as
defined under Section 2 of the Life Care Facilities Act that is
considered to be a cooperative, the maximum reduction from the
value of the property, as equalized or assessed by the
Department, shall be multiplied by the number of apartments or
units occupied by a person with a disability. The person with a
disability shall receive the homestead exemption upon meeting
the following requirements:
        (1) The property must be occupied as the primary
    residence by the person with a disability.
        (2) The person with a disability must be liable by
    contract with the owner or owners of record for paying the
    apportioned property taxes on the property of the
    cooperative or life care facility. In the case of a life
    care facility, the person with a disability must be liable
    for paying the apportioned property taxes under a life care
    contract as defined in Section 2 of the Life Care
    Facilities Act.
        (3) The person with a disability must be an owner of
    record of a legal or equitable interest in the cooperative
    apartment building. A leasehold interest does not meet this
    requirement.
If a homestead exemption is granted under this subsection, the
cooperative association or management firm shall credit the
savings resulting from the exemption to the apportioned tax
liability of the qualifying person with a disability. The chief
county assessment officer may request reasonable proof that the
association or firm has properly credited the exemption. A
person who willfully refuses to credit an exemption to the
qualified person with a disability is guilty of a Class B
misdemeanor.
    (d) The chief county assessment officer shall determine the
eligibility of property to receive the homestead exemption
according to guidelines established by the Department. After a
person has received an exemption under this Section, an annual
verification of eligibility for the exemption shall be mailed
to the taxpayer.
    In counties with fewer than 3,000,000 inhabitants, the
chief county assessment officer shall provide to each person
granted a homestead exemption under this Section a form to
designate any other person to receive a duplicate of any notice
of delinquency in the payment of taxes assessed and levied
under this Code on the person's qualifying property. The
duplicate notice shall be in addition to the notice required to
be provided to the person receiving the exemption and shall be
given in the manner required by this Code. The person filing
the request for the duplicate notice shall pay an
administrative fee of $5 to the chief county assessment
officer. The assessment officer shall then file the executed
designation with the county collector, who shall issue the
duplicate notices as indicated by the designation. A
designation may be rescinded by the person with a disability in
the manner required by the chief county assessment officer.
    (e) A taxpayer who claims an exemption under Section 15-165
or 15-169 may not claim an exemption under this Section.
(Source: P.A. 98-104, eff. 7-22-13; 99-143, eff. 7-27-15;
99-180, eff. 7-29-15; revised 10-20-15.)
 
    (35 ILCS 200/15-172)
    Sec. 15-172. Senior Citizens Assessment Freeze Homestead
Exemption.
    (a) This Section may be cited as the Senior Citizens
Assessment Freeze Homestead Exemption.
    (b) As used in this Section:
    "Applicant" means an individual who has filed an
application under this Section.
    "Base amount" means the base year equalized assessed value
of the residence plus the first year's equalized assessed value
of any added improvements which increased the assessed value of
the residence after the base year.
    "Base year" means the taxable year prior to the taxable
year for which the applicant first qualifies and applies for
the exemption provided that in the prior taxable year the
property was improved with a permanent structure that was
occupied as a residence by the applicant who was liable for
paying real property taxes on the property and who was either
(i) an owner of record of the property or had legal or
equitable interest in the property as evidenced by a written
instrument or (ii) had a legal or equitable interest as a
lessee in the parcel of property that was single family
residence. If in any subsequent taxable year for which the
applicant applies and qualifies for the exemption the equalized
assessed value of the residence is less than the equalized
assessed value in the existing base year (provided that such
equalized assessed value is not based on an assessed value that
results from a temporary irregularity in the property that
reduces the assessed value for one or more taxable years), then
that subsequent taxable year shall become the base year until a
new base year is established under the terms of this paragraph.
For taxable year 1999 only, the Chief County Assessment Officer
shall review (i) all taxable years for which the applicant
applied and qualified for the exemption and (ii) the existing
base year. The assessment officer shall select as the new base
year the year with the lowest equalized assessed value. An
equalized assessed value that is based on an assessed value
that results from a temporary irregularity in the property that
reduces the assessed value for one or more taxable years shall
not be considered the lowest equalized assessed value. The
selected year shall be the base year for taxable year 1999 and
thereafter until a new base year is established under the terms
of this paragraph.
    "Chief County Assessment Officer" means the County
Assessor or Supervisor of Assessments of the county in which
the property is located.
    "Equalized assessed value" means the assessed value as
equalized by the Illinois Department of Revenue.
    "Household" means the applicant, the spouse of the
applicant, and all persons using the residence of the applicant
as their principal place of residence.
    "Household income" means the combined income of the members
of a household for the calendar year preceding the taxable
year.
    "Income" has the same meaning as provided in Section 3.07
of the Senior Citizens and Persons with Disabilities Property
Tax Relief Act, except that, beginning in assessment year 2001,
"income" does not include veteran's benefits.
    "Internal Revenue Code of 1986" means the United States
Internal Revenue Code of 1986 or any successor law or laws
relating to federal income taxes in effect for the year
preceding the taxable year.
    "Life care facility that qualifies as a cooperative" means
a facility as defined in Section 2 of the Life Care Facilities
Act.
    "Maximum income limitation" means:
        (1) $35,000 prior to taxable year 1999;
        (2) $40,000 in taxable years 1999 through 2003;
        (3) $45,000 in taxable years 2004 through 2005;
        (4) $50,000 in taxable years 2006 and 2007; and
        (5) $55,000 in taxable year 2008 and thereafter.
    "Residence" means the principal dwelling place and
appurtenant structures used for residential purposes in this
State occupied on January 1 of the taxable year by a household
and so much of the surrounding land, constituting the parcel
upon which the dwelling place is situated, as is used for
residential purposes. If the Chief County Assessment Officer
has established a specific legal description for a portion of
property constituting the residence, then that portion of
property shall be deemed the residence for the purposes of this
Section.
    "Taxable year" means the calendar year during which ad
valorem property taxes payable in the next succeeding year are
levied.
    (c) Beginning in taxable year 1994, a senior citizens
assessment freeze homestead exemption is granted for real
property that is improved with a permanent structure that is
occupied as a residence by an applicant who (i) is 65 years of
age or older during the taxable year, (ii) has a household
income that does not exceed the maximum income limitation,
(iii) is liable for paying real property taxes on the property,
and (iv) is an owner of record of the property or has a legal or
equitable interest in the property as evidenced by a written
instrument. This homestead exemption shall also apply to a
leasehold interest in a parcel of property improved with a
permanent structure that is a single family residence that is
occupied as a residence by a person who (i) is 65 years of age
or older during the taxable year, (ii) has a household income
that does not exceed the maximum income limitation, (iii) has a
legal or equitable ownership interest in the property as
lessee, and (iv) is liable for the payment of real property
taxes on that property.
    In counties of 3,000,000 or more inhabitants, the amount of
the exemption for all taxable years is the equalized assessed
value of the residence in the taxable year for which
application is made minus the base amount. In all other
counties, the amount of the exemption is as follows: (i)
through taxable year 2005 and for taxable year 2007 and
thereafter, the amount of this exemption shall be the equalized
assessed value of the residence in the taxable year for which
application is made minus the base amount; and (ii) for taxable
year 2006, the amount of the exemption is as follows:
        (1) For an applicant who has a household income of
    $45,000 or less, the amount of the exemption is the
    equalized assessed value of the residence in the taxable
    year for which application is made minus the base amount.
        (2) For an applicant who has a household income
    exceeding $45,000 but not exceeding $46,250, the amount of
    the exemption is (i) the equalized assessed value of the
    residence in the taxable year for which application is made
    minus the base amount (ii) multiplied by 0.8.
        (3) For an applicant who has a household income
    exceeding $46,250 but not exceeding $47,500, the amount of
    the exemption is (i) the equalized assessed value of the
    residence in the taxable year for which application is made
    minus the base amount (ii) multiplied by 0.6.
        (4) For an applicant who has a household income
    exceeding $47,500 but not exceeding $48,750, the amount of
    the exemption is (i) the equalized assessed value of the
    residence in the taxable year for which application is made
    minus the base amount (ii) multiplied by 0.4.
        (5) For an applicant who has a household income
    exceeding $48,750 but not exceeding $50,000, the amount of
    the exemption is (i) the equalized assessed value of the
    residence in the taxable year for which application is made
    minus the base amount (ii) multiplied by 0.2.
    When the applicant is a surviving spouse of an applicant
for a prior year for the same residence for which an exemption
under this Section has been granted, the base year and base
amount for that residence are the same as for the applicant for
the prior year.
    Each year at the time the assessment books are certified to
the County Clerk, the Board of Review or Board of Appeals shall
give to the County Clerk a list of the assessed values of
improvements on each parcel qualifying for this exemption that
were added after the base year for this parcel and that
increased the assessed value of the property.
    In the case of land improved with an apartment building
owned and operated as a cooperative or a building that is a
life care facility that qualifies as a cooperative, the maximum
reduction from the equalized assessed value of the property is
limited to the sum of the reductions calculated for each unit
occupied as a residence by a person or persons (i) 65 years of
age or older, (ii) with a household income that does not exceed
the maximum income limitation, (iii) who is liable, by contract
with the owner or owners of record, for paying real property
taxes on the property, and (iv) who is an owner of record of a
legal or equitable interest in the cooperative apartment
building, other than a leasehold interest. In the instance of a
cooperative where a homestead exemption has been granted under
this Section, the cooperative association or its management
firm shall credit the savings resulting from that exemption
only to the apportioned tax liability of the owner who
qualified for the exemption. Any person who willfully refuses
to credit that savings to an owner who qualifies for the
exemption is guilty of a Class B misdemeanor.
    When a homestead exemption has been granted under this
Section and an applicant then becomes a resident of a facility
licensed under the Assisted Living and Shared Housing Act, the
Nursing Home Care Act, the Specialized Mental Health
Rehabilitation Act of 2013, the ID/DD Community Care Act, or
the MC/DD Act, the exemption shall be granted in subsequent
years so long as the residence (i) continues to be occupied by
the qualified applicant's spouse or (ii) if remaining
unoccupied, is still owned by the qualified applicant for the
homestead exemption.
    Beginning January 1, 1997, when an individual dies who
would have qualified for an exemption under this Section, and
the surviving spouse does not independently qualify for this
exemption because of age, the exemption under this Section
shall be granted to the surviving spouse for the taxable year
preceding and the taxable year of the death, provided that,
except for age, the surviving spouse meets all other
qualifications for the granting of this exemption for those
years.
    When married persons maintain separate residences, the
exemption provided for in this Section may be claimed by only
one of such persons and for only one residence.
    For taxable year 1994 only, in counties having less than
3,000,000 inhabitants, to receive the exemption, a person shall
submit an application by February 15, 1995 to the Chief County
Assessment Officer of the county in which the property is
located. In counties having 3,000,000 or more inhabitants, for
taxable year 1994 and all subsequent taxable years, to receive
the exemption, a person may submit an application to the Chief
County Assessment Officer of the county in which the property
is located during such period as may be specified by the Chief
County Assessment Officer. The Chief County Assessment Officer
in counties of 3,000,000 or more inhabitants shall annually
give notice of the application period by mail or by
publication. In counties having less than 3,000,000
inhabitants, beginning with taxable year 1995 and thereafter,
to receive the exemption, a person shall submit an application
by July 1 of each taxable year to the Chief County Assessment
Officer of the county in which the property is located. A
county may, by ordinance, establish a date for submission of
applications that is different than July 1. The applicant shall
submit with the application an affidavit of the applicant's
total household income, age, marital status (and if married the
name and address of the applicant's spouse, if known), and
principal dwelling place of members of the household on January
1 of the taxable year. The Department shall establish, by rule,
a method for verifying the accuracy of affidavits filed by
applicants under this Section, and the Chief County Assessment
Officer may conduct audits of any taxpayer claiming an
exemption under this Section to verify that the taxpayer is
eligible to receive the exemption. Each application shall
contain or be verified by a written declaration that it is made
under the penalties of perjury. A taxpayer's signing a
fraudulent application under this Act is perjury, as defined in
Section 32-2 of the Criminal Code of 2012. The applications
shall be clearly marked as applications for the Senior Citizens
Assessment Freeze Homestead Exemption and must contain a notice
that any taxpayer who receives the exemption is subject to an
audit by the Chief County Assessment Officer.
    Notwithstanding any other provision to the contrary, in
counties having fewer than 3,000,000 inhabitants, if an
applicant fails to file the application required by this
Section in a timely manner and this failure to file is due to a
mental or physical condition sufficiently severe so as to
render the applicant incapable of filing the application in a
timely manner, the Chief County Assessment Officer may extend
the filing deadline for a period of 30 days after the applicant
regains the capability to file the application, but in no case
may the filing deadline be extended beyond 3 months of the
original filing deadline. In order to receive the extension
provided in this paragraph, the applicant shall provide the
Chief County Assessment Officer with a signed statement from
the applicant's physician, advanced practice nurse, or
physician assistant stating the nature and extent of the
condition, that, in the physician's, advanced practice
nurse's, or physician assistant's opinion, the condition was so
severe that it rendered the applicant incapable of filing the
application in a timely manner, and the date on which the
applicant regained the capability to file the application.
    Beginning January 1, 1998, notwithstanding any other
provision to the contrary, in counties having fewer than
3,000,000 inhabitants, if an applicant fails to file the
application required by this Section in a timely manner and
this failure to file is due to a mental or physical condition
sufficiently severe so as to render the applicant incapable of
filing the application in a timely manner, the Chief County
Assessment Officer may extend the filing deadline for a period
of 3 months. In order to receive the extension provided in this
paragraph, the applicant shall provide the Chief County
Assessment Officer with a signed statement from the applicant's
physician, advanced practice nurse, or physician assistant
stating the nature and extent of the condition, and that, in
the physician's, advanced practice nurse's, or physician
assistant's opinion, the condition was so severe that it
rendered the applicant incapable of filing the application in a
timely manner.
    In counties having less than 3,000,000 inhabitants, if an
applicant was denied an exemption in taxable year 1994 and the
denial occurred due to an error on the part of an assessment
official, or his or her agent or employee, then beginning in
taxable year 1997 the applicant's base year, for purposes of
determining the amount of the exemption, shall be 1993 rather
than 1994. In addition, in taxable year 1997, the applicant's
exemption shall also include an amount equal to (i) the amount
of any exemption denied to the applicant in taxable year 1995
as a result of using 1994, rather than 1993, as the base year,
(ii) the amount of any exemption denied to the applicant in
taxable year 1996 as a result of using 1994, rather than 1993,
as the base year, and (iii) the amount of the exemption
erroneously denied for taxable year 1994.
    For purposes of this Section, a person who will be 65 years
of age during the current taxable year shall be eligible to
apply for the homestead exemption during that taxable year.
Application shall be made during the application period in
effect for the county of his or her residence.
    The Chief County Assessment Officer may determine the
eligibility of a life care facility that qualifies as a
cooperative to receive the benefits provided by this Section by
use of an affidavit, application, visual inspection,
questionnaire, or other reasonable method in order to insure
that the tax savings resulting from the exemption are credited
by the management firm to the apportioned tax liability of each
qualifying resident. The Chief County Assessment Officer may
request reasonable proof that the management firm has so
credited that exemption.
    Except as provided in this Section, all information
received by the chief county assessment officer or the
Department from applications filed under this Section, or from
any investigation conducted under the provisions of this
Section, shall be confidential, except for official purposes or
pursuant to official procedures for collection of any State or
local tax or enforcement of any civil or criminal penalty or
sanction imposed by this Act or by any statute or ordinance
imposing a State or local tax. Any person who divulges any such
information in any manner, except in accordance with a proper
judicial order, is guilty of a Class A misdemeanor.
    Nothing contained in this Section shall prevent the
Director or chief county assessment officer from publishing or
making available reasonable statistics concerning the
operation of the exemption contained in this Section in which
the contents of claims are grouped into aggregates in such a
way that information contained in any individual claim shall
not be disclosed.
    (d) Each Chief County Assessment Officer shall annually
publish a notice of availability of the exemption provided
under this Section. The notice shall be published at least 60
days but no more than 75 days prior to the date on which the
application must be submitted to the Chief County Assessment
Officer of the county in which the property is located. The
notice shall appear in a newspaper of general circulation in
the county.
    Notwithstanding Sections 6 and 8 of the State Mandates Act,
no reimbursement by the State is required for the
implementation of any mandate created by this Section.
(Source: P.A. 98-104, eff. 7-22-13; 99-143, eff. 7-27-15;
99-180, eff. 7-29-15; revised 10-21-15.)
 
    Section 80. The Missing Persons Identification Act is
amended by changing Section 5 as follows:
 
    (50 ILCS 722/5)
    Sec. 5. Missing person reports.
    (a) Report acceptance. All law enforcement agencies shall
accept without delay any report of a missing person. Acceptance
of a missing person report filed in person may not be refused
on any ground. No law enforcement agency may refuse to accept a
missing person report:
        (1) on the basis that the missing person is an adult;
        (2) on the basis that the circumstances do not indicate
    foul play;
        (3) on the basis that the person has been missing for a
    short period of time;
        (4) on the basis that the person has been missing a
    long period of time;
        (5) on the basis that there is no indication that the
    missing person was in the jurisdiction served by the law
    enforcement agency at the time of the disappearance;
        (6) on the basis that the circumstances suggest that
    the disappearance may be voluntary;
        (7) on the basis that the reporting individual does not
    have personal knowledge of the facts;
        (8) on the basis that the reporting individual cannot
    provide all of the information requested by the law
    enforcement agency;
        (9) on the basis that the reporting individual lacks a
    familial or other relationship with the missing person;
        (9-5) on the basis of the missing person's mental state
    or medical condition; or
        (10) for any other reason.
    (b) Manner of reporting. All law enforcement agencies shall
accept missing person reports in person. Law enforcement
agencies are encouraged to accept reports by phone or by
electronic or other media to the extent that such reporting is
consistent with law enforcement policies or practices.
    (c) Contents of report. In accepting a report of a missing
person, the law enforcement agency shall attempt to gather
relevant information relating to the disappearance. The law
enforcement agency shall attempt to gather at the time of the
report information that shall include, but shall not be limited
to, the following:
        (1) the name of the missing person, including
    alternative names used;
        (2) the missing person's date of birth;
        (3) the missing person's identifying marks, such as
    birthmarks, moles, tattoos, and scars;
        (4) the missing person's height and weight;
        (5) the missing person's gender;
        (6) the missing person's race;
        (7) the missing person's current hair color and true or
    natural hair color;
        (8) the missing person's eye color;
        (9) the missing person's prosthetics, surgical
    implants, or cosmetic implants;
        (10) the missing person's physical anomalies;
        (11) the missing person's blood type, if known;
        (12) the missing person's driver's license number, if
    known;
        (13) the missing person's social security number, if
    known;
        (14) a photograph of the missing person; recent
    photographs are preferable and the agency is encouraged to
    attempt to ascertain the approximate date the photograph
    was taken;
        (15) a description of the clothing the missing person
    was believed to be wearing;
        (16) a description of items that might be with the
    missing person, such as jewelry, accessories, and shoes or
    boots;
        (17) information on the missing person's electronic
    communications devices, such as cellular telephone numbers
    and e-mail addresses;
        (18) the reasons why the reporting individual believes
    that the person is missing;
        (19) the name and location of the missing person's
    school or employer, if known;
        (20) the name and location of the missing person's
    dentist or primary care physician or provider, or both, if
    known;
        (21) any circumstances that may indicate that the
    disappearance was not voluntary;
        (22) any circumstances that may indicate that the
    missing person may be at risk of injury or death;
        (23) a description of the possible means of
    transportation of the missing person, including make,
    model, color, license number, and Vehicle Identification
    Number of a vehicle;
        (24) any identifying information about a known or
    possible abductor or person last seen with the missing
    person, or both, including:
            (A) name;
            (B) a physical description;
            (C) date of birth;
            (D) identifying marks;
            (E) the description of possible means of
        transportation, including make, model, color, license
        number, and Vehicle Identification Number of a
        vehicle;
            (F) known associates;
        (25) any other information that may aid in locating the
    missing person; and
        (26) the date of last contact.
    (d) Notification and follow up action.
        (1) Notification. The law enforcement agency shall
    notify the person making the report, a family member, or
    other person in a position to assist the law enforcement
    agency in its efforts to locate the missing person of the
    following:
            (A) general information about the handling of the
        missing person case or about intended efforts in the
        case to the extent that the law enforcement agency
        determines that disclosure would not adversely affect
        its ability to locate or protect the missing person or
        to apprehend or prosecute any person criminally
        involved in the disappearance;
            (B) that the person should promptly contact the law
        enforcement agency if the missing person remains
        missing in order to provide additional information and
        materials that will aid in locating the missing person
        such as the missing person's credit cards, debit cards,
        banking information, and cellular telephone records;
        and
            (C) that any DNA samples provided for the missing
        person case are provided on a voluntary basis and will
        be used solely to help locate or identify the missing
        person and will not be used for any other purpose.
        The law enforcement agency, upon acceptance of a
    missing person report, shall inform the reporting citizen
    of one of 2 resources, based upon the age of the missing
    person. If the missing person is under 18 years of age,
    contact information for the National Center for Missing and
    Exploited Children shall be given. If the missing person is
    age 18 or older, contact information for the National
    Center for Missing Adults shall be given.
        Agencies handling the remains of a missing person who
    is deceased must notify the agency handling the missing
    person's case. Documented efforts must be made to locate
    family members of the deceased person to inform them of the
    death and location of the remains of their family member.
        The law enforcement agency is encouraged to make
    available informational materials, through publications or
    electronic or other media, that advise the public about how
    the information or materials identified in this subsection
    are used to help locate or identify missing persons.
        (2) Follow up action. If the person identified in the
    missing person report remains missing after 30 days, and
    the additional information and materials specified below
    have not been received, the law enforcement agency shall
    attempt to obtain:
            (A) DNA samples from family members or from the
        missing person along with any needed documentation, or
        both, including any consent forms, required for the use
        of State or federal DNA databases, including, but not
        limited to, the Local DNA Index System (LDIS), State
        DNA Index System (SDIS), and National DNA Index System
        (NDIS);
            (B) an authorization to release dental or skeletal
        x-rays of the missing person;
            (C) any additional photographs of the missing
        person that may aid the investigation or an
        identification; the law enforcement agency is not
        required to obtain written authorization before it
        releases publicly any photograph that would aid in the
        investigation or identification of the missing person;
            (D) dental information and x-rays; and
            (E) fingerprints.
        (3) All DNA samples obtained in missing person cases
    shall be immediately forwarded to the Department of State
    Police for analysis. The Department of State Police shall
    establish procedures for determining how to prioritize
    analysis of the samples relating to missing person cases.
        (4) This subsection shall not be interpreted to
    preclude a law enforcement agency from attempting to obtain
    the materials identified in this subsection before the
    expiration of the 30-day period.
(Source: P.A. 99-244, eff. 1-1-16.)
 
    Section 85. The Counties Code is amended by changing
Sections 3-14049, 3-15003.6, 5-1069, and 5-21001 as follows:
 
    (55 ILCS 5/3-14049)  (from Ch. 34, par. 3-14049)
    Sec. 3-14049. Appointment of physicians and nurses for the
poor and mentally ill persons. The appointment, employment and
removal by the Board of Commissioners of Cook County, of all
physicians and surgeons, advanced practice nurses, physician
assistants, and nurses for the care and treatment of the sick,
poor, mentally ill or persons in need of mental treatment of
said county shall be made only in conformity with rules
prescribed by the County Civil Service Commission to accomplish
the purposes of this Section.
    The Board of Commissioners of Cook County may provide that
all such physicians and surgeons who serve without compensation
shall be appointed for a term to be fixed by the Board, and
that the physicians and surgeons usually designated and known
as interns shall be appointed for a term to be fixed by the
Board: Provided, that there may also, at the discretion of the
board, be a consulting staff of physicians and surgeons, which
staff may be appointed by the president, subject to the
approval of the board, and provided further, that the Board may
contract with any recognized training school or any program for
health professionals for health care services the nursing of
any or all of such sick or mentally ill or persons in need of
mental treatment.
(Source: P.A. 86-962.)
 
    (55 ILCS 5/3-15003.6)
    Sec. 3-15003.6. Pregnant female prisoners.
    (a) Definitions. For the purpose of this Section:
        (1) "Restraints" means any physical restraint or
    mechanical device used to control the movement of a
    prisoner's body or limbs, or both, including, but not
    limited to, flex cuffs, soft restraints, hard metal
    handcuffs, a black box, Chubb cuffs, leg irons, belly
    chains, a security (tether) chain, or a convex shield, or
    shackles of any kind.
        (2) "Labor" means the period of time before a birth and
    shall include any medical condition in which a woman is
    sent or brought to the hospital for the purpose of
    delivering her baby. These situations include: induction
    of labor, prodromal labor, pre-term labor, prelabor
    rupture of membranes, the 3 stages of active labor, uterine
    hemorrhage during the third trimester of pregnancy, and
    caesarian delivery including pre-operative preparation.
        (3) "Post-partum" means, as determined by her
    physician, advanced practice nurse, or physician
    assistant, the period immediately following delivery,
    including the entire period a woman is in the hospital or
    infirmary after birth.
        (4) "Correctional institution" means any entity under
    the authority of a county law enforcement division of a
    county of more than 3,000,000 inhabitants that has the
    power to detain or restrain, or both, a person under the
    laws of the State.
        (5) "Corrections official" means the official that is
    responsible for oversight of a correctional institution,
    or his or her designee.
        (6) "Prisoner" means any person incarcerated or
    detained in any facility who is accused of, convicted of,
    sentenced for, or adjudicated delinquent for, violations
    of criminal law or the terms and conditions of parole,
    probation, pretrial release, or diversionary program, and
    any person detained under the immigration laws of the
    United States at any correctional facility.
        (7) "Extraordinary circumstance" means an
    extraordinary medical or security circumstance, including
    a substantial flight risk, that dictates restraints be used
    to ensure the safety and security of the prisoner, the
    staff of the correctional institution or medical facility,
    other prisoners, or the public.
    (b) A county department of corrections shall not apply
security restraints to a prisoner that has been determined by a
qualified medical professional to be pregnant and is known by
the county department of corrections to be pregnant or in
postpartum recovery, which is the entire period a woman is in
the medical facility after birth, unless the corrections
official makes an individualized determination that the
prisoner presents a substantial flight risk or some other
extraordinary circumstance that dictates security restraints
be used to ensure the safety and security of the prisoner, her
child or unborn child, the staff of the county department of
corrections or medical facility, other prisoners, or the
public. The protections set out in clauses (b)(3) and (b)(4) of
this Section shall apply to security restraints used pursuant
to this subsection. The corrections official shall immediately
remove all restraints upon the written or oral request of
medical personnel. Oral requests made by medical personnel
shall be verified in writing as promptly as reasonably
possible.
        (1) Qualified authorized health staff shall have the
    authority to order therapeutic restraints for a pregnant or
    postpartum prisoner who is a danger to herself, her child,
    unborn child, or other persons due to a psychiatric or
    medical disorder. Therapeutic restraints may only be
    initiated, monitored and discontinued by qualified and
    authorized health staff and used to safely limit a
    prisoner's mobility for psychiatric or medical reasons. No
    order for therapeutic restraints shall be written unless
    medical or mental health personnel, after personally
    observing and examining the prisoner, are clinically
    satisfied that the use of therapeutic restraints is
    justified and permitted in accordance with hospital
    policies and applicable State law. Metal handcuffs or
    shackles are not considered therapeutic restraints.
        (2) Whenever therapeutic restraints are used by
    medical personnel, Section 2-108 of the Mental Health and
    Developmental Disabilities Code shall apply.
        (3) Leg irons, shackles or waist shackles shall not be
    used on any pregnant or postpartum prisoner regardless of
    security classification. Except for therapeutic restraints
    under clause (b)(2), no restraints of any kind may be
    applied to prisoners during labor.
        (4) When a pregnant or postpartum prisoner must be
    restrained, restraints used shall be the least restrictive
    restraints possible to ensure the safety and security of
    the prisoner, her child, unborn child, the staff of the
    county department of corrections or medical facility,
    other prisoners, or the public, and in no case shall
    include leg irons, shackles or waist shackles.
        (5) Upon the pregnant prisoner's entry into a hospital
    room, and completion of initial room inspection, a
    corrections official shall be posted immediately outside
    the hospital room, unless requested to be in the room by
    medical personnel attending to the prisoner's medical
    needs.
        (6) The county department of corrections shall provide
    adequate corrections personnel to monitor the pregnant
    prisoner during her transport to and from the hospital and
    during her stay at the hospital.
        (7) Where the county department of corrections
    requires prisoner safety assessments, a corrections
    official may enter the hospital room to conduct periodic
    prisoner safety assessments, except during a medical
    examination or the delivery process.
        (8) Upon discharge from a medical facility, postpartum
    prisoners shall be restrained only with handcuffs in front
    of the body during transport to the county department of
    corrections. A corrections official shall immediately
    remove all security restraints upon written or oral request
    by medical personnel. Oral requests made by medical
    personnel shall be verified in writing as promptly as
    reasonably possible.
    (c) Enforcement. No later than 30 days before the end of
each fiscal year, the county sheriff or corrections official of
the correctional institution where a pregnant prisoner has been
restrained during that previous fiscal year, shall submit a
written report to the Illinois General Assembly and the Office
of the Governor that includes an account of every instance of
prisoner restraint pursuant to this Section. The written report
shall state the date, time, location and rationale for each
instance in which restraints are used. The written report shall
not contain any individually identifying information of any
prisoner. Such reports shall be made available for public
inspection.
(Source: P.A. 97-660, eff. 6-1-12.)
 
    (55 ILCS 5/5-1069)  (from Ch. 34, par. 5-1069)
    Sec. 5-1069. Group life, health, accident, hospital, and
medical insurance.
    (a) The county board of any county may arrange to provide,
for the benefit of employees of the county, group life, health,
accident, hospital, and medical insurance, or any one or any
combination of those types of insurance, or the county board
may self-insure, for the benefit of its employees, all or a
portion of the employees' group life, health, accident,
hospital, and medical insurance, or any one or any combination
of those types of insurance, including a combination of
self-insurance and other types of insurance authorized by this
Section, provided that the county board complies with all other
requirements of this Section. The insurance may include
provision for employees who rely on treatment by prayer or
spiritual means alone for healing in accordance with the tenets
and practice of a well recognized religious denomination. The
county board may provide for payment by the county of a portion
or all of the premium or charge for the insurance with the
employee paying the balance of the premium or charge, if any.
If the county board undertakes a plan under which the county
pays only a portion of the premium or charge, the county board
shall provide for withholding and deducting from the
compensation of those employees who consent to join the plan
the balance of the premium or charge for the insurance.
    (b) If the county board does not provide for self-insurance
or for a plan under which the county pays a portion or all of
the premium or charge for a group insurance plan, the county
board may provide for withholding and deducting from the
compensation of those employees who consent thereto the total
premium or charge for any group life, health, accident,
hospital, and medical insurance.
    (c) The county board may exercise the powers granted in
this Section only if it provides for self-insurance or, where
it makes arrangements to provide group insurance through an
insurance carrier, if the kinds of group insurance are obtained
from an insurance company authorized to do business in the
State of Illinois. The county board may enact an ordinance
prescribing the method of operation of the insurance program.
    (d) If a county, including a home rule county, is a
self-insurer for purposes of providing health insurance
coverage for its employees, the insurance coverage shall
include screening by low-dose mammography for all women 35
years of age or older for the presence of occult breast cancer
unless the county elects to provide mammograms itself under
Section 5-1069.1. The coverage shall be as follows:
         (1) A baseline mammogram for women 35 to 39 years of
    age.
         (2) An annual mammogram for women 40 years of age or
    older.
         (3) A mammogram at the age and intervals considered
    medically necessary by the woman's health care provider for
    women under 40 years of age and having a family history of
    breast cancer, prior personal history of breast cancer,
    positive genetic testing, or other risk factors.
        (4) A comprehensive ultrasound screening of an entire
    breast or breasts if a mammogram demonstrates
    heterogeneous or dense breast tissue, when medically
    necessary as determined by a physician licensed to practice
    medicine in all of its branches, advanced practice nurse,
    or physician assistant.
    For purposes of this subsection, "low-dose mammography"
means the x-ray examination of the breast using equipment
dedicated specifically for mammography, including the x-ray
tube, filter, compression device, and image receptor, with an
average radiation exposure delivery of less than one rad per
breast for 2 views of an average size breast. The term also
includes digital mammography.
    (d-5) Coverage as described by subsection (d) shall be
provided at no cost to the insured and shall not be applied to
an annual or lifetime maximum benefit.
    (d-10) When health care services are available through
contracted providers and a person does not comply with plan
provisions specific to the use of contracted providers, the
requirements of subsection (d-5) are not applicable. When a
person does not comply with plan provisions specific to the use
of contracted providers, plan provisions specific to the use of
non-contracted providers must be applied without distinction
for coverage required by this Section and shall be at least as
favorable as for other radiological examinations covered by the
policy or contract.
    (d-15) If a county, including a home rule county, is a
self-insurer for purposes of providing health insurance
coverage for its employees, the insurance coverage shall
include mastectomy coverage, which includes coverage for
prosthetic devices or reconstructive surgery incident to the
mastectomy. Coverage for breast reconstruction in connection
with a mastectomy shall include:
        (1) reconstruction of the breast upon which the
    mastectomy has been performed;
        (2) surgery and reconstruction of the other breast to
    produce a symmetrical appearance; and
        (3) prostheses and treatment for physical
    complications at all stages of mastectomy, including
    lymphedemas.
Care shall be determined in consultation with the attending
physician and the patient. The offered coverage for prosthetic
devices and reconstructive surgery shall be subject to the
deductible and coinsurance conditions applied to the
mastectomy, and all other terms and conditions applicable to
other benefits. When a mastectomy is performed and there is no
evidence of malignancy then the offered coverage may be limited
to the provision of prosthetic devices and reconstructive
surgery to within 2 years after the date of the mastectomy. As
used in this Section, "mastectomy" means the removal of all or
part of the breast for medically necessary reasons, as
determined by a licensed physician.
    A county, including a home rule county, that is a
self-insurer for purposes of providing health insurance
coverage for its employees, may not penalize or reduce or limit
the reimbursement of an attending provider or provide
incentives (monetary or otherwise) to an attending provider to
induce the provider to provide care to an insured in a manner
inconsistent with this Section.
    (d-20) The requirement that mammograms be included in
health insurance coverage as provided in subsections (d)
through (d-15) is an exclusive power and function of the State
and is a denial and limitation under Article VII, Section 6,
subsection (h) of the Illinois Constitution of home rule county
powers. A home rule county to which subsections (d) through
(d-15) apply must comply with every provision of those
subsections.
    (e) The term "employees" as used in this Section includes
elected or appointed officials but does not include temporary
employees.
    (f) The county board may, by ordinance, arrange to provide
group life, health, accident, hospital, and medical insurance,
or any one or a combination of those types of insurance, under
this Section to retired former employees and retired former
elected or appointed officials of the county.
    (g) Rulemaking authority to implement this amendatory Act
of the 95th General Assembly, if any, is conditioned on the
rules being adopted in accordance with all provisions of the
Illinois Administrative Procedure Act and all rules and
procedures of the Joint Committee on Administrative Rules; any
purported rule not so adopted, for whatever reason, is
unauthorized.
(Source: P.A. 95-1045, eff. 3-27-09.)
 
    (55 ILCS 5/5-21001)  (from Ch. 34, par. 5-21001)
    Sec. 5-21001. Establishment and maintenance of county
home. In any county which establishes and maintains a county
sheltered care home or a county nursing home for the care of
infirm or chronically ill persons, as provided in Section
5-1005, the County Board shall have power:
    1. To acquire in the name of the county by purchase, grant,
gift, or legacy, a suitable tract or tracts of land upon which
to erect and maintain the home, and in connection therewith a
farm or acreage for the purpose of providing supplies for the
home and employment for such patients as are able to work and
benefit thereby.
    The board shall expend not more than $20,000 for the
purchase of any such land or the erection of buildings without
a 2/3 vote of all its members in counties of 300,000 or more
population, or a favorable vote of at least a majority of all
its members in counties under 300,000 population.
    2. To receive in the name of the county, gifts and legacies
to aid in the erection or maintenance of the home.
    3. To appoint a superintendent and all necessary employees
for the management and control of the home and to prescribe
their compensation and duties.
    4. To arrange for physicians' or other health care
professionals' services and other medical care for the patients
in the home and prescribe the compensation and duties of
physicians so designated.
    5. To control the admission and discharge of patients in
the home.
    6. To fix the rate per day, week, or month which it will
charge for care and maintenance of the patients. Rates so
established may vary according to the amount of care required,
but the rates shall be uniform for all persons or agencies
purchasing care in the home except rates for persons who are
able to purchase their own care may approximate actual cost.
    7. To make all rules and regulations for the management of
the home and of the patients therein.
    8. To make appropriations from the county treasury for the
purchase of land and the erection of buildings for the home,
and to defray the expenses necessary for the care and
maintenance of the home and for providing maintenance, personal
care and nursing services to the patients therein, and to cause
an amount sufficient for those purposes to be levied upon the
taxable property of the counties and collected as other taxes
and further providing that in counties with a population of not
more than 1,000,000 to levy and collect annually a tax of not
to exceed .1% of the value, as equalized or assessed by the
Department of Revenue, of all the taxable property in the
county for these purposes. The tax shall be in addition to all
other taxes which the county is authorized to levy on the
aggregate valuation of the property within the county and shall
not be included in any limitation of the tax rate upon which
taxes are required to be extended, but shall be excluded
therefrom and in addition thereto. The tax shall be levied and
collected in like manner as the general taxes of the county,
and when collected, shall be paid into a special fund in the
county treasury and used only as herein authorized. No such tax
shall be levied or increased from a rate lower than the maximum
rate in any such county until the question of levying such tax
has first been submitted to the voters of such county at an
election held in such county, and has been approved by a
majority of such voters voting thereon. The corporate
authorities shall certify the question of levying such tax to
the proper election officials, who shall submit the question to
the voters at an election held in accordance with the general
election law.
    The proposition shall be in substantially the following
form:
-------------------------------------------------------------
    Shall ........ County be authorized
to levy and collect a tax at a rate not            YES
to exceed .1% for the purpose of          -------------------
   ........ (purchasing, maintaining) a            NO
 county nursing home?
-------------------------------------------------------------
    If a majority of votes cast on the question are in favor,
the county shall be authorized to levy the tax.
    If the county has levied such tax at a rate lower than the
maximum rate set forth in this Section, the county board may
increase the rate of the tax, but not to exceed such maximum
rate, by certifying the proposition of such increase to the
proper election officials for submission to the voters of the
county at a regular election in accordance with the general
election law. The proposition shall be in substantially the
following form:
-------------------------------------------------------------
    Shall the maximum rate
of the tax levied by........            YES
County for the purpose of.......
(purchasing, maintaining) a      ----------------------------
county nursing home be
increased from........ to               NO
........ (not to exceed .1%)
-------------------------------------------------------------
    If a majority of all the votes cast upon the proposition
are in favor thereof, the county board may levy the tax at a
rate not to exceed the rate set forth in this Section.
    9. Upon the vote of a 2/3 majority of all the members of
the board, to sell, dispose of or lease for any term, any part
of the home properties in such manner and upon such terms as it
deems best for the interest of the county, and to make and
execute all necessary conveyances thereof in the same manner as
other conveyances of real estate may be made by a county.
However, if the home was erected after referendum approval by
the voters of the county, it shall not be sold or disposed of
except after referendum approval thereof by a majority of the
voters of the county voting thereon.
    If the home was erected after referendum approval by the
voters of the county, the county nursing home may be leased
upon the vote of a 3/5 majority of all the members of the
board.
    10. To operate a sheltered care home as a part of a county
nursing home provided that a license to do so is obtained
pursuant to the Nursing Home Care Act, as amended.
(Source: P.A. 89-185, eff. 1-1-96.)
 
    Section 90. The Illinois Municipal Code is amended by
changing Sections 10-1-38.1 and 10-2.1-18 as follows:
 
    (65 ILCS 5/10-1-38.1)  (from Ch. 24, par. 10-1-38.1)
    Sec. 10-1-38.1. When the force of the Fire Department or of
the Police Department is reduced, and positions displaced or
abolished, seniority shall prevail, and the officers and
members so reduced in rank, or removed from the service of the
Fire Department or of the Police Department shall be considered
furloughed without pay from the positions from which they were
reduced or removed.
    Such reductions and removals shall be in strict compliance
with seniority and in no event shall any officer or member be
reduced more than one rank in a reduction of force. Officers
and members with the least seniority in the position to be
reduced shall be reduced to the next lower rated position. For
purposes of determining which officers and members will be
reduced in rank, seniority shall be determined by adding the
time spent at the rank or position from which the officer or
member is to be reduced and the time spent at any higher rank
or position in the Department. For purposes of determining
which officers or members in the lowest rank or position shall
be removed from the Department in the event of a layoff, length
of service in the Department shall be the basis for determining
seniority, with the least senior such officer or member being
the first so removed and laid off. Such officers or members
laid off shall have their names placed on an appropriate
reemployment list in the reverse order of dates of layoff.
    If any positions which have been vacated because of
reduction in forces or displacement and abolition of positions,
are reinstated, such members and officers of the Fire
Department or of the Police Department as are furloughed from
the said positions shall be notified by registered mail of such
reinstatement of positions and shall have prior right to such
positions if otherwise qualified, and in all cases seniority
shall prevail. Written application for such reinstated
position must be made by the furloughed person within 30 days
after notification as above provided and such person may be
required to submit to examination by physicians, advanced
practice nurses, or physician assistants of both the commission
and the appropriate pension board to determine his physical
fitness.
(Source: P.A. 84-747.)
 
    (65 ILCS 5/10-2.1-18)  (from Ch. 24, par. 10-2.1-18)
    Sec. 10-2.1-18. Fire or police departments - Reduction of
force - Reinstatement. When the force of the fire department or
of the police department is reduced, and positions displaced or
abolished, seniority shall prevail and the officers and members
so reduced in rank, or removed from the service of the fire
department or of the police department shall be considered
furloughed without pay from the positions from which they were
reduced or removed.
    Such reductions and removals shall be in strict compliance
with seniority and in no event shall any officer or member be
reduced more than one rank in a reduction of force. Officers
and members with the least seniority in the position to be
reduced shall be reduced to the next lower rated position. For
purposes of determining which officers and members will be
reduced in rank, seniority shall be determined by adding the
time spent at the rank or position from which the officer or
member is to be reduced and the time spent at any higher rank
or position in the Department. For purposes of determining
which officers or members in the lowest rank or position shall
be removed from the Department in the event of a layoff, length
of service in the Department shall be the basis for determining
seniority, with the least senior such officer or member being
the first so removed and laid off. Such officers or members
laid off shall have their names placed on an appropriate
reemployment list in the reverse order of dates of layoff.
    If any positions which have been vacated because of
reduction in forces or displacement and abolition of positions,
are reinstated, such members and officers of the fire
department or of the police department as are furloughed from
the said positions shall be notified by the board by registered
mail of such reinstatement of positions and shall have prior
right to such positions if otherwise qualified, and in all
cases seniority shall prevail. Written application for such
reinstated position must be made by the furloughed person
within 30 days after notification as above provided and such
person may be required to submit to examination by physicians,
advanced practice nurses, or physician assistants of both the
board of fire and police commissioners and the appropriate
pension board to determine his physical fitness.
(Source: P.A. 84-747.)