State of Illinois
91st General Assembly
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91_HB3988ham001

 










                                           LRB9112160STsbam01

 1                    AMENDMENT TO HOUSE BILL 3988

 2        AMENDMENT NO.     .  Amend House Bill 3988  by  replacing
 3    everything after the enacting clause with the following:

 4        "Section  5.  The  State  Comptroller  Act  is amended by
 5    adding Sections 22.3 and 22.4 as follows:

 6        (15 ILCS 405/22.3 new)
 7        Sec. 22.3.  Cemetery  Preservation  Advisory  Board.  The
 8    Comptroller  shall  appoint  a 5-member Cemetery Preservation
 9    Advisory Board. The Board shall serve in an advisory capacity
10    to the  Comptroller  for  the  purpose  of  recommending  the
11    distribution  of  funds  from the Cemetery Preservation Fund.
12    Members of the Board shall serve a term as determined by  the
13    Comptroller.   Members  shall  serve without compensation but
14    may be reimbursed for their reasonable expenses  incurred  in
15    the performance of their duties.

16        (15 ILCS 405/22.4 new)
17        Sec. 22.4.  Cemetery Preservation Fund.
18        (a)  The  Cemetery  Preservation  Fund  is  created  as a
19    special fund in the State Treasury.
20        (b) Beginning on January 1, 2001, all fees and  penalties
21    for the payment of registration, licensure, annual reporting,
 
                            -2-            LRB9112160STsbam01
 1    and  penalties  paid  to  the  State  Comptroller pursuant to
 2    Sections 8, 9, and 12 of  the  Cemetery  Care  Act  shall  be
 3    deposited   into   the   Cemetery  Preservation  Fund.    The
 4    Comptroller may accept monetary  gifts  or  grants  from  any
 5    nongovernmental   source   for   deposit  into  the  Cemetery
 6    Preservation Fund.
 7        (c) The State Comptroller shall determine  payments  from
 8    the  Cemetery  Preservation  Fund.   All  payments  from  the
 9    Cemetery  Preservation  Fund shall be used by the Comptroller
10    to clean up or restore abandoned and neglected cemeteries  in
11    Illinois  including  grants  to  units  of local governments,
12    school districts, and not-for-profit associations.
13        (d) Grant payments provided for the cleanup of cemeteries
14    owned by units of municipal, county, or  township  government
15    shall  not  exceed  50% of the projected cost to clean up the
16    cemetery.  The Comptroller may adopt rules and regulations in
17    administering this subsection.
18        (e) Expenditures from the Cemetery Preservation Fund  are
19    subject to appropriation.

20        Section  10.  The  State Finance Act is amended by adding
21    Section 5.541 as follows:

22        (30 ILCS 105/5.541 new)
23        Sec. 5.541. The Cemetery Preservation Fund.

24        Section 15.  The Grave and Cemetery  Restoration  Act  is
25    amended by changing Section 1 as follows:

26        (55 ILCS 70/1) (from Ch. 21, par. 61)
27        Sec. 1. Care by county.
28        (a)  The county board of any county may appropriate funds
29    from  the  county  treasury  to  be  used  for the purpose of
30    putting any old,  neglected  graves  and  cemeteries  in  the
 
                            -3-            LRB9112160STsbam01
 1    county in a cleaner and more respectable condition.
 2        (b)  A  county that has within its territory an abandoned
 3    cemetery may enter the cemetery grounds and cause the grounds
 4    to be cleared and made orderly. Provided, in no event shall a
 5    county enter an abandoned cemetery under this  subsection  if
 6    the owner of the property or the legally responsible cemetery
 7    authority  provides written notification to the county, prior
 8    to the county's entry  (1)  demonstrating  the  ownership  or
 9    authority to control or manage the cemetery and (2) declining
10    the  county  authorization to enter the property. In making a
11    cemetery orderly under this  Section,  the  county  may  take
12    necessary measures to correct dangerous conditions that exist
13    in  regard to markers, memorials, or other cemetery artifacts
14    but  may  not  permanently  remove  those  items  from  their
15    location on the cemetery grounds.
16        (c)  For the purposes of this Section:
17        "Abandoned cemetery" means an  area  of  land  containing
18    more  than  6  places  of interment for which, after diligent
19    search,  no  owner  of  the  land  or  currently  functioning
20    cemetery  authority  can  be  found  and  (1)  at  which   no
21    interments  have  taken place in at least 3 years; or (2) for
22    which there has been inadequate maintenance for  at  least  6
23    months.
24        "Diligent  search"  includes,  but  is  not  limited  to,
25    publication  of  a notice in a newspaper of local circulation
26    not more than 45 but at least 30 days  prior  to  a  county's
27    entry  and  cleanup  of  cemetery  grounds.  The notice shall
28    provide (1) notice of the county's intended entry and cleanup
29    of the cemetery; (2)  the  name,  if  known,  and  geographic
30    location  of  the  cemetery;  (3)  the  right of the cemetery
31    authority or owner of the  property  to  deny  entry  to  the
32    county upon written notice to the county; and (4) the date or
33    dates of the intended cleanup.
34        "Inadequate maintenance" includes, but is not limited to,
 
                            -4-            LRB9112160STsbam01
 1    the  failure to cut the lawn throughout a cemetery to prevent
 2    an overgrowth of grass and weeds; the failure to trim  shrubs
 3    to prevent excessive overgrowth; the failure to trim trees so
 4    as  to  remove  dead limbs; the failure to keep in repair the
 5    drains, water lines,  roads,  buildings,  fences,  and  other
 6    structures  of  the cemetery premises; or the failure to keep
 7    the cemetery premises free of trash and debris.
 8    (Source: P.A. 86-696.)

 9        Section 20.  The Township Code  is  amended  by  changing
10    Section 130-5 as follows:

11        (60 ILCS 1/130-5)
12        Sec. 130-5.  Cemeteries; permitted activities.
13        (a)  A  township  may  establish  and maintain cemeteries
14    within and without  its  territory,  may  acquire  lands  for
15    cemeteries  by condemnation or otherwise, may lay out lots of
16    convenient size for families, and may sell lots for a  family
17    burying   ground  or  to  individuals  for  burial  purposes.
18    Associations duly incorporated under the laws of  this  State
19    for cemetery purposes shall have the same power and authority
20    to  purchase  lands  and sell lots for burial purposes as are
21    conferred upon townships under this Article.
22        (b)  A  township  that  has  within  its   territory   an
23    abandoned  cemetery  may enter the cemetery grounds and cause
24    the grounds to be cleared and made orderly. Provided,  in  no
25    event shall a township enter an abandoned cemetery under this
26    subsection  if  the  owner  of  the  property  or the legally
27    responsible cemetery authority provides written  notification
28    to   the   township,   prior  to  the  township's  entry  (1)
29    demonstrating the ownership or authority to control or manage
30    the cemetery and (2) declining the township authorization  to
31    enter  the  property. In making a cemetery orderly under this
32    Section, the township may take necessary measures to  correct
 
                            -5-            LRB9112160STsbam01
 1    dangerous   conditions  that  exist  in  regard  to  markers,
 2    memorials,  or  other  cemetery   artifacts   but   may   not
 3    permanently  remove  those  items  from their location on the
 4    cemetery grounds.
 5        (c)  In this Section:
 6        "Abandoned cemetery" means an  area  of  land  containing
 7    "more  than  6  places of interment for which, after diligent
 8    search,  no  owner  of  the  land  or  currently  functioning
 9    cemetery  authority  can  be  found  and  (1)  at  which   no
10    interments  have  taken place in at least 3 years; or (2) for
11    which there has been inadequate maintenance for  at  least  6
12    months.
13        "Diligent  search"  includes,  but  is  not  limited  to,
14    publication  of  a notice in a newspaper of local circulation
15    not more than 45 but at least 30 days prior to  a  township's
16    entry  and  cleanup  of  cemetery  grounds.  The notice shall
17    provide (1) notice  of  the  township's  intended  entry  and
18    cleanup  of  the  cemetery;  (2)  the  name,  if  known,  and
19    geographic  location  of  the  cemetery; (3) the right of the
20    cemetery authority or owner of the property to deny entry  to
21    the township upon written notice to the township; and (4) the
22    date or dates of the intended cleanup.
23        "Inadequate maintenance" includes, but is not limited to,
24    the  failure to cut the lawn throughout a cemetery to prevent
25    an overgrowth of grass and weeds; the failure to trim  shrubs
26    to prevent excessive overgrowth; the failure to trim trees so
27    as  to  remove  dead limbs; the failure to keep in repair the
28    drains, water lines,  roads,  buildings,  fences,  and  other
29    structures  of  the cemetery premises; or the failure to keep
30    the cemetery premises free of trash and debris.
31    (Source: Laws 1963, p. 824; P.A. 88-62.)

32        Section 25.  The Illinois Municipal Code  is  amended  by
33    changing Section 11-49-1 as follows:
 
                            -6-            LRB9112160STsbam01
 1        (65 ILCS 5/11-49-1) (from Ch. 24, par. 11-49-1)
 2        Sec. 11-49-1. Cemeteries; permitted activities.
 3        (a)  The  corporate  authorities of each municipality may
 4    establish and  regulate  cemeteries  within  or  without  the
 5    municipal  limits; may acquire lands therefor, by purchase or
 6    otherwise; may  cause  cemeteries  to  be  removed;  and  may
 7    prohibit their establishment within one mile of the municipal
 8    limits.
 9        (b)  The   corporate  authorities  also  may  enter  into
10    contracts to  purchase  existing  cemeteries,  or  lands  for
11    cemetery purposes, on deferred installments to be paid solely
12    from  the  proceeds  of  sale  of  cemetery  lots. Every such
13    contract shall empower the purchasing  municipality,  in  its
14    own  name,  to  execute  and  deliver  deeds to purchasers of
15    cemetery lots for burial purposes.
16        (c)  The corporate authorities of each municipality  that
17    has  within its territory an abandoned cemetery may enter the
18    cemetery grounds and cause the grounds to be cleared and made
19    orderly.  Provided,  in  no   event   shall   the   corporate
20    authorities  of  a  municipality  enter an abandoned cemetery
21    under this subsection if the owner of  the  property  or  the
22    legally   responsible  cemetery  authority  provides  written
23    notification to the corporate authorities, prior to  the  the
24    corporate  authorities' entry (1) demonstrating the ownership
25    or authority to  control  or  manage  the  cemetery  and  (2)
26    declining  the corporate authority authorization to enter the
27    property. In making a cemetery orderly  under  this  Section,
28    the   corporate   authorities  of  a  municipality  may  take
29    necessary measures to correct dangerous conditions that exist
30    in regard to markers, memorials, or other cemetery  artifacts
31    but  may  not  permanently  remove  those  items  from  their
32    location on the cemetery grounds.
33        (d)  In this Section:
34        "Abandoned  cemetery"  means  an  area of land containing
 
                            -7-            LRB9112160STsbam01
 1    more than 6 places of interment  for  which,  after  diligent
 2    search,  no  owner  of  the  land  or  currently  functioning
 3    cemetery   authority  can  be  found  and  (1)  at  which  no
 4    interments have taken place in at least 3 years; or  (2)  for
 5    which  there  has  been inadequate maintenance for at least 6
 6    months.
 7        "Diligent  search"  includes,  but  is  not  limited  to,
 8    publication of a notice in a newspaper of  local  circulation
 9    not  more  than  45  but  at least 30 days prior to entry and
10    cleanup of cemetery grounds by the corporate authorities of a
11    municipality. The notice shall  provide  (1)  notice  of  the
12    corporate  authorities'  intended  entry  and  cleanup of the
13    cemetery; (2) the name, if known, and geographic location  of
14    the  cemetery;  (3)  the  right  of the cemetery authority or
15    owner  of  the  property  to  deny  entry  to  the  corporate
16    authorities upon written notice to the those authorities; and
17    (4) the date or dates of the intended cleanup.
18        "Inadequate maintenance" includes, but is not limited to,
19    the failure to cut the lawn throughout a cemetery to  prevent
20    an  overgrowth of grass and weeds; the failure to trim shrubs
21    to prevent excessive overgrowth; the failure to trim trees so
22    as to remove dead limbs; the failure to keep  in  repair  the
23    drains,  water  lines,  roads,  buildings,  fences, and other
24    structures of the cemetery premises; or the failure  to  keep
25    the cemetery premises free of trash and debris.
26    (Source: Laws 1961, p. 576.)

27        Section  30.  The Illinois Funeral or Burial Funds Act is
28    amended by changing Sections 1a, 1a-1, 2, 2a, 3, 3a, 3e,  3f,
29    4, 7.2, and 8 and by adding Sections 3a-5 and 8.1 as follows:

30        (225 ILCS 45/1a) (from Ch. 111 1/2, par. 73.101a)
31        Sec.  1a.   For  the  purposes of this Act, the following
32    terms shall have the meanings specified, unless  the  context
 
                            -8-            LRB9112160STsbam01
 1    clearly requires another meaning:
 2        "Beneficiary"  means the person specified in the pre-need
 3    contract upon whose death  funeral  services  or  merchandise
 4    shall be provided or delivered.
 5        "Licensee"  means a seller of a pre-need contract who has
 6    been licensed by the Comptroller under this Act.
 7        "Outer burial container"  means  any  container  made  of
 8    concrete,  steel,  wood, fiberglass or similar material, used
 9    solely  at  the  interment  site,  and  designed   and   used
10    exclusively  to  surround or enclose a separate casket and to
11    support the earth above such  casket,  commonly  known  as  a
12    burial  vault,  grave box or grave liner, but not including a
13    lawn crypt as defined in the Illinois Pre-need Cemetery Sales
14    Act.
15        "Parent  company"  means  a  corporation   that   has   a
16    controlling interest in another corporation.
17        "Person"  means  any  person,  partnership,  association,
18    corporation, or other entity.
19        "Pre-need  contract"  means any agreement or contract, or
20    any series or combination of agreements or contracts, whether
21    funded by  trust  deposits  or  life  insurance  policies  or
22    annuities,   which  has  for  a  purpose  the  furnishing  or
23    performance of funeral services or the furnishing or delivery
24    of any personal property, merchandise,  or  services  of  any
25    nature  in  connection  with  the final disposition of a dead
26    human body.  Nothing in this Act is intended to regulate  the
27    content of a life insurance policy or a tax-deferred annuity.
28        "Provider" means a person who is obligated for furnishing
29    or  performing funeral services or the furnishing or delivery
30    of any personal property, merchandise,  or  services  of  any
31    nature  in  connection  with  the final disposition of a dead
32    human body.
33        "Purchaser" means the  person  who  originally  paid  the
34    money under or in connection with a pre-need contract.
 
                            -9-            LRB9112160STsbam01
 1        "Sales  proceeds"  means  the  entire  amount  paid  to a
 2    seller, exclusive of sales taxes paid by the seller,  finance
 3    charges  paid  by the purchaser, and credit life, accident or
 4    disability  insurance  premiums,  upon   any   agreement   or
 5    contract,   or   series   or  combination  of  agreements  or
 6    contracts, for the purpose of performing funeral services  or
 7    furnishing personal property, merchandise, or services of any
 8    nature  in  connection  with  the final disposition of a dead
 9    human body, including, but not limited to, the  retail  price
10    paid for such services and personal property and merchandise.
11        "Purchase  price"  means  the sales proceeds less finance
12    charges on retail installment contracts.
13        "Seller" means the person who sells or offers to sell the
14    pre-need contract to a purchaser, whether funded by  a  trust
15    agreement, life insurance policy, or tax-deferred annuity.
16        "Trustee"  means  a person authorized to hold funds under
17    this Act.
18    (Source: P.A. 88-477.)

19        (225 ILCS 45/1a-1)
20        Sec. 1a-1.  Pre-need contracts.
21        (a)  It shall be unlawful for any seller  doing  business
22    within  this State to accept sales proceeds from a purchaser,
23    either directly or indirectly by any means, unless the seller
24    enters into a pre-need  contract  with  the  purchaser  which
25    meets the following requirements:
26             (1)  It states the name and address of the principal
27        office  of the seller provider, all branch locations, and
28        the parent company of  the  seller,  if  any  or  clearly
29        discloses  that  the  provider  will  be  selected by the
30        purchaser  or   the   purchaser's   survivor   or   legal
31        representative  at  a later date, except that no contract
32        shall contain any provision restricting the right of  the
33        contract  purchaser  during his or her lifetime in making
 
                            -10-           LRB9112160STsbam01
 1        his or her own selection of a provider.
 2             (2)  It clearly identifies the  provider's  seller's
 3        name  and address, the purchaser, and the beneficiary, if
 4        other than the purchaser, and the provider, if  different
 5        than  the  seller  or discloses that the provider will be
 6        selected at a later date.
 7             (3)  It  contains  a  complete  description  of  the
 8        funeral merchandise and services to be provided  and  the
 9        price  of  the  merchandise  and services, and it clearly
10        discloses  whether  the  price  of  the  merchandise  and
11        services is guaranteed or not guaranteed as to price.
12                  (A)  Each  guaranteed  price   contract   shall
13             contain  the  following  statement  in 12 point bold
14             type:
15                  THIS CONTRACT GUARANTEES  THE  BENEFICIARY  THE
16             SPECIFIC  GOODS  AND  SERVICES  CONTRACTED  FOR.  NO
17             ADDITIONAL CHARGES MAY BE REQUIRED.  FOR  DESIGNATED
18             GOODS   AND  SERVICES,  ADDITIONAL  CHARGES  MAY  BE
19             INCURRED FOR UNEXPECTED EXPENSES INCLUDING, BUT  NOT
20             LIMITED  TO, CASH ADVANCES, SHIPPING OF REMAINS FROM
21             A DISTANT PLACE, OR DESIGNATED HONORARIA ORDERED  OR
22             DIRECTED BY SURVIVORS.
23                  (B)  Each  non-guaranteed  price contract shall
24             contain the following statement  in  12  point  bold
25             type:
26                  THIS  CONTRACT DOES NOT GUARANTEE THE PRICE THE
27             BENEFICIARY WILL  PAY  FOR  ANY  SPECIFIC  GOODS  OR
28             SERVICES.   ANY  FUNDS  PAID UNDER THIS CONTRACT ARE
29             ONLY A DEPOSIT TO BE APPLIED TOWARD THE FINAL  PRICE
30             OF THE GOODS OR SERVICES CONTRACTED FOR.  ADDITIONAL
31             CHARGES MAY BE REQUIRED.
32             (4)  It provides that if the particular supplies and
33        services   specified   in   the   pre-need  contract  are
34        unavailable at the time of delivery, the  provider  shall
 
                            -11-           LRB9112160STsbam01
 1        be  required  to furnish supplies and services similar in
 2        style and at least  equal  in  quality  of  material  and
 3        workmanship.
 4             (5)  It  discloses  any  penalties  or restrictions,
 5        including but not limited to geographic  restrictions  or
 6        the  inability  of the provider, if selected, to perform,
 7        on the delivery of  merchandise,  services,  or  pre-need
 8        contract guarantees.
 9             (6)  Regardless   of   the  method  of  funding  the
10        pre-need contract, the following must be disclosed:
11                  (A)  Whether the pre-need  contract  is  to  be
12             funded by a trust, life insurance, or an annuity;
13                  (B)  The  nature  of the relationship among the
14             person entity funding  the  pre-need  contract,  the
15             provider, if selected, and the seller; and
16                  (C)  The impact on the pre-need contract of (i)
17             any changes in the funding arrangement including but
18             not   limited   to   changes   in   the  assignment,
19             beneficiary designation, or use of the  funds;  (ii)
20             any   specific  penalties  to  be  incurred  by  the
21             contract purchaser as a result of  failure  to  make
22             payments;  (iii)  penalties to be incurred or moneys
23             or  refunds  to  be  received   as   a   result   of
24             cancellations;  and  (iv)  all  relevant information
25             concerning what occurs and whether any  entitlements
26             or  obligations  arise  if  there  is  a  difference
27             between  the  proceeds  of  the  particular  funding
28             arrangement  and  the  amount actually needed to pay
29             for the funeral at-need.; and
30                  (D)  The method of changing  or  selecting  the
31             designation of the provider.
32        (b)  All  pre-need  contracts  are subject to the Federal
33    Trade Commission Rule concerning the Cooling-Off  Period  for
34    Door-to-Door Sales (16 CFR Part 429).
 
                            -12-           LRB9112160STsbam01
 1        (c)  No  pre-need  contract  shall  be sold in this State
 2    unless there is a provider  for  the  services  and  personal
 3    property  being  sold,  or unless disclosure has been made by
 4    the seller as provided in subdivision (a)(1).  If the  seller
 5    is  not a provider and a provider has been selected, then the
 6    seller must have a binding agreement with a provider, and the
 7    identity of the provider and  the  nature  of  the  agreement
 8    between the seller and the provider shall be disclosed in the
 9    pre-need  contract  at  the  time  of the sale and before the
10    receipt of any sales proceeds.  Any subsequent change made in
11    the identity of the provider shall be approved in writing  by
12    the purchaser and beneficiary within 30 days after it occurs.
13    The  failure  to  disclose  the identity of the provider, the
14    nature of the agreement between the seller and the  provider,
15    or  any  changes thereto to the purchaser and beneficiary, or
16    the failure to make the disclosures required  in  subdivision
17    (a)(1), constitutes an intentional violation of this Act.
18        (d)  All  pre-need  contracts  must  be  in writing in at
19    least 12 point type, numbered, and executed in duplicate  and
20    no  pre-need contract form shall be used without prior filing
21    with the Comptroller.  A signed copy of the pre-need contract
22    must be provided to the purchaser at the time of  entry.  The
23    Comptroller  shall  review  all  pre-need  contract forms and
24    shall prohibit the use of contract forms which  do  not  meet
25    the requirements of this Act upon written notification to the
26    seller.   Any  use  or  attempted  use  of  any oral pre-need
27    contract or any written pre-need contract in a form not filed
28    with the Comptroller or in a form which  does  not  meet  the
29    requirements  of this Act shall be deemed a violation of this
30    Act and is voidable by the purchaser without  penalty.   Life
31    insurance  policies,  tax-deferred  annuities,  endorsements,
32    riders,  or  applications  for life insurance or tax-deferred
33    annuities are not subject to  filing  with  the  Comptroller.
34    The Comptroller may by rule develop a model pre-need contract
 
                            -13-           LRB9112160STsbam01
 1    form which meets the requirements of this Act.
 2        (e)  The  State  Comptroller  shall  by  rule  develop  a
 3    booklet  for consumers in plain English describing the scope,
 4    application, and consumer protections of this Act.  After the
 5    adoption of these rules,  no pre-need contract shall be  sold
 6    in  this  State  unless  the  seller  (i)  distributes to the
 7    purchaser prior to the sale a booklet promulgated or approved
 8    for use by the State Comptroller and  (ii)  explains  to  the
 9    purchaser  the  terms  of  the pre-need contract prior to the
10    purchaser's signing.
11        (f)  All sales proceeds received  in  connection  with  a
12    pre-need  contract shall be deposited into a trust account as
13    provided in Section 1b and Section 2 of this Act, or shall be
14    used to purchase a  life  insurance  policy  or  tax-deferred
15    annuity as provided in Section 2a of this Act.
16        (g)  No  pre-need  contract  shall  be sold in this State
17    unless it is accompanied by  a  funding  mechanism  permitted
18    under  this  Act,  and  unless  the seller is licensed by the
19    Comptroller as provided in Section 3 of this Act.  Nothing in
20    this Act is intended to relieve sellers of pre-need contracts
21    from being licensed under any other Act  required  for  their
22    profession  or  business,  and  being  subject  to  the rules
23    promulgated  to  regulate  their  profession   or   business,
24    including rules on solicitation and advertisement.
25    (Source: P.A. 90-47, eff. 1-1-98.)

26        (225 ILCS 45/2) (from Ch. 111 1/2, par. 73.102)
27        Sec.  2.  (a)  If a purchaser selects a trust arrangement
28    to  fund  the  pre-need  contract,  all  trust  deposits   as
29    determined  by  Section  1b  shall  be made within 30 days of
30    receipt.
31        (b)  A  trust  established  under  this   Act   must   be
32    maintained:
33             (1)  in  a  trust  account  established  in  a bank,
 
                            -14-           LRB9112160STsbam01
 1        savings and loan association,  savings  bank,  or  credit
 2        union  authorized  to  do  business  in Illinois in which
 3        accounts  are  insured  by  an  agency  of  the   federal
 4        government; or
 5             (2)  in a trust company authorized to do business in
 6        Illinois.
 7        (c)  Trust   agreements   and  amendments  to  the  trust
 8    agreements used to fund a pre-need contract  shall  be  filed
 9    with the Comptroller prior to their use.
10        (d)  Trust  agreements  shall  follow  the  format of the
11    standard Funeral Trust Agreements approved by the Comptroller
12    for guaranteed or non-guaranteed price funeral plans.
13        (e)  A seller or provider shall furnish  to  the  trustee
14    and  depositary  the  name  of  each  payor and the amount of
15    payment on each such account for which deposit  is  being  so
16    made.   Nothing  shall  prevent  the  trustee  or a seller or
17    provider acting as a trustee in accordance with this Act from
18    commingling the deposits in any such trust fund for  purposes
19    of its management and the investment of its funds as provided
20    in  the  Common  Trust Fund Act.  In addition, multiple trust
21    funds  maintained  under  this  Act  may  be  commingled   or
22    commingled  with  other funeral or burial related trust funds
23    if all record keeping requirements imposed by law are met.
24        (f)  Trust  funds  may  be  maintained  in  a   financial
25    institution described in subsection (b) which is located in a
26    state   adjoining   this   State  where:  (1)  the  financial
27    institution is located within 50 miles of the border of  this
28    State, (2) its accounts are federally insured, and (3) it has
29    registered  with the Illinois Secretary of State for purposes
30    of service of process.
31        (g)  Upon notice  to  the  Comptroller,  the  seller  may
32    change the trustee of the fund.
33    (Source: P.A. 88-477.)
 
                            -15-           LRB9112160STsbam01
 1        (225 ILCS 45/2a)
 2        Sec. 2a.  Purchase of insurance or annuity.
 3        (a)  If  a  purchaser  selects  the  purchase  of  a life
 4    insurance policy or tax-deferred annuity contract to fund the
 5    pre-need contract,  the  application  and  collected  premium
 6    shall  be  mailed  within  30  days  of  signing the pre-need
 7    contract.
 8        (b)  If life insurance or an annuity is used  to  fund  a
 9    pre-need  contract, the seller or provider shall not be named
10    as the owner or beneficiary of the  policy  or  annuity.   No
11    person  whose  only  insurable interest in the insured is the
12    receipt of proceeds from the policy or in  naming  who  shall
13    receive  the  proceeds nor any trust acting on behalf of such
14    person or seller or provider  shall  be  named  as  owner  or
15    beneficiary of the policy or annuity.
16        (c)  Nothing    shall   prohibit   the   purchaser   from
17    irrevocably assigning ownership of the policy or annuity used
18    to fund a guaranteed price pre-need contract to a  person  or
19    trust  for  the  purpose of obtaining favorable consideration
20    for Medicaid, Supplemental Security Income, or another public
21    assistance program, as permitted under  federal  law,  except
22    that  neither  the  seller nor the contract provider shall be
23    named the owner of the policy or annuity.
24        (d)  If a life insurance policy or  annuity  contract  is
25    used to fund a pre-need contract, except for guaranteed price
26    contracts permitted in Section 4(a) of this Act, the pre-need
27    contract  must  be revocable, and the assignment provision in
28    the pre-need contract must contain the  following  disclosure
29    in 12 point bold type:
30        THIS  ASSIGNMENT  MAY  BE  REVOKED  BY  THE  ASSIGNOR  OR
31    ASSIGNOR'S  SUCCESSOR OR, IF THE ASSIGNOR IS ALSO THE INSURED
32    AND DECEASED, BY THE REPRESENTATIVE OF THE  INSURED'S  ESTATE
33    BEFORE  THE  RENDERING  TO  THE CEMETERY SERVICES OR GOODS OR
34    FUNERAL SERVICES OR GOODS.  IF THE ASSIGNMENT IS REVOKED, THE
 
                            -16-           LRB9112160STsbam01
 1    DEATH BENEFIT UNDER THE  LIFE  INSURANCE  POLICY  OR  ANNUITY
 2    CONTRACT  SHALL  BE  PAID  IN ACCORDANCE WITH THE BENEFICIARY
 3    DESIGNATION UNDER THE INSURANCE POLICY OR ANNUITY CONTRACT.
 4        (e)  Sales proceeds shall not be used  to  purchase  life
 5    insurance  policies  or  tax-deferred  annuities  unless  the
 6    company  issuing  the life insurance policies or tax-deferred
 7    annuities  is  licensed  with  the  Illinois  Department   of
 8    Insurance,  and  the  insurance producer or annuity seller is
 9    licensed to do business in the State of Illinois.
10        (f) The seller or provider must give  notice  in  writing
11    that  the cash surrender value of a life insurance policy may
12    be less than the amount provided for by the refund provisions
13    of the trust.
14    (Source: P.A. 88-477.)

15        (225 ILCS 45/3) (from Ch. 111 1/2, par. 73.103)
16        Sec. 3.  Licensing.
17        (a)  No  person,  firm,   partnership,   association   or
18    corporation may act as seller without first securing from the
19    State  Comptroller  a license to so act. Application for such
20    license shall be in writing, signed by the applicant and duly
21    verified  on  forms  furnished  by  the   Comptroller.   Each
22    application shall contain at least the following:
23             (1)  The  full  name and address (both residence and
24        place of business) of the applicant,  and  every  member,
25        officer  and director thereof if the applicant is a firm,
26        partnership, association, or corporation,  and  of  every
27        shareholder  holding more than 10% of the corporate stock
28        if the applicant is a  corporation.  Any  license  issued
29        pursuant  to  the  application shall be valid only at the
30        address stated in the application for such  applicant  or
31        at   such   new   address  as  may  be  approved  by  the
32        Comptroller;
33             (2)  A  statement  of  the  applicant's  assets  and
 
                            -17-           LRB9112160STsbam01
 1        liabilities approximate net worth;
 2             (3)  The  name  and  address  of   the   applicant's
 3        principal place of business at which the books, accounts,
 4        and  records  shall  be  available for examination by the
 5        Comptroller as required by this Act;
 6             (4) The  names  and  addresses  of  the  applicant's
 7        branch   locations  at  which  pre-need  sales  shall  be
 8        conducted and which shall operate under the same  license
 9        number as the applicant's principal place of business;
10             (5) For each individual listed under item (1) above,
11        a   detailed   statement  of  the  individual's  business
12        experience for the 10  years  immediately  preceding  the
13        application;  any present or prior connection between the
14        individual and  any  other  person  engaged  in  pre-need
15        sales;  any  felony  or misdemeanor convictions for which
16        fraud was an essential element; any charges or complaints
17        lodged against the individual  for  which  fraud  was  an
18        essential element and which resulted in civil or criminal
19        litigation;  any  failure of the individual to satisfy an
20        enforceable  judgment  entered  against  him  based  upon
21        fraud;  and  any  other  information  requested  by   the
22        Comptroller  relating  to  past business practices of the
23        individual. Since the information required by  this  item
24        (5)   may   be   confidential   or   contain  proprietary
25        information, this information shall not be  available  to
26        other  licensees  or the general public and shall be used
27        only for  the  lawful  purposes  of  the  Comptroller  in
28        enforcing this Act;
29             (6)  The name of the trustee and, if applicable, the
30        names of the advisors to the trustee, including a copy of
31        the proposed trust agreement under which the trust  funds
32        are to be held as required by this Act; and
33             (7)  Such  other  information as the Comptroller may
34        reasonably   require   in   order   to   determine    the
 
                            -18-           LRB9112160STsbam01
 1        qualification  of the applicant to be licensed under this
 2        Act. and (3)
 3        (b)  Applications for license shall be accompanied  by  a
 4    fidelity  bond executed by the applicant and a surety company
 5    authorized to do business in this State  or  an  irrevocable,
 6    unconditional  letter  of  credit  issued  by  a bank, credit
 7    union, or trust company authorized  to  do  business  in  the
 8    State  of  Illinois, as approved by the State Comptroller, in
 9    such amount not exceeding  $10,000  as  the  Comptroller  may
10    require.   Individual  salespersons  employed  by  a licensee
11    shall not be required to obtain licenses in their  individual
12    capacities.   Upon  receipt  of  such application and bond or
13    letter of credit the Comptroller shall issue a license unless
14    he or she shall determine that the applicant has  made  false
15    statements  or  representations  in  such  application, or is
16    insolvent, or has  conducted  or  is  about  to  conduct  his
17    business in a fraudulent manner, or is not duly authorized to
18    transact  business  in this State. Such license shall be kept
19    conspicuously  posted  in  the  place  of  business  of   the
20    licensee. If, after notice and an opportunity to be heard, it
21    has  been  determined  that  a licensee has violated this Act
22    within the past 5 calendar years, or if a licensee  does  not
23    retain  a  corporate  fiduciary,  as defined in the Corporate
24    Fiduciary Act, to manage the funds in trust pursuant to  this
25    Act, the Comptroller may require an additional bond or letter
26    of  credit  from  the  licensee  from time to time in amounts
27    equal to one-tenth of such trust funds, which bond or  letter
28    of  credit  shall  run  to  the  Comptroller  for the use and
29    benefit of the beneficiaries of such trust funds.
30        The licensee shall  keep  accurate  accounts,  books  and
31    records  in  this  State,  at the principal place of business
32    identified  in  the  licensee's  license  application  or  as
33    otherwise approved by the  Comptroller  in  writing,  of  all
34    transactions,   copies   of  all  pre-need  contracts,  trust
 
                            -19-           LRB9112160STsbam01
 1    agreements,  and  other  agreements,  dates  and  amounts  of
 2    payments made and accepted thereon, the names  and  addresses
 3    of  the  contracting  parties,  the persons for whose benefit
 4    such funds are accepted, and the names of the depositaries of
 5    such funds. Each licensee shall  maintain  the  documentation
 6    for  a period of 3 years after the licensee has fulfilled his
 7    obligations under the pre-need contract.  Additionally, for a
 8    period not to exceed 6 months after the  performance  of  all
 9    terms  in  a  pre-need  sales  contract,  the  licensee shall
10    maintain copies  of  the  contract  at  the  licensee  branch
11    location  where  the  contract  was entered.  If an insurance
12    policy or tax-deferred annuity is used to fund  the  pre-need
13    contract, the licensee under this Act shall keep and maintain
14    accurate  accounts,  books, and records in this State, at the
15    principal place of  business  identified  in  the  licensee's
16    application  or  as  otherwise approved by the Comptroller in
17    writing, of all insurance policies and tax-deferred annuities
18    used to fund the pre-need contract, the name and  address  of
19    insured, annuitant, and initial beneficiary, and the name and
20    address  of  the  insurance  company  issuing  the  policy or
21    annuity.  If a life insurance policy or tax-deferred  annuity
22    is  used  to  fund  a  pre-need  contract, the licensee shall
23    notify the insurance company of the  name  of  each  pre-need
24    contract  purchaser  and  the amount of each payment when the
25    pre-need contract, insurance policy or annuity is purchased.
26        The  licensee  shall  make  reports  to  the  Comptroller
27    annually or  at  such  other  time  as  the  Comptroller  may
28    require,  on forms furnished by the Comptroller. The licensee
29    shall file the annual report with the Comptroller  within  75
30    days  after  the  end  of  the  licensee's  fiscal  year. The
31    Comptroller shall for good cause shown grant an extension for
32    the filing of the annual report upon the written  request  of
33    the  licensee. Such extension shall not exceed 60 days.  If a
34    licensee fails to submit an annual report to the  Comptroller
 
                            -20-           LRB9112160STsbam01
 1    within  the  time  specified in this Section, the Comptroller
 2    shall impose upon the licensee a penalty of $5 for  each  and
 3    every  day  the licensee remains delinquent in submitting the
 4    annual report. Every application shall be  accompanied  by  a
 5    check  or  money  order in the amount of $25 and every report
 6    shall be accompanied by a check or money order in the  amount
 7    of $10 payable to:  Comptroller, State of Illinois.
 8        The  licensee  shall  make all required books and records
 9    pertaining   to   trust   funds,   insurance   policies,   or
10    tax-deferred  annuities  available  to  the  Comptroller  for
11    examination. The Comptroller, or a person designated  by  the
12    Comptroller  who is trained to perform such examinations, may
13    at any time investigate the books, records  and  accounts  of
14    the licensee with respect to trust funds, insurance policies,
15    or  tax-deferred  annuities  and for that purpose may require
16    the attendance of and examine under oath  all  persons  whose
17    testimony  he  may  require. The licensee shall pay a fee for
18    such examination in accordance with a schedule established by
19    the Comptroller.  The fee shall not exceed the cost  of  such
20    examination.   For   pre-need   contracts   funded  by  trust
21    arrangements, the cost of an  initial  examination  shall  be
22    borne  by  the  licensee  if  it has $10,000 or more in trust
23    funds, otherwise, by the Comptroller.  The charge made by the
24    Comptroller for an examination shall be based upon the  total
25    amount  of trust funds held by the licensee at the end of the
26    calendar or fiscal year for which the report is  required  by
27    this  Act  and  shall  be  in  accordance  with the following
28    schedule:
29    Less than $10,000..................................no charge;
30    $10,000 or more but less than $50,000....................$10;
31    $50,000 or more but less than $100,000...................$40;
32    $100,000 or more but less than $250,000..................$80;
33    $250,000 or more........................................$100.
34        The  Comptroller   may   order   additional   audits   or
 
                            -21-           LRB9112160STsbam01
 1    examinations  as he or she may deem necessary or advisable to
 2    ensure the safety and stability of the  trust  funds  and  to
 3    ensure  compliance with this Act.  These additional audits or
 4    examinations  shall  only  be  made  after  good   cause   is
 5    established  by  the  Comptroller  in the written order.  The
 6    grounds for ordering these additional audits or  examinations
 7    may include, but shall not be limited to:
 8             (1)  material and unverified changes or fluctuations
 9        in trust balances or insurance or annuity policy amounts;
10             (2)  the  licensee changing trustees more than twice
11        in any 12-month period;
12             (3)  any withdrawals or attempted  withdrawals  from
13        the  trusts,  insurance policies, or annuity contracts in
14        violation of this Act; or
15             (4)  failure to maintain  or  produce  documentation
16        required  by  this  Act for deposits into trust accounts,
17        trust investment activities, or life insurance or annuity
18        policies.
19        Prior to ordering an additional audit or examination, the
20    Comptroller shall request the licensee to respond and comment
21    upon the factors identified by the Comptroller as  warranting
22    the subsequent examination or audit.  The licensee shall have
23    30  days  to  provide  a response to the Comptroller.  If the
24    Comptroller  decides   to   proceed   with   the   additional
25    examination  or  audit, the licensee shall bear the full cost
26    of that examination or audit, up to a maximum of $7,500.  The
27    Comptroller may elect to pay for the examination or audit and
28    receive reimbursement from  the  licensee.   Payment  of  the
29    costs  of  the  examination or audit by a licensee shall be a
30    condition of receiving, maintaining, or  renewing  a  license
31    under  this  Act.  All moneys received by the Comptroller for
32    examination or audit fees shall be maintained in  a  separate
33    account to be known as the Comptroller's Administrative Fund.
34    This  Fund, subject to appropriation by the General Assembly,
 
                            -22-           LRB9112160STsbam01
 1    may be utilized by the Comptroller for enforcing this Act and
 2    other purposes that may be authorized by law.
 3        For pre-need contracts funded  by  life  insurance  or  a
 4    tax-deferred  annuity,  the  cost  of an examination shall be
 5    borne by the licensee if it has received $10,000 or  more  in
 6    premiums during the preceding calendar year. The fee schedule
 7    for   such   examination   shall   be  established  in  rules
 8    promulgated  by  the   Comptroller.   In   the   event   such
 9    investigation   or   other   information   received   by  the
10    Comptroller  discloses  a  substantial   violation   of   the
11    requirements  of  this  Act, the Comptroller shall revoke the
12    license of such person upon a hearing  as  provided  in  this
13    Act.  Such  licensee may terminate all further responsibility
14    for  compliance  with  the  requirements  of  this   Act   by
15    voluntarily  surrendering  the license to the Comptroller, or
16    in the event of its loss, furnishing the Comptroller  with  a
17    sworn  statement  to that effect, which states the licensee's
18    intention to discontinue acceptance of funds  received  under
19    pre-need   contracts.  Such  license  or  statement  must  be
20    accompanied by an affidavit that said licensee  has  lawfully
21    expended  or  refunded  all  funds  received  under  pre-need
22    contracts,  and  that  the licensee will accept no additional
23    sales proceeds. The Comptroller shall immediately  cancel  or
24    revoke said license.
25    (Source: P.A. 88-477; 89-615, eff. 8-9-96.)

26        (225 ILCS 45/3a) (from Ch. 111 1/2, par. 73.103a)
27        Sec. 3a.  Denial, suspension, or revocation of license.
28        (a)  The  Comptroller  may refuse to issue or may suspend
29    or revoke a license on any of the following grounds:
30             (1)  The  applicant  or  licensee   has   made   any
31        misrepresentations  or  false statements or concealed any
32        material fact.
33             (2)  The applicant or licensee is insolvent.
 
                            -23-           LRB9112160STsbam01
 1             (3)  The applicant or licensee has been  engaged  in
 2        business practices that work a fraud.
 3             (4)  The  applicant  or licensee has refused to give
 4        pertinent data to the Comptroller.
 5             (5)  The applicant or licensee has failed to satisfy
 6        any enforceable judgment or decree rendered by any  court
 7        of competent jurisdiction against the applicant.
 8             (6)  The  applicant  or licensee has conducted or is
 9        about to conduct business in a fraudulent manner.
10             (7)  The trustee advisors or the trust agreement  is
11        not satisfactory to the Comptroller.
12             (8)  The  fidelity  bond  is not satisfactory to the
13        Comptroller.
14             (9)  As  to  any  individual,  the  individual   has
15        conducted  or  is about to conduct any business on behalf
16        of  the  applicant  in  a  fraudulent  manner;  has  been
17        convicted of any  felony  or  misdemeanor,  an  essential
18        element  of  which  is fraud; has had a judgment rendered
19        against  him  or  her  based  on  fraud  in   any   civil
20        litigation;   has   failed  to  satisfy  any  enforceable
21        judgment or decree rendered against him  or  her  by  any
22        court of competent jurisdiction; or has been convicted of
23        any felony or any theft-related offense.
24             (10)  The   applicant  or  licensee,  including  any
25        member, officer, or director thereof if the applicant  or
26        licensee   is   a   firm,   partnership,  association  or
27        corporation and any shareholder holding more than 10%  of
28        the  corporate  stock, has violated any provision of this
29        Act or any regulation, decision, order, or  finding  made
30        by the Comptroller under this Act.
31             (11)  The  Comptroller  finds  any fact or condition
32        existing which, if it had existed  at  the  time  of  the
33        original   application   for  such  license,  would  have
34        warranted the Comptroller in refusing the issuance of the
 
                            -24-           LRB9112160STsbam01
 1        license.
 2        (b)  Before  refusal  to  issue  or  renew   and   before
 3    suspension  or revocation of a license, the Comptroller shall
 4    hold  a  hearing  to  determine  whether  the  applicant   or
 5    licensee,  hereinafter  referred  to  as  the  respondent, is
 6    entitled to hold such a license.  At  least 10 days prior  to
 7    the  date  set for such hearing, the Comptroller shall notify
 8    the respondent in writing  that  on  the  date  designated  a
 9    hearing  will  be  held  to  determine  his eligibility for a
10    license and that he may appear in person or by counsel.  Such
11    written notice may be served on the respondent personally, or
12    by registered or certified  mail  sent  to  the  respondent's
13    business  address  as shown in his latest notification to the
14    Comptroller.  At the hearing, both  the  respondent  and  the
15    complainant shall be accorded ample opportunity to present in
16    person or by counsel such statements, testimony, evidence and
17    argument as may be pertinent to the charges or to any defense
18    thereto.    The  Comptroller  may  reasonably  continue  such
19    hearing from time to time.
20        The Comptroller may subpoena any  person  or  persons  in
21    this  State  and  take  testimony orally, by deposition or by
22    exhibit, in the same  manner  and  with  the  same  fees  and
23    mileage  allowances  as prescribed in judicial proceedings in
24    civil cases.
25        Any authorized agent of the  Comptroller  may  administer
26    oaths  to  witnesses  at any hearing which the Comptroller is
27    authorized to conduct.
28    (Source: P.A. 84-839.)

29        (225 ILCS 45/3a-5 new)
30        Section 3a-5.  License requirements.
31        (a)  Every license issued by the Comptroller shall  state
32    the  number  of the license, the business name and address of
33    the licensee's  principal  place  of  business,  each  branch
 
                            -25-           LRB9112160STsbam01
 1    location also operating under the license, and the licensee's
 2    parent  company,  if any.  The license shall be conspicuously
 3    posted in each place of business operating under the license.
 4    The Comptroller may issue such additional licenses as may  be
 5    necessary  for licensee branch locations upon compliance with
 6    the provisions of this Act governing an original issuance  of
 7    a license for each new license.
 8        (b)  Individual   salespersons  representing  a  licensee
 9    shall not be required to obtain licenses in their  individual
10    capacities,  but  must  acknowledge,  by affidavit, that they
11    have  been  educated  in  the  provisions  of  this  Act  and
12    understand the penalties for failure to comply.  The licensee
13    shall retain copies of the affidavits of its sellers for  its
14    records  and  shall  make  the  affidavits  available  to the
15    Comptroller for examination upon request.
16        (c) The licensee shall be responsible for the  activities
17    of  any  person  representing  the  licensee  in  selling  or
18    offering a pre-need contract for sale.
19        (d)  Any person not selling on behalf of a licensee shall
20    obtain its own license.
21        (e)  No  license  shall  be  transferable  or  assignable
22    without the express written consent of  the  Comptroller.   A
23    transfer  of  more  than 50% of the ownership of any business
24    licensed  hereunder  shall  be  deemed  to  be  an  attempted
25    assignment of the license originally issued to  the  licensee
26    for which consent of the Comptroller shall be required.
27        (f)  Every license issued hereunder shall remain in force
28    until it has  been  suspended,  surrendered,  or  revoked  in
29    accordance  with  this Act. The Comptroller, upon the request
30    of an interested person or on his own motion, may  issue  new
31    licenses  to  a  licensee whose license or licenses have been
32    revoked, if no factor or condition then  exists  which  would
33    have  warranted  the  Comptroller  to  originally  refuse the
34    issuance of such license.
 
                            -26-           LRB9112160STsbam01
 1        (225 ILCS 45/3e) (from Ch. 111 1/2, par. 73.103e)
 2        Sec. 3e.  Upon  the  revocation  of,  suspension  of,  or
 3    refusal  to renew any license, the licensee shall immediately
 4    surrender the license  or  licenses  and  any  branch  office
 5    licenses to the Comptroller.  If the licensee fails to do so,
 6    the Comptroller shall have the right to seize the same.
 7    (Source: P.A. 84-839.)

 8        (225 ILCS 45/3f)
 9        Sec. 3f.  Revocation of license.
10        (a)  The  Comptroller,  upon  determination  that grounds
11    exist for the revocation or suspension of  a  license  issued
12    under this Act, may revoke or suspend the license issued to a
13    particular  branch  office location with respect to which the
14    grounds for revocation or suspension may occur  or  exist  or
15    the Comptroller may revoke or suspend as many of the licenses
16    issued  to  the  licensee as may be determined appropriate by
17    the Comptroller.
18        (b)  Whenever a license is revoked by the Comptroller, he
19    or she shall apply to the Circuit Court of the county wherein
20    the licensee is located for  a  receiver  to  administer  the
21    trust funds of the licensee or to maintain the life insurance
22    policies  and  tax-deferred  annuities  held  by the licensee
23    under a pre-need contract.
24    (Source: P.A. 88-477.)

25        (225 ILCS 45/4) (from Ch. 111 1/2, par. 73.104)
26        Sec. 4. Withdrawal of funds; revocability of contract.
27        (a)  The amount or amounts so deposited into trust,  with
28    interest  thereon,  if  any, shall not be withdrawn until the
29    death of the person or persons for whose  funeral  or  burial
30    such  funds  were paid, unless sooner withdrawn and repaid to
31    the  person  who  originally  paid  the  money  under  or  in
32    connection with the pre-need contract or to his or her  legal
 
                            -27-           LRB9112160STsbam01
 1    representative.   The life insurance policies or tax-deferred
 2    annuities shall not be surrendered until  the  death  of  the
 3    person or persons for whose funeral or burial the policies or
 4    annuities  were  purchased,  unless  sooner  surrendered  and
 5    repaid  to  the  owner  of  the  policy purchased under or in
 6    connection with the pre-need contract or to his or her  legal
 7    representative.   If,  however,  the  agreement  or series of
 8    agreements provides for forfeiture and retention  of  any  or
 9    all  payments  as  and  for liquidated damages as provided in
10    Section 6, then the trustee may  withdraw  the  deposits.  In
11    addition, nothing in this Section (i) prohibits the change of
12    depositary  by  the  trustee  and the transfer of trust funds
13    from one depositary to another or (ii) prohibits  a  contract
14    purchaser who is or may become eligible for public assistance
15    under  any applicable federal or State law or local ordinance
16    including, but not limited to, eligibility under  24  C.F.R.,
17    Part  913  relating to family insurance under federal Housing
18    and Urban Development Policy  from  irrevocably  waiving,  in
19    writing,  and  renouncing  the  right  to  cancel  a pre-need
20    contract for funeral services in an amount prescribed by rule
21    of the Illinois Department of Public Aid. No guaranteed price
22    pre-need funeral  contract  may  prohibit  a  purchaser  from
23    making  a contract irrevocable to the extent that federal law
24    or regulations require that such a  contract  be  irrevocable
25    for  purposes of the purchaser's eligibility for Supplemental
26    Security  Income  benefits,  Medicaid,  or   another   public
27    assistance program, as permitted under federal law.
28        (b)  If  for  any  reason  a  seller  or provider who has
29    engaged in pre-need sales has refused, cannot,  or  does  not
30    comply  with  the  terms  of  the  pre-need contract within a
31    reasonable time after he or she is required  to  do  so,  the
32    purchaser  or  his or her heirs or assigns or duly authorized
33    representative shall have the right to a refund of an  amount
34    equal  to  the  sales  proceeds  price  paid  for undelivered
 
                            -28-           LRB9112160STsbam01
 1    merchandise or services plus otherwise  earned  undistributed
 2    interest  amounts held in trust attributable to the contract,
 3    within 30 days of the filing of a sworn  affidavit  with  the
 4    trustee  setting  forth the existence of the contract and the
 5    fact of breach.  A copy of this affidavit shall be filed with
 6    the Comptroller and the seller.  In the  event  a  seller  is
 7    prevented  from  performing by strike, shortage of materials,
 8    civil disorder, natural  disaster,  or  any  like  occurrence
 9    beyond  the  control of the seller or provider, the seller or
10    provider's time for performance  shall  be  extended  by  the
11    length  of  the delay.  Nothing in this Section shall relieve
12    the seller or provider from any liability for non-performance
13    of his or her obligations under the pre-need contract.
14        (c)  At any time prior to the performance of a service or
15    delivery of merchandise under a pre-need contract After final
16    payment on a pre-need  contract,  any  purchaser,  its  legal
17    representative,  or  all  beneficiaries  under  the  pre-need
18    contract  may, upon signed written demand to a seller, demand
19    that the pre-need contract with  the  seller  be  terminated.
20    The  seller  shall,  within 30 days, initiate a refund to the
21    purchaser, its legal  representative,  or  all  beneficiaries
22    under the pre-need contract in an amount as follows:
23             (1)   100%   of   the   sales   proceeds,  including
24        undistributed interest earned thereon, if the  purchaser,
25        its  legal  representative,  or  all beneficiaries demand
26        termination of the pre-need contract within  30  days  of
27        the date of entry into the pre-need contract; or
28             (2)  of the entire amount held in trust attributable
29        to  undelivered  merchandise  and  unperformed  services,
30        including otherwise earned undistributed interest  earned
31        thereon,  if  the purchaser, its legal representative, or
32        all beneficiaries  demand  termination  of  the  pre-need
33        contract  more  than 30 days after the date of entry into
34        the pre-need contract; or
 
                            -29-           LRB9112160STsbam01
 1             (3) the cash surrender value  of  a  life  insurance
 2        policy or tax deferred annuity.
 3        (d)  If  no  funeral merchandise or services are provided
 4    or if the funeral is conducted by another person, the  seller
 5    may  keep  no  more  than  10% of the payments made under the
 6    pre-need contract  or  $300,  whichever  sum  is  less.   The
 7    remainder of the trust funds or insurance or annuity proceeds
 8    shall  be  forwarded to the legal heirs of the deceased or as
 9    determined by probate action.
10        (d)  The placement and retention of all or a portion of a
11    casket,  combination  casket-vault,  urn,  or  outer   burial
12    container  comprised  of  materials  which  are  designed  to
13    withstand  prolonged  storage in the manner set forth in this
14    paragraph  without   adversely   affecting   the   structural
15    integrity or aesthetic characteristics of such merchandise in
16    a  specific  burial  space in which the person or persons for
17    whose funeral or burial the merchandise was  intended  has  a
18    right  of interment, or the placement of the merchandise in a
19    specific mausoleum crypt or lawn crypt in which  such  person
20    has   a   right  of  entombment,  or  the  placement  of  the
21    merchandise in a specific niche in which such  person  has  a
22    right  of inurnment, or delivery to such person and retention
23    by such person until the time of need shall constitute actual
24    delivery to the person who originally paid the money under or
25    in connection with said agreement or  series  of  agreements.
26    Actual  delivery  shall eliminate, from and after the date of
27    actual delivery, any requirement under this Act to  place  or
28    retain  in  trust  any  funds  received  for the sale of such
29    merchandise.  The delivery, prior to the time of need, of any
30    funeral or  burial  merchandise  in  any  manner  other  than
31    authorized  by  this  Section  shall  not  constitute  actual
32    delivery  and  shall not eliminate any requirement under this
33    Act to place or retain in trust any funds  received  for  the
34    sale of such merchandise.
 
                            -30-           LRB9112160STsbam01
 1    (Source: P.A. 87-1091; 88-477.)

 2        (225 ILCS 45/7.2)
 3        Sec.  7.2.   Investigation  of unlawful practices.  If it
 4    appears to the Comptroller that a person has engaged  in,  is
 5    engaging  in,  or  is  about  to  engage  in  any practice in
 6    violation of  declared  to  be  unlawful  by  this  Act,  the
 7    Comptroller may:
 8             (1)  require  that  person  to file on such terms as
 9        the Comptroller  prescribes  a  statement  or  report  in
10        writing,   under   oath   or  otherwise,  containing  all
11        information the Comptroller  may  consider  necessary  to
12        ascertain  whether  a licensee is in compliance with this
13        Act, or whether  an  unlicensed  person  is  engaging  in
14        activities for which a license is required;
15             (2)  examine  under  oath  any  person in connection
16        with the books and records pertaining  to  or  having  an
17        impact  upon  trust  funds,  insurance  policies,  or tax
18        deferred annuities required or allowed to  be  maintained
19        pursuant to this Act;
20             (3)  examine  any books and records of the licensee,
21        trustee, or investment advisor that the  Comptroller  may
22        consider necessary to ascertain compliance with this Act;
23        and
24             (4)  require the production of a copy of any record,
25        book,  document,  account,  or  paper that is produced in
26        accordance with this Act and retain  it  in  his  or  her
27        possession  until  the  completion  of all proceedings in
28        connection with which it is produced.
29    (Source: P.A. 89-615, eff. 8-9-96.)

30        (225 ILCS 45/8) (from Ch. 111 1/2, par. 73.108)
31        Sec.  8.  Any  person  who  intentionally  violates   any
32    provision of this Act is guilty of a Class 4 felony.
 
                            -31-           LRB9112160STsbam01
 1        If any person intentionally violates this Act or fails or
 2    refuses  to  comply  with any order of the Comptroller or any
 3    part of an order that has become final to the person  and  is
 4    still  in  effect,  the  Comptroller  may,  after  notice and
 5    hearing at which it is determined that a  violation  of  this
 6    Act  or  the order has been committed, further order that the
 7    person shall forfeit and pay to the State of Illinois  a  sum
 8    not  to  exceed  $10,000  $5,000  for  each  violation.  This
 9    liability shall be enforced in an action brought in any court
10    of competent jurisdiction by the Comptroller in the  name  of
11    the People of the State of Illinois.
12        Any  person  that  violates  any provision of this Act or
13    fails to comply with an order of  the  Comptroller  shall  be
14    liable  for  a  civil  penalty  not to exceed $10,000 for the
15    violation and an additional civil penalty of  not  to  exceed
16    $1,000 for each day during which the violation continues. The
17    civil penalties provided for in this Section may be recovered
18    in  a  civil  action.  These penalties are in addition to any
19    penalties that may be issued under  the  Consumer  Fraud  and
20    Deceptive  Business  Practices  Act for knowing violations of
21    this Act.
22        Any violation of  this  Act  for  which  a  fine  may  be
23    assessed  shall  be  established  by rules promulgated by the
24    Comptroller.
25        In addition to the other penalties and remedies  provided
26    in  this Act, the Comptroller may bring a civil action in the
27    county of residence of the licensee or any  person  accepting
28    trust  funds  to enjoin any violation or threatened violation
29    of this Act.
30        The powers vested in the Comptroller by this Section  are
31    in  addition  to any and all other powers and remedies vested
32    in the Comptroller by law.
33    (Source: P.A. 88-477.)
 
                            -32-           LRB9112160STsbam01
 1        (225 ILCS 45/8.1 new)
 2        Sec. 8.1.  Sales; liability of purchaser for shortage. In
 3    the event of a sale or transfer of all or  substantially  all
 4    of  the  assets  of the licensee, the sale or transfer of the
 5    controlling interest of the corporate stock of  the  licensee
 6    if the licensee is a corporation, the sale or transfer of the
 7    controlling  interest of the partnership if the licensee is a
 8    partnership,  or  the  sale  of  the  licensee  pursuant   to
 9    foreclosure  proceedings,  the  purchaser  is  liable for any
10    shortages existing before or after  the  sale  in  the  trust
11    funds  required  to be maintained in a trust pursuant to this
12    Act and shall honor all pre-need contracts and trusts entered
13    into by the licensee. Any shortages  existing  in  the  trust
14    funds  constitute  a prior lien in favor of the trust for the
15    total value of the shortages, and notice of that  lien  shall
16    be provided in all sales instruments.
17        In   the   event   of  a  sale  or  transfer  of  all  or
18    substantially all of the assets of the licensee, the sale  or
19    transfer  of  the controlling interest of the corporate stock
20    of the licensee if the licensee is a corporation, or the sale
21    or transfer of the controlling interest of the partnership if
22    the licensee is a partnership, the licensee shall,  at  least
23    21   days   prior   to  the  sale  or  transfer,  notify  the
24    Comptroller, in writing, of  the  pending  date  of  sale  or
25    transfer  so  as to permit the Comptroller to audit the books
26    and records of the licensee.  The  audit  must  be  commenced
27    within  10  business  days of the receipt of the notification
28    and completed within the 21-day  notification  period  unless
29    the Comptroller notifies the licensee during that period that
30    there  is  a  basis  for  determining a deficiency which will
31    require additional time to finalize.  The  sale  or  transfer
32    may not be completed by the licensee unless and until:
33             (i)  the  Comptroller has completed the audit of the
34        licensee's books and records;
 
                            -33-           LRB9112160STsbam01
 1             (ii) any delinquency existing in the trust funds has
 2        been paid by the licensee, or  arrangements  satisfactory
 3        to  the Comptroller have been made by the licensee on the
 4        sale or transfer for the payment of any delinquency; and
 5             (iii)  the  Comptroller  issues   a   license   upon
 6        application  of  the  new  owner,  which  license must be
 7        applied for within 30 days of the anticipated date of the
 8        sale  or  transfer,  subject  to  the  payment   of   any
 9        delinquencies, if any, as stated in item (ii).
10        For   purposes   of   this   Section,   a  person,  firm,
11    corporation, partnership, or institution  that  acquires  the
12    licensee  through  a real estate foreclosure shall be subject
13    to the provisions of this Section. The sale  or  transfer  of
14    the controlling interest of a licensee to an immediate family
15    member  is  not  subject  to  the license application process
16    required in item (iii) of this Section.

17        Section 32.  The Illinois Public Aid Code is  amended  by
18    changing Section 12-4.11 as follows:

19        (305 ILCS 5/12-4.11) (from Ch. 23, par. 12-4.11)
20        Sec.  12-4.11.  Grant amounts.   The Department, with due
21    regard  for  and  subject  to  budgetary  limitations,  shall
22    establish  grant  amounts  for  each  of  the  programs,   by
23    regulation.   The  grant amounts may vary by program, size of
24    assistance unit and geographic area.
25        Aid payments shall not be reduced except: (1) for changes
26    in the cost of items included in the grant  amounts,  or  (2)
27    for  changes  in  the  expenses  of the recipient, or (3) for
28    changes  in  the  income  or  resources  available   to   the
29    recipient,  or  (4)  for  changes  in  grants  resulting from
30    adoption of a consolidated grant amount.
31        In fixing standards to govern payments or  reimbursements
32    for  funeral  and  burial expenses, the Department shall take
 
                            -34-           LRB9112160STsbam01
 1    into account the services essential to a dignified,  low-cost
 2    funeral  and burial, including reasonable amounts that may be
 3    necessary for burial space  and  cemetery  charges,  and  any
 4    applicable  taxes  or  other  required  governmental  fees or
 5    charges.
 6        For the fiscal year beginning July 1,  2000,  no  payment
 7    may be provided for funeral services in excess of $850 and no
 8    payment  may  be provided for cemetery burial costs in excess
 9    of $425. For the fiscal year  beginning  July  1,  2001,  and
10    thereafter,  no  payment may be provided for funeral services
11    in excess of $1,000  and  no  payment  may  be  provided  for
12    cemetery burial costs in excess of $500.
13        Nothing contained in this Section or in any other Section
14    of  this  Code  shall  be  construed to prohibit the Illinois
15    Department (1) from consolidating existing standards  on  the
16    basis  of  any  standards  which are or were in effect on, or
17    subsequent to  July  1,  1969,  or  (2)  from  employing  any
18    consolidated standards in determining need for public aid and
19    the   amount   of  money  payment  or  grant  for  individual
20    recipients or recipient families.
21    (Source:  P.A.  90-17,  eff.  7-1-97;  90-326,  eff.  8-8-97;
22    90-372,  eff.  7-1-98;  90-655,  eff.  7-30-98;  91-24,  eff.
23    7-1-99.)

24        Section 35. The Cemetery Care Act is amended by  changing
25    Sections  2a,  4,  8,  9,  10,  11,  11.1, 13, 15b, and 24 as
26    follows:

27        (760 ILCS 100/2a) (from Ch. 21, par. 64.2a)
28        Sec. 2a.  Powers  and  duties  of  cemetery  authorities;
29    cemetery property maintained by cemetery care funds.
30        (a)  With  respect  to  cemetery  property  maintained by
31    cemetery  care  funds,  a  cemetery  authority  is  shall  be
32    responsible for the performance of:
 
                            -35-           LRB9112160STsbam01
 1             (1) (a)  the care and maintenance  of  the  cemetery
 2        property it owns; and
 3             (2)  (b)  the  opening  and  closing  of all graves,
 4        crypts, or niches  for  human  remains  in  any  cemetery
 5        property it owns.
 6        (b)  A  cemetery authority owning, operating, controlling
 7    or managing  a  privately  operated  cemetery  shall  provide
 8    reasonable  maintenance  of  the cemetery property and of the
 9    lots, graves,  crypts,  and  columbariums  in  the  cemetery.
10    Reasonable maintenance includes, but is not limited to:
11             (1)  the  laying  of  seed,  sod,  or other suitable
12        ground  cover  as  soon  as  practicable   following   an
13        interment  given the weather conditions, climate, season,
14        and the interment's proximity to ongoing burial activity;
15             (2) the cutting of the lawn throughout the  cemetery
16        at reasonable intervals to prevent an overgrowth of grass
17        and weeds;
18             (3)  the  trimming  of  shrubs  to prevent excessive
19        overgrowth;
20             (4) the trimming of trees to remove dead limbs;
21             (5) keeping  in  repair  the  drains,  water  lines,
22        roads, buildings, fences, and other structures; and
23             (6)  keeping the cemetery premises free of trash and
24        debris.
25        Reasonable maintenance by the  cemetery  authority  shall
26    not  preclude the exercise of lawful rights by an owner of an
27    interment, inurnment, or entombment  right,  or  the  owner's
28    family and heirs, in accordance with the reasonable rules and
29    regulations  of  the  cemetery  or  other  agreement  of  the
30    cemetery authority.
31        (c)  A  cemetery authority owning, operating, controlling
32    or managing a privately operated cemetery shall conspicuously
33    post in each of its offices its rules, regulations,  charges,
34    and prices of lots, plots or parts thereof.
 
                            -36-           LRB9112160STsbam01
 1        (d)  A  cemetery authority owning, operating, controlling
 2    or managing a privately operated cemetery shall, from time to
 3    time as land in its  cemetery  may  be  required  for  burial
 4    purposes,  survey and subdivide those lands and make and file
 5    in its office a map thereof delineating the  lots  or  plots,
 6    avenues,  paths,  alleys,  and  walks  and  their  respective
 7    designations.   The  map  shall be open to public inspection.
 8    The cemetery authority shall make available a  true  copy  of
 9    the  map  upon  written  request  and  payment  of reasonable
10    photocopy fees. Any unsold lots, plots or parts  thereof,  in
11    which  there  are  not  human  remains, may be resurveyed and
12    altered in shape or size, and  properly  designated  on  such
13    map.   Nothing  contained  in this subsection, however, shall
14    prevent the cemetery authority from  enlarging  an  interment
15    right  by  selling to the owner thereof the excess space next
16    to such interment right and  permitting  interments  therein,
17    provided  reasonable  access  to  such interment right and to
18    adjoining interment rights is not thereby eliminated.
19        (e) A cemetery authority owning, operating,  controlling,
20    or managing a privately operated cemetery shall keep a record
21    of   every   interment,  entombment,  and  inurnment  in  the
22    cemetery.  The record shall include the deceased's name, age,
23    and  date  of  burial,  when   these   particulars   can   be
24    conveniently  obtained,  and  the lot, plot, or section where
25    the human remains are interred,  entombed,  or  inurned.  The
26    record  shall  be  open  to  public  inspection. The cemetery
27    authority shall make available a true copy of the record upon
28    written request and payment of reasonable copy costs.
29        (f) A cemetery authority owning, operating,  controlling,
30    or  managing  a  privately  operated  cemetery  shall provide
31    access  to  the  cemetery  under  the  cemetery   authority's
32    reasonable rules and regulations.
33    (Source: P.A. 87-747.)
 
                            -37-           LRB9112160STsbam01
 1        (760 ILCS 100/4) (from Ch. 21, par. 64.4)
 2        Sec.  4.  Care funds; deposits; investments.   Whenever a
 3    cemetery authority owning, operating, controlling or managing
 4    a privately operated cemetery accepts care funds,  either  in
 5    connection  with  the sale or giving away at an imputed value
 6    of an interment right, entombment right or  inurnment  right,
 7    or  in  pursuance  of a contract, or whenever, as a condition
 8    precedent to the  purchase  or  acceptance  of  an  interment
 9    right,  entombment  right  or  inurnment right, such cemetery
10    authority requires the establishment of  a  care  fund  or  a
11    deposit  in an already existing care fund, then such cemetery
12    authority shall execute and deliver to the person  from  whom
13    received  an  instrument  in writing which shall specifically
14    state: (a) the nature and extent of the care to be furnished,
15    and (b) that such care shall be furnished only in so  far  as
16    the  net  income  derived  from the amount deposited in trust
17    will permit (the income from the amount  so  deposited,  less
18    necessary  expenditures  of administering the trust, shall be
19    deemed the net income),  and  (c)  that  not  less  than  the
20    following amounts will be set aside and deposited in trust:
21             1.  For  interment rights, $1 per square foot of the
22        space sold or 15% of the sales price  or  imputed  value,
23        whichever  is the greater, with a minimum of $25 for each
24        individual interment right.
25             2.  For entombment rights, not less than 10% of  the
26        sales  price  or  imputed value with a minimum of $25 for
27        each individual entombment right.
28             3.  For inurnment rights, not less than 10%  of  the
29        sales  price  or  imputed value with a minimum of $15 for
30        each individual inurnment right.
31             4.  For any transfer of interment rights, entombment
32        rights, or inurnment rights recorded in  the  records  of
33        the  cemetery authority, excepting only transfers between
34        members of the immediate  family  of  the  transferor,  a
 
                            -38-           LRB9112160STsbam01
 1        minimum  of $25 for each such right transferred.  For the
 2        purposes of  this  paragraph  "immediate  family  of  the
 3        transferor"  means  the  spouse,  parents,  grandparents,
 4        children, grandchildren, and siblings of the transferor.
 5             5.  Upon an interment, entombment, or inurnment in a
 6        grave,  crypt,  or  niche  in  which rights of interment,
 7        entombment, or inurnment were originally acquired from  a
 8        cemetery authority prior to January 1, 1948, a minimum of
 9        $25 for each such right exercised.
10             6.  For  the  special care of any lot, grave, crypt,
11        or niche or of a family mausoleum, memorial,  marker,  or
12        monument, the full amount received.
13        Such  setting  aside  and  deposit  shall be made by such
14    cemetery authority not later than 30 days after the close  of
15    the  month  in  which the cemetery authority gave away for an
16    imputed value or received a the final payment on the purchase
17    price of interment rights, entombment  rights,  or  inurnment
18    rights,  or  received  a the final payment for the general or
19    special care of a lot, grave, crypt or niche or of  a  family
20    mausoleum, memorial, marker or monument. If a sale that would
21    require  a deposit to the care fund is made on an installment
22    basis, the cemetery authority shall deposit to the care  fund
23    each  installment  payment within 30 days of the close of the
24    month in which the cemetery authority  received  the  payment
25    until  the  amount  due  the  care  fund  has been deposited.
26    Deposits to the care funds; and such amounts shall be held by
27    the trustee of the care funds of such cemetery  authority  in
28    trust  in perpetuity for the specific purposes stated in said
29    written instrument. For all care funds received by a cemetery
30    authority, except for  care  funds  received  by  a  cemetery
31    authority  pursuant  to a specific gift, grant, contribution,
32    payment, legacy, or contract that are subject  to  investment
33    restrictions  more restrictive than the investment provisions
34    set forth in this Act, and except for  care  funds  otherwise
 
                            -39-           LRB9112160STsbam01
 1    subject  to a trust agreement executed by a person or persons
 2    responsible  for  transferring  the  specific  gift,   grant,
 3    contribution,  payment,  or  legacy to the cemetery authority
 4    that contains investment restrictions more  restrictive  than
 5    the investment provisions set forth in this Act, the cemetery
 6    authority  may,  without  the  necessity  of having to obtain
 7    prior approval from any court in this State, designate a  new
 8    trustee in accordance with this Act and invest the care funds
 9    in accordance with this Section, notwithstanding any contrary
10    limitation contained in the trust agreement.
11        Any  such cemetery authority engaged in selling or giving
12    away at an imputed value interment rights, entombment  rights
13    or  inurnment  rights,  in  conjunction  with  the selling or
14    giving away at an imputed  value  any  other  merchandise  or
15    services  not  covered  by this Act, shall be prohibited from
16    increasing the sales price or imputed value  of  those  items
17    not  requiring  a  care  fund deposit under this Act with the
18    purpose of allocating a lesser sales price or  imputed  value
19    to items that require a care fund deposit.
20        In  the  event  any  sale that would require a deposit to
21    such cemetery authority's care fund is  made  by  a  cemetery
22    authority  on  an  installment  basis,  and  the  installment
23    contract  is  factored, discounted, or sold to a third party,
24    the cemetery authority shall deposit the amount  due  to  the
25    care  fund  within  30  days  after the close of the month in
26    which the installment contract was factored,  discounted,  or
27    sold.  If, subsequent to such deposit, the purchaser defaults
28    on  the  contract  such  that  no  care  fund deposit on that
29    contract would have been required, the cemetery authority may
30    apply  the  amount  deposited  as  a  credit  against  future
31    required deposits.
32        The trust authorized by this Section shall  be  a  single
33    purpose trust fund.  In the event of the seller's bankruptcy,
34    insolvency, or assignment for the benefit of creditors, or an
 
                            -40-           LRB9112160STsbam01
 1    adverse  judgment,  the trust funds shall not be available to
 2    any creditor as assets of the cemetery authority  or  to  pay
 3    any  expenses  of  any  bankruptcy or similar proceeding, but
 4    shall  be  retained  intact  to  provide   for   the   future
 5    maintenance  of  the  cemetery.   Except  in an action by the
 6    Comptroller to revoke a license issued pursuant to  this  Act
 7    and  for  creation of a receivership as provided in this Act,
 8    the trust  shall  not  be  subject  to  judgment,  execution,
 9    garnishment,  attachment,  or  other  seizure  by  process in
10    bankruptcy or otherwise, nor to sale,  pledge,  mortgage,  or
11    other  alienation,  and  shall  not  be  assignable except as
12    approved  by  the  Comptroller.  The  changes  made  by  this
13    amendatory Act of the 91st General Assembly are  intended  to
14    clarify  existing law regarding the inability of licensees to
15    pledge the trust.
16        If, subsequent to a deposit of care funds required  under
17    this  Section,  the  purchaser  defaults on the contract such
18    that no care fund deposits on that contract would  have  been
19    required,   the  cemetery  authority  may  apply  the  amount
20    deposited as a credit against future required deposits.
21    (Source: P.A. 91-7, eff. 6-1-99.)

22        (760 ILCS 100/8) (from Ch. 21, par. 64.8)
23        Sec. 8.  Every cemetery authority shall register with the
24    Comptroller  upon  forms  furnished  by  him  or  her.   Such
25    registration  statement  shall  state  whether  the  cemetery
26    authority   claims   that   the   cemetery  owned,  operated,
27    controlled,  or  managed  by  it  is  a  fraternal  cemetery,
28    municipal, State, or federal cemetery, or religious cemetery,
29    or a family burying ground, as the case may be, as defined in
30    Section  2  of  this  Act,  and  shall  state  the  date   of
31    incorporation if a corporation and whether incorporated under
32    general  or private act of the legislature. Such registration
33    statement shall be accompanied by a fee of $5. Such fee shall
 
                            -41-           LRB9112160STsbam01
 1    be paid to the  Comptroller  and  no  registration  statement
 2    shall  be  accepted  by  him without the payment of such fee.
 3    Every cemetery authority that is  not  required  to  file  an
 4    annual report under this Act shall bear the responsibility of
 5    informing  the  Comptroller  whenever  a  change  takes place
 6    regarding status of cemetery, name  of  contact  person,  and
 7    that person's address and telephone number.
 8        Upon  receipt  of a registration statement, if a claim is
 9    made that a  cemetery  is  a  fraternal  cemetery,  municipal
10    cemetery,  or religious cemetery, or a family burying ground,
11    as the case may be, as defined in Section 2 of this Act,  and
12    the  Comptroller  shall determine that such cemetery is not a
13    fraternal cemetery, a  municipal  cemetery,  or  a  religious
14    cemetery,  or a family burying ground, as the case may be, as
15    defined in Section 2  of  this  Act,  the  Comptroller  shall
16    notify  the  cemetery  authority  making  the  claim  of such
17    determination; provided, however, that no such claim shall be
18    denied until the cemetery authority making such claim has had
19    at least  10  days'  notice  of  a  hearing  thereon  and  an
20    opportunity  to  be heard. When any such claim is denied, the
21    Comptroller shall within 20 days thereafter prepare and  keep
22    on  file  in  his office the transcript of the evidence taken
23    and a written order or decision of denial of such  claim  and
24    shall  send  by  United  States  mail a copy of such order or
25    decision of denial to  the  cemetery  authority  making  such
26    claim  within  5  days after the filing in his office of such
27    order, finding or decision.  A  review  of  any  such  order,
28    finding   or   decision   may  be  had  as  provided  in  the
29    Administrative Review Law, as now or hereafter amended.
30        Where no claim is made that a  cemetery  is  a  fraternal
31    cemetery,  municipal cemetery or religious cemetery or family
32    burying ground, as the case may be, as defined in  Section  2
33    of  this Act, the registration statement shall be accompanied
34    by a fidelity bond in the amount required  by  Section  9  of
 
                            -42-           LRB9112160STsbam01
 1    this  Act.  Upon  receipt  of such application, statement and
 2    bond, the Comptroller shall issue a  license  to  accept  the
 3    care  funds authorized by the provisions of Section 3 of this
 4    Act to each cemetery authority owning, operating, controlling
 5    or managing  a  privately  operated  cemetery.  However,  the
 6    Comptroller  shall  issue  a  license without the filing of a
 7    bond where the filing of a bond is excused by Section  18  of
 8    this Act.
 9        The  license  issued  by  the Comptroller shall remain in
10    full force and effect until it is surrendered by the licensee
11    or revoked by the Comptroller as hereinafter provided.
12    (Source: P.A. 88-477.)

13        (760 ILCS 100/9) (from Ch. 21, par. 64.9)
14        Sec. 9. Application for license.
15        (a)  Prior to or concurrent with the acceptance  of  care
16    funds  authorized  by  Section  3  of this Act or the sale or
17    transfer of the controlling interest of a  licensed  cemetery
18    authority,    a   cemetery   authority   owning,   operating,
19    controlling, or managing a privately operated cemetery  shall
20    make application to the Comptroller for a license to hold the
21    funds.  Whenever  a  cemetery  authority  owning,  operating,
22    controlling  or  managing  a  privately  operated cemetery is
23    newly organized and such cemetery  authority  desires  to  be
24    licensed  to accept the care funds authorized by Section 3 of
25    this Act, or whenever there is a  sale  or  transfer  of  the
26    controlling  interest  of  a  licensed cemetery authority, it
27    shall make application for such license.
28        In the case of a sale  or  transfer  of  the  controlling
29    interest  of  the cemetery authority, the prior license shall
30    remain in effect until the Comptroller issues a  new  license
31    to  the  newly-controlled  cemetery  authority as provided in
32    Section 15b.  Upon issuance of the  new  license,  the  prior
33    license  shall  be  deemed  surrendered  if  the licensee has
 
                            -43-           LRB9112160STsbam01
 1    agreed to the sale and transfer  and  has  consented  to  the
 2    surrender  of  the  license.   A  sale  or  transfer  of  the
 3    controlling  interest of a cemetery authority to an immediate
 4    family member is not considered a transfer of the controlling
 5    interest for purposes of this Section.
 6        (b)  Applications for license shall  be  filed  with  the
 7    Comptroller.  Applications  shall  be  in writing under oath,
 8    signed by the applicant, and in the  form  furnished  by  the
 9    Comptroller.    The  form  furnished by the Comptroller shall
10    enable a cemetery authority to apply for license of  multiple
11    cemetery  locations  within a single license application.   A
12    check or money order in the amount of $25 per license seeking
13    to be issued under the application, payable to:  Comptroller,
14    State of Illinois, shall be included.  Each application shall
15    contain the following:
16             (1)  the  full  name  and address (both of residence
17        and of  place  of  business)  of  the  applicant,  if  an
18        individual;  of  every  member,  if  the  applicant  is a
19        partnership or association; of every officer, manager, or
20        director, if the applicant is a corporation, and  of  any
21        party  owning  10% or more of the cemetery authority, and
22        the full name and address of the parent company, if any;
23             (2)  a detailed statement of the applicant's  assets
24        and liabilities;
25             (2.1)  The  name,  address,  and legal boundaries of
26        each cemetery for which the care funds shall be entrusted
27        and at  which  books,  accounts,  and  records  shall  be
28        available  for examination by the Comptroller as required
29        by Section 13 of this Act;
30             (3)  as to the name of each individual person listed
31        under (1) above, a detailed statement  of  each  person's
32        business   experience   for   the  10  years  immediately
33        preceding  the  application;  the  present  and  previous
34        connection,  if  any,  of  each  person  with  any  other
 
                            -44-           LRB9112160STsbam01
 1        cemetery or cemetery authority; whether each  person  has
 2        ever  been  convicted  of  any  a felony or has ever been
 3        convicted  of  any  misdemeanor  of  which  an  essential
 4        element is fraud  or  has  been  involved  in  any  civil
 5        litigation  in  which a judgment has been entered against
 6        him or  her  based  on  fraud;  whether  each  person  is
 7        currently  a  defendant  in  any  lawsuit  in  which  the
 8        complaint against the person is based upon fraud; whether
 9        such   person  has  failed  to  satisfy  any  enforceable
10        judgment entered by a court of competent jurisdiction  in
11        any civil proceedings against such individual; and
12             (4)  the  total  amount  in  trust and now available
13        from sales of lots, graves, crypts or niches  where  part
14        of the sale price has been placed in trust; the amount of
15        money  placed  in  the  care funds of each applicant; the
16        amount set aside in care funds from  the  sale  of  lots,
17        graves,  crypts  and  niches  for the general care of the
18        cemetery and the amount available for that  purpose;  the
19        amount received in trust by special agreement for special
20        care  and  the  amount  available  for  that purpose; the
21        amount of principal applicable to trust funds received by
22        the applicant; and.
23             (5)  Any other information that the Comptroller  may
24        reasonably    require   in   order   to   determine   the
25        qualifications of the applicant to be licensed under this
26        Act.
27        Such information shall  be  furnished  whether  the  care
28    funds  are  held  by  the  applicant  as  trustee  or  by  an
29    independent  trustee.   If  the  funds  are  not  held by the
30    applicant, the name of the independent trustee  holding  them
31    is also to be furnished by the applicant.
32        (c)  Applications  for  license shall also be accompanied
33    by a fidelity bond issued by a bonding company  or  insurance
34    company  authorized  to  do  business  in this State or by an
 
                            -45-           LRB9112160STsbam01
 1    irrevocable, unconditional letter of credit issued by a  bank
 2    or  trust  company  authorized to do business in the State of
 3    Illinois, as approved by the State  Comptroller,  where  such
 4    care funds exceed the sum of $15,000.  Such bond or letter of
 5    credit  shall run to the Comptroller and his or her successor
 6    for the benefit of the  care  funds  held  by  such  cemetery
 7    authority  or  by  the  trustee  of  the  care  funds of such
 8    cemetery authority.  Such bonds or letters of credit shall be
 9    in an amount equal to 1/10 of such care funds.  However, such
10    bond or letter of credit shall not be in an amount less  than
11    $1,000;  the  first  $15,000  of such care funds shall not be
12    considered in computing the amount of such bond or letter  of
13    credit.   No application shall be accepted by the Comptroller
14    unless accompanied by such bond or letter of credit.
15        Applications for  license  by  newly  organized  cemetery
16    authorities  after  January 1, 1960 shall also be accompanied
17    by evidence of a minimum care fund deposit in an amount to be
18    determined as follows: if the number of  inhabitants,  either
19    in  the  county  in which the cemetery is to be located or in
20    the area included within a 10 mile radius from  the  cemetery
21    if the number of inhabitants therein is greater, is 25,000 or
22    less   the   deposit  shall  be  $7,500;  if  the  number  of
23    inhabitants  is  25,001  to  50,000,  the  deposit  shall  be
24    $10,000; if the number of inhabitants is 50,001  to  125,000,
25    the deposit shall be $15,000; if the number of inhabitants is
26    over 125,000, the deposit shall be $25,000.
27        After  an amount equal to and in addition to the required
28    minimum care fund deposit has been deposited  in  trust,  the
29    cemetery  authority may withhold 50% of all future care funds
30    until it has recovered the amount of the  minimum  care  fund
31    deposit.
32        (d)  (Blank).   The  applicant  shall  have  a  permanent
33    address and any license issued pursuant to the application is
34    valid only at the address or at any new address  approved  by
 
                            -46-           LRB9112160STsbam01
 1    the Comptroller.
 2        (e)  All  bonds and bonding deposits made by any cemetery
 3    authority may  be  returned  to  the  cemetery  authority  or
 4    cancelled  as  to  care  funds  invested  with  an investment
 5    company.
 6    (Source: P.A. 89-615, eff. 8-9-96; 90-655, eff. 7-30-98.)

 7        (760 ILCS 100/10) (from Ch. 21, par. 64.10)
 8        Sec. 10.  Upon receipt of such application  for  license,
 9    the Comptroller shall issue a license to the applicant unless
10    the Comptroller determines that:
11        (a)  The  applicant  has  made  any misrepresentations or
12    false statements or has concealed any essential  or  material
13    fact, or
14        (b)  The applicant is insolvent; or
15        (c)  The  applicant is or has been using practices in the
16    conducting of the cemetery business that work or tend to work
17    a fraud; or
18        (d)  The  applicant  has  refused  to  furnish  or   give
19    pertinent data to the Comptroller; or
20        (e)  The  applicant  has failed to notify the Comptroller
21    with  respect  to  any  material  facts   required   in   the
22    application for license under the provisions of this Act; or
23        (f)  The  applicant has failed to satisfy any enforceable
24    judgment  entered  by  the  circuit  court   in   any   civil
25    proceedings against such applicant; or
26        (g)  The  applicant  has conducted or is about to conduct
27    its business in a fraudulent manner; or
28        (h)  The  applicant  or  any  As  to  the  name  of   any
29    individual listed in the license application, such individual
30    has  conducted  or is about to conduct any business on behalf
31    of  the  applicant  in  a  fraudulent  manner;  or  has  been
32    convicted  of  a  felony  or  any  misdemeanor  of  which  an
33    essential element is fraud; or has been involved in any civil
 
                            -47-           LRB9112160STsbam01
 1    litigation in which a judgment has been entered  against  him
 2    or  her  based  on  fraud;  or  has  failed  to  satisfy  any
 3    enforceable  judgment  entered  by  the  circuit court in any
 4    civil  proceedings  against  such  individual;  or  has  been
 5    convicted of  any  felony;  or  has  been  convicted  of  any
 6    theft-related  offense;  or  has  failed  to  comply with the
 7    requirements of this Act; or has demonstrated  a  pattern  of
 8    failing  to  open  or close any graves, crypts, or niches for
 9    human remains in the cemetery within a reasonable time frame;
10    or has demonstrated a pattern of placing human remains  in  a
11    final  resting  place  other  than  that  required  under  an
12    agreement  with  a consumer; or has demonstrated a pattern of
13    improperly failing to honor a contract with a consumer; or
14        (i)  The applicant  has  ever  had  a  license  involving
15    cemeteries or funeral homes revoked, suspended, or refused to
16    be issued in Illinois or elsewhere.
17        If  the  Comptroller  so determines, then he or she shall
18    conduct  a  hearing  to  determine  whether   to   deny   the
19    application.  However,  no application shall be denied unless
20    the applicant has had at least 10 days' notice of  a  hearing
21    on the application and an opportunity to be heard thereon. If
22    the  application  is  denied, the Comptroller shall within 20
23    days thereafter prepare and keep on file in his or her office
24    the transcript of the evidence taken and a written  order  of
25    denial  thereof, which shall contain his or her findings with
26    respect thereto and the reasons supporting  the  denial,  and
27    shall  send by United States mail a copy of the written order
28    of denial to the applicant at the address set  forth  in  the
29    application,  within 5 days after the filing of such order. A
30    review of such decision may be had as provided in Section  20
31    of this Act.
32        The  license  issued  by  the Comptroller shall remain in
33    full force and effect until it is surrendered by the licensee
34    or revoked by the Comptroller as hereinafter provided.
 
                            -48-           LRB9112160STsbam01
 1    (Source: P.A. 88-477.)

 2        (760 ILCS 100/11) (from Ch. 21, par. 64.11)
 3        Sec. 11.  Issuance and display of  license.    A  license
 4    issued  under  this  Act authorizes the cemetery authority to
 5    accept care funds for the cemetery identified in the license.
 6    If a license application seeks licensure to accept care funds
 7    on  behalf  of  more  than   one   cemetery   location,   the
 8    Comptroller,  upon approval of the license application, shall
 9    issue to the cemetery authority a separate license  for  each
10    cemetery  location indicated on the application. Each license
11    issued by the Comptroller under this Act  is  independent  of
12    any  other license that may be issued to a cemetery authority
13    under a single license application.
14        Every license issued by the Comptroller shall  state  the
15    number  of  the license and the address at which the business
16    is to be conducted. Such license shall be kept  conspicuously
17    posted in the place of business of the licensee and shall not
18    be transferable or assignable.
19        No  more  than  one place of business shall be maintained
20    under the same license, but the Comptroller  may  issue  more
21    than  one  license  to the same licensee upon compliance with
22    the provisions of this Act governing an original issuance  of
23    a license, for each new license.
24        Whenever  a  licensee  shall  wish  to change the name as
25    originally set forth in his license, he  shall  give  written
26    notice  thereof  to the Comptroller together with the reasons
27    for  the  change  and  if  the  change  is  approved  by  the
28    Comptroller he shall issue a new license.
29        A license issued by the Comptroller shall remain in  full
30    force  and  effect until it is surrendered by the licensee or
31    suspended or revoked by the Comptroller as provided  in  this
32    Act.
33    (Source: P.A. 78-592.)
 
                            -49-           LRB9112160STsbam01
 1        (760 ILCS 100/11.1)
 2        Sec.  11.1.   Investigation of unlawful practices.  If it
 3    appears to the Comptroller that a person has engaged  in,  is
 4    engaging  in,  or is about to engage in any practice declared
 5    to be unlawful by this Act, the Comptroller may:
 6             (1)  require that person to file on  such  terms  as
 7        the  Comptroller  prescribes  a  statement  or  report in
 8        writing,  under  oath  or   otherwise,   containing   all
 9        information  the  Comptroller  may  consider necessary to
10        ascertain whether a privately operated cemetery authority
11        licensee is in compliance with this Act,  or  whether  an
12        unlicensed  person  is engaging in activities for which a
13        license is required;
14             (2)  examine under oath  any  person  in  connection
15        with  the  books  and  records pertaining to or having an
16        impact upon the trust funds  required  to  be  maintained
17        pursuant to this Act;
18             (2.1)  examine  under  oath any person in connection
19        with the performance of duties required to  be  performed
20        under this Act;
21             (3)  examine  any books and records of the privately
22        operated  cemetery  authority,  licensee,   trustee,   or
23        investment  advisor  that  the  Comptroller  may consider
24        necessary to ascertain compliance with this Act; and
25             (4)  require the production of a copy of any record,
26        book, document, account, or paper  that  is  produced  in
27        accordance  with  this  Act  and  retain it in his or her
28        possession until the completion  of  all  proceedings  in
29        connection with which it is produced.
30    (Source: P.A. 89-615, eff. 8-9-96.)

31        (760 ILCS 100/13) (from Ch. 21, par. 64.13)
32        Sec.  13.  Books,  accounts, and records.  Every licensee
33    and the trustee of the care funds of every licensee shall  be
 
                            -50-           LRB9112160STsbam01
 1    a resident of this State and shall keep in this State and use
 2    in  its  business  such  books,  accounts and records as will
 3    enable the Comptroller to determine whether such licensee  or
 4    trustee is complying with the provisions of this Act and with
 5    the rules, regulations and directions made by the Comptroller
 6    hereunder.    The  licensee shall update books, accounts, and
 7    records no less often than monthly.  The licensee shall  keep
 8    the  books,  accounts, and records at the location identified
 9    in the license issued by  the  Comptroller  or  as  otherwise
10    agreed  by  the Comptroller in writing.  The books, accounts,
11    and records shall be accessible for review upon demand of the
12    Comptroller.
13    (Source: P.A. 78-592.)

14        (760 ILCS 100/15b)
15        Sec. 15b.  Sales; liability of purchaser for shortage.
16        In the case of a sale of any privately operated  cemetery
17    or  any part thereof or of any related personal property by a
18    cemetery authority to a purchaser or pursuant to  foreclosure
19    proceedings,  except  the sale of burial rights, services, or
20    merchandise to a person for his or  her  personal  or  family
21    burial   or  interment,  the  purchaser  is  liable  for  any
22    shortages existing before or after the sale in the care funds
23    required to be maintained in a trust pursuant to this Act and
24    shall honor all instruments issued under Section 4  for  that
25    cemetery. Any shortages existing in the care funds constitute
26    a prior lien in favor of the trust for the total value of the
27    shortages,  and  notice of such lien shall be provided in all
28    sales instruments.
29        Prior to or concurrent with the sale of  any  portion  of
30    cemetery  land  in which no human remains have been interred,
31    the licensee shall deposit $1 per square foot of the cemetery
32    land to be sold that is suitable for human interment into the
33    cemetery authority's care fund  authorized  under  this  Act.
 
                            -51-           LRB9112160STsbam01
 1    The  Comptroller  may  waive  or  lessen  the  amount  of the
 2    required deposit when  the  licensee  has  made  arrangements
 3    satisfactory to the Comptroller.
 4        In   the   event   of  a  sale  or  transfer  of  all  or
 5    substantially all of the assets of the cemetery authority,  a
 6    sale  or transfer of any cemetery land, including any portion
 7    of  cemetery  land  in  which  no  human  remains  have  been
 8    interred, the sale or transfer of the controlling interest of
 9    the corporate stock of the cemetery authority if the cemetery
10    authority is a corporation, or the sale or  transfer  of  the
11    controlling of the partnership if the cemetery authority is a
12    partnership,  the  cemetery authority shall, at least 21 days
13    prior to the sale or transfer,  notify  the  Comptroller,  in
14    writing,  of  the  pending  date of sale or transfer so as to
15    permit the Comptroller to audit the books and records of  the
16    cemetery  authority.  The audit must be commenced within 10 5
17    business  days  of  the  receipt  of  the  notification   and
18    completed  within  the  21 day notification period unless the
19    Comptroller  notifies  the  cemetery  authority  during  that
20    period that there is a basis  for  determining  a  deficiency
21    which  will require additional time to finalize.  The sale or
22    transfer may not  be  completed  by  the  cemetery  authority
23    unless and until:
24             (a)  The  Comptroller has completed the audit of the
25        cemetery authority's books and records;
26             (b)  Any delinquency existing in the care funds  has
27        been  paid  by  the  cemetery  authority, or arrangements
28        satisfactory to the Comptroller have  been  made  by  the
29        cemetery  authority  on  the  sale  or  transfer  for the
30        payment of any delinquency;
31             (c)  The Comptroller  issues  a  new  cemetery  care
32        license   upon   application   of  the  newly  controlled
33        corporation or partnership, which license must be applied
34        for within 30 days of the anticipated date of the sale or
 
                            -52-           LRB9112160STsbam01
 1        transfer, subject to the payment of any delinquencies, if
 2        any, as stated in item (b) above.
 3        For  purposes  of   this   Section,   a   person,   firm,
 4    corporation,  partnership,  or  institution that acquires the
 5    cemetery through a real estate foreclosure shall  be  subject
 6    to  the  provisions of this Section.  The sale or transfer of
 7    the controlling  interest  of  a  cemetery  authority  to  an
 8    immediate  family  member  is  not  subject  to  the  license
 9    application process required in item (c) of this Section.
10    (Source: P.A. 90-623, eff. 7-10-98.)

11        (760 ILCS 100/24) (from Ch. 21, par. 64.24)
12        Sec. 24.  Penalties; civil action.
13        (a)  Whoever intentionally violates any provision of this
14    Act  except the provisions of Section 23 and subsections (b),
15    (c), (d), and (f) of Section 2a shall be guilty of a Class  4
16    felony,  and  each  day  such  provisions  are violated shall
17    constitute a separate offense.
18        (b)  If any person intentionally  violates  this  Act  or
19    fails  or refuses to comply with any order of the Comptroller
20    or any part of an order that has become final to such  person
21    and is still in effect, the Comptroller may, after notice and
22    hearing  at  which  it is determined that a violation of this
23    Act or such order has been committed, further order that such
24    person shall forfeit and pay to the State of Illinois  a  sum
25    not  to  exceed  $10,000  $5,000  for  each  violation.  Such
26    liability shall be enforced in an action brought in any court
27    of competent jurisdiction by the Comptroller in the  name  of
28    the People of the State of Illinois.
29        (c)  In  addition  to  the  other  penalties and remedies
30    provided in this Act,  the  Comptroller  may  bring  a  civil
31    action  in  the  county  of  residence of the licensee or any
32    person accepting  care  funds  to  enjoin  any  violation  or
33    threatened violation of this Act.
 
                            -53-           LRB9112160STsbam01
 1        (d)  Any  person  that violates any provision of this Act
 2    or fails to comply with an order of the Comptroller shall  be
 3    liable  for  a civil penalty of not to exceed $10,000 for the
 4    violation and an  additional  civil  penalty  not  to  exceed
 5    $1,000 for each day during which the violation continues. The
 6    civil  penalties  provided  for  in  this  subsection  may be
 7    recovered in a civil  action  and  are  in  addition  to  any
 8    penalties  that  may  be  issued under the Consumer Fraud and
 9    Deceptive Practices Act for knowing violations of this Act.
10        (e)  The powers vested in the Comptroller by this Section
11    are additional to any  and  all  other  powers  and  remedies
12    vested in the Comptroller by law.
13    (Source: P.A. 86-1359.)

14        Section  40.  The  Cemetery  Protection Act is amended by
15    changing Section 1 as follows:

16        (765 ILCS 835/1) (from Ch. 21, par. 15)
17        Sec. 1. (a) Any person  who  acts  without  proper  legal
18    authority and who willfully and knowingly destroys or damages
19    the remains of a deceased human being or who desecrates human
20    remains is guilty of a Class 3 felony.
21        (a-5)  Any person who acts without proper legal authority
22    and  who  willfully  and knowingly removes any portion of the
23    remains of a deceased human being from a burial ground  where
24    skeletal  remains  are  buried or from a grave, crypt, vault,
25    mausoleum, or other repository of human remains is guilty  of
26    a Class 4 felony.
27        (b)  Any  person  who acts without proper legal authority
28    and who willfully and knowingly:
29             (1)  obliterates, vandalizes, or desecrates a burial
30        ground where skeletal remains  are  buried  or  a  grave,
31        crypt,  vault,  mausoleum,  or  other repository of human
32        remains;
 
                            -54-           LRB9112160STsbam01
 1             (2)  obliterates, vandalizes, or desecrates  a  park
 2        or   other   area  clearly  designated  to  preserve  and
 3        perpetuate the memory of a deceased person  or  group  of
 4        persons;
 5             (3)  obliterates,  vandalizes, or desecrates plants,
 6        trees, shrubs,  or  flowers  located  upon  or  around  a
 7        repository  for human remains or within a human graveyard
 8        or cemetery; or
 9             (4)  obliterates, vandalizes, or desecrates a fence,
10        rail, curb,  or  other  structure  of  a  similar  nature
11        intended  for  the protection or for the ornamentation of
12        any tomb, monument, gravestone,  or  other  structure  of
13        like character;
14    is  guilty  of  a  Class  A  misdemeanor if the amount of the
15    damage is less than $500, a Class 4 felony if the  amount  of
16    the  damage is at least $500 and less than $10,000, a Class 3
17    felony if the amount of the damage is at  least  $10,000  and
18    less  than  $100,000,  or  a  Class 2 felony if the damage is
19    $100,000  or  more  and  shall  provide  restitution  to  the
20    cemetery authority or property owner for the  amount  of  any
21    damage caused.
22        (b-5)  Any person who acts without proper legal authority
23    and who willfully and knowingly defaces, vandalizes, injures,
24    or  removes  a  gravestone  or  other  memorial, monument, or
25    marker commemorating a deceased person or group  of  persons,
26    whether  located  within or outside of a recognized cemetery,
27    memorial park, or battlefield is guilty of a Class  4  felony
28    for  damaging  at least one but no more than 4 gravestones, a
29    Class 3 felony for damaging at least 5 but no  more  than  10
30    gravestones,  or  a  Class 2 felony for damaging more than 10
31    gravestones and shall provide  restitution  to  the  cemetery
32    authority  or  property  owner  for  the amount of any damage
33    caused.
34        (b-7)  Any person who acts without proper legal authority
 
                            -55-           LRB9112160STsbam01
 1    and who willfully and knowingly removes with  the  intent  to
 2    resell  a  gravestone  or other memorial, monument, or marker
 3    commemorating a deceased person or group of persons,  whether
 4    located  within  or  outside  a recognized cemetery, memorial
 5    park, or battlefield, is guilty of a Class 2 felony.
 6        (c)  The provisions of this Section shall  not  apply  to
 7    the  removal  or unavoidable breakage or injury by a cemetery
 8    authority of anything placed in or upon any  portion  of  its
 9    cemetery  in violation of any of the rules and regulations of
10    the cemetery authority, nor to the removal of anything placed
11    in the cemetery by  or  with  the  consent  of  the  cemetery
12    authority  that in the judgment of the cemetery authority has
13    become wrecked, unsightly, or dilapidated.
14        (d)  If  an  unemancipated  minor  is  found  guilty   of
15    violating  any  of  the  provisions of subsection (b) of this
16    Section and is unable to provide restitution to the  cemetery
17    authority  or  property owner, the parents or legal guardians
18    of that minor  shall  provide  restitution  to  the  cemetery
19    authority  or  property  owner  for  the amount of any damage
20    caused, up to the total amount  allowed  under  the  Parental
21    Responsibility Law.
22        (e)  Any  person  who  shall hunt, shoot or discharge any
23    gun, pistol or  other  missile,  within  the  limits  of  any
24    cemetery, or shall cause any shot or missile to be discharged
25    into or over any portion thereof, or shall violate any of the
26    rules  made and established by the board of directors of such
27    cemetery, for the protection or government thereof, is guilty
28    of a Class C misdemeanor.
29        (f)  Any person who knowingly enters or knowingly remains
30    upon the premises of a public  or  private  cemetery  without
31    authorization  during  hours  that  the cemetery is posted as
32    closed to the public is guilty of a Class A misdemeanor.
33        (g)  All fines when recovered, shall be paid over by  the
34    court   or   officer  receiving  the  same  to  the  cemetery
 
                            -56-           LRB9112160STsbam01
 1    association and be applied, as far as possible  in  repairing
 2    the  injury,  if  any,  caused  by  such  offense.  Provided,
 3    nothing contained in this Act  shall  deprive  such  cemetery
 4    association,  or  the  owner  of  any  lot  or  monument from
 5    maintaining an action for the recovery of damages  caused  by
 6    any  injury  caused  by a violation of the provisions of this
 7    Act, or of the rules established by the board of directors of
 8    such cemetery association. Nothing in this Section  shall  be
 9    construed  to  prohibit the discharge of firearms loaded with
10    blank  ammunition  as  part  of  any  funeral,  any  memorial
11    observance or any other patriotic or military ceremony.
12    (Source: P.A. 89-36, eff. 1-1-96.)

13        Section 45. The Illinois Pre-Need Cemetery Sales  Act  is
14    amended by changing Sections 1, 4, 5, 6, 7, 8, 8a, 9, 12, 14,
15    15,  16,  18, 19, 20, 22, and 23, and by adding Section 27.1,
16    as follows:

17        (815 ILCS 390/1) (from Ch. 21, par. 201)
18        Sec. 1.  Purpose.  It is  the  purpose  of  this  Act  to
19    assure  adequate  protection  for  those who contract through
20    pre-need contracts  for  the  purchase  of  certain  cemetery
21    merchandise  and cemetery services and undeveloped interment,
22    entombment or inurnment space,  when  the  seller  may  delay
23    delivery  or performance more than 120 days following initial
24    payment on the account.
25    (Source: P.A. 85-805.)

26        (815 ILCS 390/4) (from Ch. 21, par. 204)
27        Sec. 4.  Definitions.  As used in this Act, the following
28    terms shall have the meaning specified:
29        (a) A.  "Pre-need sales  contract"  or  "Pre-need  sales"
30    means  any  agreement or contract or series or combination of
31    agreements or contracts which have for a purpose the sale  of
 
                            -57-           LRB9112160STsbam01
 1    cemetery   merchandise,   cemetery  services  or  undeveloped
 2    interment, entombment or inurnment spaces where the terms  of
 3    such  sale  require  payment  or  payments  to  be  made at a
 4    currently  determinable  time  and  where  the   merchandise,
 5    services or completed spaces are to be provided more than 120
 6    days following the initial payment on the account.
 7        (b) B.  "Delivery" occurs when:
 8             (1)  Physical   possession  of  the  merchandise  is
 9        transferred or  the  easement  for  burial  rights  in  a
10        completed space is executed, delivered and transferred to
11        the buyer; or
12             (2)  Following  authorization by a purchaser under a
13        pre-need sales contract, title  to  the  merchandise  has
14        been  transferred  to  the  buyer and the merchandise has
15        been paid for and is in the possession of the seller  who
16        has  placed it, until needed, at the site of its ultimate
17        use; except that burial of any item at the  site  of  its
18        ultimate  use  shall not constitute delivery for purposes
19        of this Act; or
20             (3)  (A)  Following  authorization  by  a  purchaser
21        under a pre-need sales contract, the merchandise has been
22        permanently identified with the name of the buyer or  the
23        beneficiary  and  delivered  to  a  licensed  and  bonded
24        warehouse  and  both  title  to  the  merchandise  and  a
25        warehouse receipt have been delivered to the purchaser or
26        beneficiary  and a copy of the warehouse receipt has been
27        delivered to the licensee for  retention  in  its  files;
28        except  that  in the case of outer burial containers, the
29        use of a licensed and bonded warehouse as  set  forth  in
30        this paragraph shall not constitute delivery for purposes
31        of  this Act.  Nothing herein shall prevent a seller from
32        perfecting a security interest  in  accordance  with  the
33        Uniform  Commercial Code on any merchandise covered under
34        this Act.
 
                            -58-           LRB9112160STsbam01
 1             (B)  All  warehouse  facilities  to  which   sellers
 2        deliver merchandise pursuant to this Act shall:
 3                  (i)  be either located in the State of Illinois
 4             or  qualify  as  a  foreign  warehouse  facility  as
 5             defined herein;
 6                  (ii)  submit  to  the Comptroller not less than
 7             annually, by March 1 of each year, a report  of  all
 8             cemetery  merchandise  stored by each licensee under
 9             this Act which is in storage  on  the  date  of  the
10             report;
11                  (iii)  permit  the  Comptroller or his designee
12             at any time to examine  stored  merchandise  and  to
13             examine any documents pertaining thereto;
14                  (iv)  submit   evidence   satisfactory  to  the
15             Comptroller that  all  merchandise  stored  by  said
16             warehouse  for  licensees  under this Act is insured
17             for casualty or other loss  normally  assumed  by  a
18             bailee for hire;
19                  (v)  demonstrate  to  the  Comptroller that the
20             warehouse  has  procured  and   is   maintaining   a
21             performance  bond  in  the  form, content and amount
22             sufficient  to  unconditionally  guarantee  to   the
23             purchaser  or beneficiary the prompt shipment of the
24             cemetery merchandise.
25        (C)  "Cemetery  merchandise"  means  items  of   personal
26    property  normally  sold  by a cemetery authority not covered
27    under the Illinois Funeral or Burial Funds Act, including but
28    not limited to:
29             (1)  memorials,
30             (2)  markers,
31             (3)  monuments,
32             (4)  foundations, and
33             (5)  outer burial containers.
34        (D)  "Undeveloped  interment,  entombment  or   inurnment
 
                            -59-           LRB9112160STsbam01
 1    spaces"  or  "undeveloped  spaces" means any space to be used
 2    for the reception of human remains that is not completely and
 3    totally constructed at the time of initial  payment  therefor
 4    in a:
 5             (1)  lawn crypt,
 6             (2)  mausoleum,
 7             (3)  garden crypt,
 8             (4)  columbarium, or
 9             (5)  cemetery section.
10        (E)  "Cemetery services" means those services customarily
11    performed  by  cemetery  or crematory personnel in connection
12    with the interment, entombment, inurnment or cremation  of  a
13    dead human body.
14        (F)  "Cemetery   section"  means  a  grouping  of  spaces
15    intended to be developed simultaneously for  the  purpose  of
16    interring human remains.
17        (G)  "Columbarium"  means  an  arrangement of niches that
18    may be an entire building,  a  complete  room,  a  series  of
19    special indoor alcoves, a bank along a corridor or part of an
20    outdoor  garden  setting  that  is  constructed  of permanent
21    material such as bronze, marble, brick, stone or concrete for
22    the inurnment of human remains.
23        (H)  "Lawn crypt" means  a  permanent  underground  crypt
24    usually   constructed   of  reinforced  concrete  or  similar
25    material installed in multiple units  for  the  interment  of
26    human remains.
27        (I)  "Mausoleum"  or  "garden  crypt" means a grouping of
28    spaces constructed of reinforced concrete or similar material
29    constructed or assembled above the ground for entombing human
30    remains.
31        (J)  "Memorials, markers and monuments" means the  object
32    usually  comprised of a permanent material such as granite or
33    bronze used to identify and memorialize the deceased.
34        (K)  "Foundations" means those items  used  to  affix  or
 
                            -60-           LRB9112160STsbam01
 1    support  a  memorial  or monument to the ground in connection
 2    with the installation of a memorial, marker or monument.
 3        (L)  "Person"   means   an    individual,    corporation,
 4    partnership,   joint   venture,   business  trust,  voluntary
 5    organization or any other form of entity.
 6        (M)  "Seller" means any person selling  or  offering  for
 7    sale  cemetery  merchandise, cemetery services or undeveloped
 8    interment, entombment, or inurnment spaces in accordance with
 9    a pre-need sales contract on a pre-need basis.
10        (N)  "Religious  cemetery"  means   a   cemetery   owned,
11    operated,  controlled  or  managed  by any recognized church,
12    religious society, association  or  denomination  or  by  any
13    cemetery  authority  or  any  corporation  administering,  or
14    through  which  is  administered,  the  temporalities  of any
15    recognized  church,   religious   society,   association   or
16    denomination.
17        (O)  "Municipal   cemetery"   means   a  cemetery  owned,
18    operated,  controlled  or  managed  by  any  city,   village,
19    incorporated   town,  township,  county  or  other  municipal
20    corporation,  political   subdivision,   or   instrumentality
21    thereof  authorized  by  law  to  own,  operate  or  manage a
22    cemetery.
23        (O-1)  "Outer burial container" means a container made of
24    concrete, steel, wood, fiberglass, or similar material,  used
25    solely   at   the  interment  site,  and  designed  and  used
26    exclusively to surround or enclose a separate casket  and  to
27    support  the  earth  above  such  casket, commonly known as a
28    burial vault, grave box, or grave liner, but not including  a
29    lawn crypt.
30        (P)  "Sales  price"  or  "sales proceeds" means the gross
31    amount paid by a purchaser on a pre-need sales  contract  for
32    cemetery   merchandise,   cemetery  services  or  undeveloped
33    interment, entombment  or  inurnment  spaces  including  care
34    funds  contributions  required  for  entrustment  under  the,
 
                            -61-           LRB9112160STsbam01
 1    excluding   sales  taxes,  credit  life  insurance  premiums,
 2    finance charges and Cemetery Care Act contributions.
 3        (Q)  (Blank).
 4        (R) "Provider" means a  person  who  is  responsible  for
 5    performing   cemetery   services   or   furnishing   cemetery
 6    merchandise,   interment   spaces,   entombment   spaces,  or
 7    inurnment spaces under a pre-need sales contract.
 8        (S) "Purchase price" means sales proceeds.
 9        (T)  "Purchaser"  or  "buyer"  means   the   person   who
10    originally  paid  the  money  under  or  in connection with a
11    pre-need sales contract.
12        (U) "Parent company"  means  a  corporation  that  has  a
13    controlling interest in another corporation.
14        (W)  "Foreign   warehouse  facility"  means  a  warehouse
15    facility now or hereafter located in any state  or  territory
16    of  the  United  States,  including the District of Columbia,
17    other than the State of Illinois.
18        A foreign warehouse facility  shall  be  deemed  to  have
19    appointed  the Comptroller to be its true and lawful attorney
20    upon whom may be served all legal process in  any  action  or
21    proceeding against it relating to or growing out of this Act,
22    and  the  acceptance  of  the  delivery of stored merchandise
23    under this Act shall be signification of its  agreement  that
24    any  such  process against it which is so served, shall be of
25    the same legal force and validity as though  served  upon  it
26    personally.
27        Service  of  such  process shall be made by delivering to
28    and leaving with the Comptroller, or any agent having  charge
29    of  the  Comptroller's  Department  of  Cemetery  and  Burial
30    Trusts,  a  copy  of  such  process and such service shall be
31    sufficient service upon such foreign  warehouse  facility  if
32    notice  of such service and a copy of the process are, within
33    10 days thereafter, sent by registered mail by the  plaintiff
34    to the foreign warehouse facility at its principal office and
 
                            -62-           LRB9112160STsbam01
 1    the  plaintiff's affidavit of compliance herewith is appended
 2    to the summons.  The Comptroller shall keep a record  of  all
 3    process  served  upon him under this Section and shall record
 4    therein the time of such service.
 5    (Source: P.A. 91-7,  eff.  1-1-2000;  91-357,  eff.  7-29-99;
 6    revised 8-30-99.)

 7        (815 ILCS 390/5) (from Ch. 21, par. 205)
 8        Sec. 5.  It is unlawful for any seller person directly or
 9    indirectly  doing business within this State through an agent
10    or otherwise to engage in pre-need sales  without  a  license
11    issued by the Comptroller.
12    (Source: P.A. 84-239.)

13        (815 ILCS 390/6) (from Ch. 21, par. 206)
14        Sec. 6.  License application.
15        (a)  An  application  for  a  license  shall  be  made in
16    writing to the Comptroller on forms prescribed by him or her,
17    signed by the applicant  under  oath  verified  by  a  notary
18    public  appointed  and commissioned under the Illinois Notary
19    Public Act, and shall be accompanied by a non-returnable  $25
20    application  fee.   The Comptroller may prescribe abbreviated
21    application forms for persons holding  a  license  under  the
22    Cemetery   Care   Act.    Applications   (except  abbreviated
23    applications)   must   include   at   least   the   following
24    information:
25             (1)  The full name and address, both  residence  and
26        business,  of  the  applicant  if  the  applicant  is  an
27        individual;   of   every   member   if   applicant  is  a
28        partnership; of every member of the Board of Directors if
29        applicant  is  an  association;  and  of  every  officer,
30        manager, director and shareholder holding more  than  10%
31        5% of the corporate stock if applicant is a corporation;
32             (2)  A  detailed statement of applicant's assets and
 
                            -63-           LRB9112160STsbam01
 1        liabilities;
 2             (2.1)  The  name  and  address  of  the  applicant's
 3        principal place of business at which the books, accounts,
 4        and  records  are  available  for  examination   by   the
 5        Comptroller as required by this Act;
 6             (2.2)  The  name  and  address  of  the  applicant's
 7        branch   locations   at  which  pre-need  sales  will  be
 8        conducted and which will operate under the  same  license
 9        number as the applicant's principal place of business;
10             (3)  For  each  individual listed under (1) above, a
11        detailed   statement   of   the   individual's   business
12        experience for the 10  years  immediately  preceding  the
13        application;  any present or prior connection between the
14        individual and  any  other  person  engaged  in  pre-need
15        sales;  any  felony  or misdemeanor convictions for which
16        fraud was an essential element; any charges or complaints
17        lodged against the individual  for  which  fraud  was  an
18        essential element and which resulted in civil or criminal
19        litigation;  any  failure of the individual to satisfy an
20        enforceable judgment entered against  him  or  her  based
21        upon  fraud;  and  any other information requested by the
22        Comptroller relating to the past  business  practices  of
23        the  individual.   Since the information required by this
24        paragraph may  be  confidential  or  contain  proprietary
25        information,  this  information shall not be available to
26        other licensees or the general public and shall  be  used
27        only  for  the  lawful  purposes  of  the  Comptroller in
28        enforcing this Act;
29             (4)  The name of the trustee and, if applicable, the
30        names of the advisors to the trustee, including a copy of
31        the proposed trust agreement under which the trust  funds
32        are to be held as required by this Act;
33             (5)  Where  applicable,  the  name  of the corporate
34        surety company providing the  performance  bond  for  the
 
                            -64-           LRB9112160STsbam01
 1        construction  of  undeveloped  spaces  and  a copy of the
 2        bond; and
 3             (6)  Such other information as the  Comptroller  may
 4        reasonably    require   in   order   to   determine   the
 5        qualification of the applicant to be licensed under  this
 6        Act.
 7        (b)  Applications  for  license shall be accompanied by a
 8    fidelity bond  executed  by  the  applicant  and  a  security
 9    company  authorized  to  do  business  in  this State in such
10    amount,  not  exceeding  $10,000,  as  the  Comptroller   may
11    require.   The  Comptroller  may require additional bond from
12    time to time in amounts equal  to  one-tenth  of  such  trust
13    funds but not to exceed $100,000, which bond shall run to the
14    Comptroller  for  the use and benefit of the beneficiaries of
15    such trust funds.  Such licensee may by written permit of the
16    Comptroller be authorized to operate without additional bond,
17    except  such  fidelity  bond  as  may  be  required  by   the
18    Comptroller  for  the protection of the licensee against loss
19    by default by any of its employees engaged in the handling of
20    trust funds.
21        (c)  Any application not acted upon within 90 days may be
22    deemed denied.
23    (Source: P.A. 88-477.)

24        (815 ILCS 390/7) (from Ch. 21, par. 207)
25        Sec. 7.  The Comptroller  may  refuse  to  issue  or  may
26    suspend or revoke a license on any of the following grounds:
27        (a)  The    applicant    or   licensee   has   made   any
28    misrepresentations  or  false  statements  or  concealed  any
29    material fact;
30        (b)  The applicant or licensee is insolvent;
31        (c)  The  applicant  or  licensee  has  been  engaged  in
32    business practices that work a fraud;
33        (d)  The  applicant  or  licensee  has  refused  to  give
 
                            -65-           LRB9112160STsbam01
 1    pertinent data to the Comptroller;
 2        (e)  The applicant or licensee has failed to satisfy  any
 3    enforceable  judgment  or  decree  rendered  by  any court of
 4    competent jurisdiction against the applicant;
 5        (f)  The applicant or licensee has conducted or is  about
 6    to conduct business in a fraudulent manner;
 7        (g)  The  trustee  advisors or the trust agreement is not
 8    satisfactory to the Comptroller;
 9        (h)  The   pre-construction    performance    bond,    if
10    applicable, is not satisfactory to the Comptroller;
11        (i)  The   fidelity  bond  is  not  satisfactory  to  the
12    Comptroller;
13        (j)  As to any individual listed,  that  such  individual
14    has  conducted  or is about to conduct any business on behalf
15    of the applicant in a fraudulent manner,; has been  convicted
16    of any felony or misdemeanor an essential element of which is
17    fraud,  has  had a judgment rendered against him or her based
18    on fraud in any civil litigation, or has  failed  to  satisfy
19    any  enforceable  judgment  or decree rendered against him by
20    any court of competent jurisdiction, or has been convicted of
21    any felony or any theft-related offense;
22        (k)  The applicant or licensee has  failed  to  make  the
23    annual  report required by this Act or to comply with a final
24    order, decision, or finding of the Comptroller made  pursuant
25    to this Act;
26        (l)  The  applicant  or  licensee,  including any member,
27    officer, or director thereof if the applicant or licensee  is
28    a  firm,  partnership,  association,  or  corporation and any
29    shareholder holding more than 10% of the corporate stock, has
30    violated any provision of this Act or any regulation or order
31    made by the Comptroller under this Act; or
32        (m)  The Comptroller finds any fact or condition existing
33    which, if  it  had  existed  at  the  time  of  the  original
34    application   for  such  license  would  have  warranted  the
 
                            -66-           LRB9112160STsbam01
 1    Comptroller in refusing the issuance of the license.
 2    (Source: P.A. 85-842.)

 3        (815 ILCS 390/8) (from Ch. 21, par. 208)
 4        Sec. 8.  (a) Every  license  issued  by  the  Comptroller
 5    shall  state the number of the license, the business name and
 6    address of the licensee's principal place of  business,  each
 7    branch  location  also  operating  under the license, and the
 8    licensee's parent company, if  any.  licensee  at  which  the
 9    business  is  to  be  conducted,  and   The  license shall be
10    conspicuously posted in each the place of business  operating
11    under  the license.  No more than one place of business shall
12    be maintained under the same license,  but   The  Comptroller
13    may issue additional licenses as may be necessary for license
14    branch  locations  more  than  one license to a licensee upon
15    compliance with the  provisions  of  this  Act  governing  an
16    original issuance of a license for each new license.
17        (b)  Individual  salespersons  representing employed by a
18    licensee shall not be required to obtain  licenses  in  their
19    individual  capacities  but  must  acknowledge, by affidavit,
20    that they have been educated in the provisions  of  this  Act
21    and must understand the penalties for failure to comply.  The
22    licensee   must  retain  copies  of  the  affidavits  of  its
23    salespersons for its records and  must  make  the  affidavits
24    available to the Comptroller for examination upon request.
25        (c)  The licensee shall be responsible for the activities
26    of  any  person  representing  the  licensee  in  selling  or
27    offering  a  pre-need  contract  for  sale all individuals or
28    sales organizations selling under contract with, as agents or
29    on behalf of the licensee.
30        (d)  Any sales company or other  person  not  selling  on
31    behalf  of  a licensee shall be required to obtain his or her
32    its own license.
33        (e)  Any person engaged in  pre-need  sales,  as  defined
 
                            -67-           LRB9112160STsbam01
 1    herein,  prior to the effective date of this Act may continue
 2    operations until the application for license under  this  Act
 3    is  denied;  provided that such person shall make application
 4    for a license within 60 days of  the  date  that  application
 5    forms are made available by the Comptroller.
 6        (f)  No  license  shall  be  transferable  or  assignable
 7    without  the  express  written consent of the Comptroller.  A
 8    transfer of more than 50% of the ownership  of  any  business
 9    licensed  hereunder  shall  be  deemed  to  be  an  attempted
10    assignment  of  the license originally issued to the licensee
11    for which consent of the Comptroller shall be required.
12        (g)  Every license issued hereunder shall remain in force
13    until the same has been suspended, surrendered or revoked  in
14    accordance  with  this  Act,  but  the  Comptroller, upon the
15    request of an interested person or on  his  own  motion,  may
16    issue  new  licenses  to a licensee whose license or licenses
17    have been revoked, if no  factor  or  condition  then  exists
18    which  would  have  warranted  the  Comptroller  in  refusing
19    originally the issuance of such license.
20    (Source: P.A. 84-239.)

21        (815 ILCS 390/8a)
22        Sec.  8a.   Investigation  of  unlawful practices.  If it
23    appears to the Comptroller that a person has engaged  in,  is
24    engaging  in,  or  is  about  to  engage  in  any practice in
25    violation of  declared  to  be  unlawful  by  this  Act,  the
26    Comptroller may:
27             (1)  require  that  person  to file on such terms as
28        the Comptroller  prescribes  a  statement  or  report  in
29        writing,   under   oath   or  otherwise,  containing  all
30        information the Comptroller  may  consider  necessary  to
31        ascertain  whether  a licensee is in compliance with this
32        Act, or whether  an  unlicensed  person  is  engaging  in
33        activities for which a license is required;
 
                            -68-           LRB9112160STsbam01
 1             (2)  examine  under  oath  any  person in connection
 2        with the books and records pertaining  to  or  having  an
 3        impact  upon  the  trust  funds required to be maintained
 4        pursuant to this Act;
 5             (3)  examine any books and records of the  licensee,
 6        trustee,  or  investment advisor that the Comptroller may
 7        consider necessary to ascertain compliance with this Act;
 8        and
 9             (4)  require the production of a copy of any record,
10        book, document, account, or paper  that  is  produced  in
11        accordance  with  this  Act  and  retain it in his or her
12        possession until the completion  of  all  proceedings  in
13        connection with which it is produced.
14    (Source: P.A. 89-615, eff. 8-9-96.)

15        (815 ILCS 390/9) (from Ch. 21, par. 209)
16        Sec.  9.   The  Comptroller  may,  upon  his  own  motion
17    investigate  the actions of any person providing, selling, or
18    offering pre-need sales contracts or of any applicant or  any
19    person or persons holding or claiming to hold a license under
20    this  Act.   The Comptroller shall make such an investigation
21    on receipt of the verified written complaint  of  any  person
22    setting  forth  facts  which,  if  proved,  would  constitute
23    grounds  for  refusal, suspension, or revocation of a license
24    with respect to which grounds for  revocation  may  occur  or
25    exist,  or  if he shall find that such grounds for revocation
26    are of general application to all offices or to more than one
27    office operated by such licensee, he may revoke  all  of  the
28    licenses  issued to such licensee or such number of licensees
29    to which grounds apply, as the case may be.  Before  refusing
30    to  issue,  and before suspension or revocation of a license,
31    the Comptroller shall hold a hearing to determine whether the
32    applicant or licensee, hereafter called  the  respondent,  is
33    entitled  to  hold such a license.  At least 10 days prior to
 
                            -69-           LRB9112160STsbam01
 1    the date set for such hearing, the Comptroller  shall  notify
 2    the  respondent  in  writing  that  on  the date designated a
 3    hearing will be held  to  determine  his  eligibility  for  a
 4    license  and  that  he  may  appear  in person or by counsel.
 5    Such  written  notice  may  be  served  on   the   respondent
 6    personally,  or  by  registered or certified mail sent to the
 7    respondent's  business  address  as  shown  in   his   latest
 8    notification  to the Comptroller and shall include sufficient
 9    information to inform the respondent of the general nature of
10    the charge.  At the hearing,  both  the  respondent  and  the
11    complainant shall be accorded ample opportunity to present in
12    person or by counsel such statements, testimony, evidence and
13    argument as may be pertinent to the charges or to any defense
14    thereto.    The  Comptroller  may  reasonably  continue  such
15    hearing from time to time.
16        The Comptroller may subpoena any  person  or  persons  in
17    this  State  and  take  testimony orally, by deposition or by
18    exhibit, in the same  manner  and  with  the  same  fees  and
19    mileage as prescribed in judicial proceedings in civil cases.
20        Any  authorized  agent  of the Comptroller may administer
21    oaths to witnesses at any hearing which  the  Comptroller  is
22    authorized to conduct.
23        The   Comptroller,   at  his  expense,  shall  provide  a
24    certified shorthand reporter to take down the  testimony  and
25    preserve  a  record  of all proceedings at the hearing of any
26    case involving the refusal to issue a license, the suspension
27    or revocation of a license,  the  imposition  of  a  monetary
28    penalty,  or the referral of a case for criminal prosecution.
29    The record of any such proceeding shall consist of the notice
30    of hearing, complaint, all other documents in the  nature  of
31    pleadings  and  written motions filed in the proceedings, the
32    transcript of testimony and the  report  and  orders  of  the
33    Comptroller.   Copies of the transcript of such record may be
34    purchased from the certified shorthand reporter who  prepared
 
                            -70-           LRB9112160STsbam01
 1    the record or from the Comptroller.
 2    (Source: P.A. 84-239.)

 3        (815 ILCS 390/12) (from Ch. 21, par. 212)
 4        Sec. 12.  License revocation or suspension.
 5        (a)  The Comptroller may, upon determination that grounds
 6    exist  for  the  revocation or suspension of a license issued
 7    under this Act, revoke or suspend the  license  issued  to  a
 8    particular  branch  office location with respect to which the
 9    grounds for revocation or suspension may occur or  exist,  or
10    as  many  of  the  licenses  issued to the licensee as may be
11    determined appropriate by the Comptroller.
12        (b)  Upon the revocation or suspension  of  any  license,
13    the  licensee  shall  immediately  surrender  the  license or
14    licenses and any branch office licenses to  the  Comptroller.
15    If the licensee fails to do so, the Comptroller has the right
16    to seize the license or licenses same.
17    (Source: P.A. 84-239.)

18        (815 ILCS 390/14) (from Ch. 21, par. 214)
19        Sec. 14.  Contract required.
20        (a)  It  is unlawful for any person seller doing business
21    within this State to accept sales proceeds,  either  directly
22    or  indirectly, by any means, unless the seller enters into a
23    pre-need sales contract with the purchaser  which  meets  the
24    following requirements:
25             (1)  A  written  sales contract shall be executed in
26        at least 12 point type in  duplicate  for  each  pre-need
27        sale  made  by a licensee, and a signed copy given to the
28        purchaser. Each completed contract shall be numbered  and
29        shall  contain the name and address of the purchaser, the
30        principal  office  and  all  branch  locations   of   the
31        licensee,  the  parent  company, and the provider seller,
32        the name of the person, if known, who is to  receive  the
 
                            -71-           LRB9112160STsbam01
 1        cemetery  merchandise, cemetery services or the completed
 2        interment,  entombment  or  inurnment  spaces  under  the
 3        contract  and  specifically  identify  such  merchandise,
 4        services or spaces to be provided and the  price  of  the
 5        merchandise, services, or space or spaces.
 6             (2)  In  addition,  such  contracts  must  contain a
 7        provision in distinguishing typeface as follows:
 8             "Notwithstanding anything in this  contract  to  the
 9        contrary,  you  are  afforded  certain specific rights of
10        cancellation and refund under Sections 18 and 19  of  the
11        Illinois Pre-Need Cemetery Sales Act, enacted by the 84th
12        General Assembly of the State of Illinois".
13             (3)  All pre-need sales contracts shall be sold on a
14        guaranteed price basis. At the time of performance of the
15        service  or delivery of the merchandise, the seller shall
16        be prohibited from assessing the purchaser or  his  heirs
17        or   assigns   or   duly  authorized  representative  any
18        additional  charges  for  the  specific  merchandise  and
19        services listed on the pre-need sales contract.
20             (4)  Each contract shall clearly disclose  that  the
21        price  of  the  merchandise or services is guaranteed and
22        shall contain the following statement in  12  point  bold
23        type:
24             "THIS   CONTRACT   GUARANTEES  THE  BENEFICIARY  THE
25        SPECIFIC   GOODS,   AND   SERVICES,   INTERMENT   SPACES,
26        ENTOMBMENT SPACES, AND INURNMENT SPACES  CONTRACTED  FOR.
27        NO  ADDITIONAL  CHARGES  MAY  BE REQUIRED. FOR DESIGNATED
28        GOODS, AND SERVICES, AND SPACES.  ADDITIONAL CHARGES  MAY
29        BE INCURRED FOR UNEXPECTED EXPENSES."
30             (5)  The  pre-need sales contract shall provide that
31        if   the   particular   cemetery    services,    cemetery
32        merchandise, or spaces specified in the pre-need contract
33        are unavailable at the time of delivery, the seller shall
34        be  required to furnish services, merchandise, and spaces
 
                            -72-           LRB9112160STsbam01
 1        similar in  style  and  at  least  equal  in  quality  of
 2        material and workmanship.
 3             (6)  The  pre-need  contract shall also disclose any
 4        specific penalties to be incurred by the purchaser  as  a
 5        result  of  failure to make payments; and penalties to be
 6        incurred or moneys or refunds to be received as a  result
 7        of cancellation of the contract.
 8             (7)  The pre-need contract shall disclose the nature
 9        of the relationship between the provider and the seller.
10             (8)  Each  pre-need  contract  that  authorizes  the
11        delivery of cemetery merchandise to a licensed and bonded
12        warehouse shall provide that prior to or upon delivery of
13        the  merchandise  to  the  warehouse  (i) the merchandise
14        shall be permanently identified  with  the  name  of  the
15        buyer;  and  (ii)  the  title  to  the  merchandise and a
16        warehouse receipt shall be delivered to the purchaser  or
17        beneficiary.   The  pre-need  contact  shall  contain the
18        following statement in 12 point bold type:
19        "THIS CONTRACT AUTHORIZES THE DELIVERY OF MERCHANDISE  TO
20        A  LICENSED  AND  BONDED  WAREHOUSE  FOR  STORAGE  OF THE
21        MERCHANDISE  UNTIL  THE  MERCHANDISE  IS  NEEDED  BY  THE
22        BENEFICIARY. DELIVERY OF THE MERCHANDISE IN  THIS  MANNER
23        MAY   PRECLUDE   REFUND   OF   SALE   PROCEEDS  THAT  ARE
24        ATTRIBUTABLE TO THE DELIVERED MERCHANDISE."
25             The purchaser shall initial  the  statement  at  the
26        time of entry into the pre-need contract.
27             (9)  Each  pre-need  contract  that  authorizes  the
28        placement  of  cemetery  merchandise  at  the site of its
29        ultimate use prior to the time that  the  merchandise  is
30        needed  by  the  beneficiary  shall contain the following
31        statement in 12 point bold type:
32        "THIS CONTRACT AUTHORIZES THE PLACEMENT OF MERCHANDISE AT
33        THE SITE OF ITS ULTIMATE USE PRIOR TO THE TIME  THAT  THE
34        MERCHANDISE IS NEEDED BY THE BENEFICIARY. DELIVERY OF THE
 
                            -73-           LRB9112160STsbam01
 1        MERCHANDISE  IN  THIS  MANNER MAY PRECLUDE REFUND OF SALE
 2        PROCEEDS  THAT  ARE   ATTRIBUTABLE   TO   THE   DELIVERED
 3        MERCHANDISE."
 4             The  purchaser  shall  initial  the statement at the
 5        time of entry into the pre-need contract.
 6        (b)  Every pre-need sales contract must be  in  writing.,
 7    and no pre-need sales contract form may be used unless it has
 8    previously  been filed with the Comptroller.  The Comptroller
 9    shall review all pre-need  sales  contract  forms  and,  upon
10    written notification to the seller, shall prohibit the use of
11    contract forms that do not meet the requirements of this Act.
12    Any  use or attempted use of any oral pre-need sales contract
13    or any written pre-need sales contract in a  form  not  filed
14    with  the  Comptroller  or  in  a form that does not meet the
15    requirements of this Act shall be deemed a violation of  this
16    Act  and  is  voidable  by the purchaser without penalty. The
17    Comptroller may  by  rule  develop  a  model  pre-need  sales
18    contract form that meets the requirements of this Act.
19        (c)  To the extent the Rule is applicable, every pre-need
20    sales  contract  is  subject  to the Federal Trade Commission
21    Rule concerning the Cooling-Off Period for Door-to-Door Sales
22    (16 CFR Part 429).
23        (d)  No pre-need sales contract may be  entered  into  in
24    this  State  unless  there  is  a  provider  for the cemetery
25    merchandise, cemetery services,  and  undeveloped  interment,
26    inurnment,  and  entombment spaces being sold.  If the seller
27    is not the provider, then the  seller  must  have  a  binding
28    agreement  with  a provider, and the identity of the provider
29    and the nature of the agreement between the  seller  and  the
30    provider  must be disclosed in the pre-need sales contract at
31    the time of sale and before the receipt of any sale proceeds.
32    The failure to disclose the identity  of  the  provider,  the
33    nature  of the agreement between the seller and the provider,
34    or any changes thereto to the purchaser and  beneficiary,  or
 
                            -74-           LRB9112160STsbam01
 1    the  failure to make the disclosures required by this Section
 2    constitutes an intentional violation of this Act.
 3        (e)  No pre-need contract may be  entered  into  in  this
 4    State  unless  it  is  accompanied  by  a  funding  mechanism
 5    permitted under this Act and unless the seller is licensed by
 6    the  Comptroller as provided in this Act. Nothing in this Act
 7    is intended to  relieve  providers  or  sellers  of  pre-need
 8    contracts  from  being  licensed under any other Act required
 9    for their profession or business or from being subject to the
10    rules promulgated to regulate their profession  or  business,
11    including rules on solicitation and advertisement.
12        (f)  No  pre-need  contract  may  be entered into in this
13    State unless the seller explains to the purchaser  the  terms
14    of the pre-need contact prior to the purchaser's signing.
15        (g)  The  State  Comptroller  shall develop a booklet for
16    consumers in plain English describing the scope, application,
17    and consumer protections of this Act. After  the  booklet  is
18    developed,  no  pre-need  contract  may be sold in this State
19    unless the seller distributes to the purchaser prior  to  the
20    sale  a  booklet  developed  or approved for use by the State
21    Comptroller.
22    (Source: P.A. 91-7, eff. 1-1-2000.)

23        (815 ILCS 390/15) (from Ch. 21, par. 215)
24        Sec. 15.  (a) Whenever a seller receives  sales  proceeds
25    anything of value under a pre-need sales contract, the person
26    receiving  such  value  shall  deposit  50%  of the sales all
27    proceeds received into one or more trust funds maintained  in
28    accordance with pursuant to this Section, except that, in the
29    case  of  proceeds  received for the purchase of outer burial
30    containers, 85% of the sales proceeds shall be deposited into
31    one or more trust funds. Such deposits shall  be  made  until
32    the  amount  deposited in trust equals 50% of the sales price
33    of  the   cemetery   merchandise,   cemetery   services   and
 
                            -75-           LRB9112160STsbam01
 1    undeveloped spaces included in such contract, except that, in
 2    the  case  of  deposits for outer burial containers, deposits
 3    shall be made until the amount deposited in trust equals  85%
 4    of  the  sales price. In the event an installment contract is
 5    factored, discounted or sold to a  third  party,  the  seller
 6    shall  deposit  an  amount equal to 50% of the sales price of
 7    the installment contract, except that, for the portion of the
 8    contract attributable to the sale of outer burial containers,
 9    the seller shall deposit an amount equal to 85% of the  sales
10    price.  Proceeds  required to be deposited in trust which are
11    attributable to cemetery merchandise  and  cemetery  services
12    shall  be  held  in  a  "Cemetery  Merchandise  Trust  Fund".
13    Proceeds   required  to  be  deposited  in  trust  which  are
14    attributable to the sale of undeveloped interment, entombment
15    or inurnment spaces shall  be  held  in  a  "Pre-construction
16    Trust  Fund".  If  merchandise  is delivered for storage in a
17    bonded  warehouse,  as  authorized  herein,  and  payment  of
18    transportation or other charges totaling more than  $20  will
19    be  required  in  order  to  secure  delivery  to the site of
20    ultimate use, upon such delivery to the warehouse the  seller
21    shall deposit to the trust fund the full amount of the actual
22    or  estimated  transportation  charge. Transportation charges
23    which have been prepaid by the seller shall not be  deposited
24    to  trust  funds maintained pursuant to this Section. As used
25    in this Section, "all proceeds" means the entire amount  paid
26    by  a purchaser in connection with a pre-need sales contract,
27    including   finance   charges   and   Cemetery    Care    Act
28    contributions,  but  excluding  sales  taxes  and credit life
29    insurance premiums.
30        (b)  All trust deposits required by  this  Act  shall  be
31    made  within  30  days  following  the  end  of  the month of
32    receipt.
33        (c)  A  trust  established  under  this   Act   must   be
34    maintained:
 
                            -76-           LRB9112160STsbam01
 1             (1)  in  a  trust  account  established  in  a bank,
 2        savings and loan association or credit  union  authorized
 3        to  do  business  in  Illinois  where  such  accounts are
 4        insured by an agency of the federal government;
 5             (2)  in a trust company authorized to do business in
 6        Illinois; or
 7             (3)  in  an  investment  company  authorized  to  do
 8        business in Illinois insured by  the  Securities  Brokers
 9        Insurance Corporation.
10        (d)  Funds  deposited  in  the  trust  account  shall  be
11    identified  in  the  records of the seller by the name of the
12    purchaser. Nothing shall prevent the trustee from commingling
13    the deposits in  any such trust  fund  for  purposes  of  the
14    management  thereof  and  the  investment of funds therein as
15    provided in the "Common Trust Fund Act",  approved  June  24,
16    1949,   as  amended.  In  addition,    multiple  trust  funds
17    maintained  pursuant  to  this  Act  may  be  commingled   or
18    commingled  with other funeral or burial related trust funds,
19    provided that all record keeping requirements imposed  by  or
20    pursuant to law are met.
21        (e)  In  lieu  of a pre-construction trust fund, a seller
22    of undeveloped interment, entombment or inurnment spaces  may
23    obtain and file with the Comptroller a performance bond in an
24    amount  at  least  equal  to  50%  of  the sales price of the
25    undeveloped  spaces  or  the  estimated  cost  of  completing
26    construction,  whichever  is  greater.   The  bond  shall  be
27    conditioned on the satisfactory construction  and  completion
28    of  the  undeveloped spaces as required in Section 19 of this
29    Act.
30        Each bond obtained  under  this  Section  shall  have  as
31    surety  thereon a corporate surety company incorporated under
32    the laws of the United States, or a State,  the  District  of
33    Columbia  or  a territory or possession of the United States.
34    Each such corporate surety  company  must  be  authorized  to
 
                            -77-           LRB9112160STsbam01
 1    provide  performance  bonds as required by this Section, have
 2    paid-up  capital  of  at  least  $250,000  in  cash  or   its
 3    equivalent  and  be  able  to  carry out its contracts.  Each
 4    pre-need seller must provide to  the  Comptroller,  for  each
 5    corporate surety company such seller utilizes, a statement of
 6    assets  and liabilities of the corporate surety company sworn
 7    to by the president  and  secretary  of  the  corporation  by
 8    January 1 of each year.
 9        The  Comptroller  shall  prohibit  pre-need  sellers from
10    doing new business with a corporate  surety  company  if  the
11    company  is insolvent or is in violation of this Section.  In
12    addition the Comptroller may  direct  a  pre-need  seller  to
13    reinstate    a   pre-construction   trust   fund   upon   the
14    Comptroller's determination that the corporate surety company
15    no longer is sufficient security.
16        All performance bonds issued  pursuant  to  this  Section
17    must  be irrevocable during the statutory term for completing
18    construction specified in Section  19  of  this  Act,  unless
19    terminated sooner by the completion of construction.
20        (f)  Whenever any pre-need contract shall be entered into
21    and  include   1)  items of cemetery merchandise and cemetery
22    services, and 2) rights to interment, inurnment or entombment
23    in completed spaces without  allocation  of  the  gross  sale
24    price  among  the  items  sold,  the  application of payments
25    received under the contract shall be allocated, first to  the
26    right  to interment, inurnment or entombment, second to items
27    of cemetery merchandise and cemetery  services,  unless  some
28    other allocation is clearly provided in the contract.
29        (g)  Any  person  engaging  in  pre-need sales who enters
30    into a combination sale which  involves  the  sale  of  items
31    covered  by  a  trust or performance bond requirement and any
32    item not covered by  any  entrustment  or  bond  requirement,
33    shall  be prohibited from increasing the gross sales price of
34    those items not requiring entrustment  with  the  purpose  of
 
                            -78-           LRB9112160STsbam01
 1    allocating  a lesser gross sales price to items which require
 2    a trust deposit or a performance bond.
 3    (Source: P.A. 91-7; eff. 1-1-2000.)

 4        (815 ILCS 390/16) (from Ch. 21, par. 216)
 5        Sec. 16.  Trust funds; disbursements.
 6        (a)  A trustee shall make no disbursements from the trust
 7    fund except as provided in this Act.
 8        (b)  A trustee shall, with respect to the  investment  of
 9    such  trust  funds,  exercise the judgment and care under the
10    circumstances then  prevailing  which  persons  of  prudence,
11    discretion  and  intelligence  exercise  in the management of
12    their own affairs, not  in  regard  to  speculation,  but  in
13    regard   to   the   permanent  disposition  of  their  funds,
14    considering the probable  income  as  well  as  the  probable
15    safety of their capital.
16        The  seller  shall act as trustee of all amounts received
17    for cemetery merchandise,  services,  or  undeveloped  spaces
18    until  those amounts have been deposited into the trust fund.
19    The seller may continue to be the trustee of up  to  $500,000
20    that  has  been deposited into the trust fund, but the seller
21    must retain an independent trustee for any  amount  of  trust
22    funds in excess of $500,000.  A seller holding trust funds in
23    excess  of  $500,000 on the effective date of this amendatory
24    Act of 1996 shall have 36 months  to  retain  an  independent
25    trustee  for the amounts over $500,000; any other seller must
26    retain an independent trustee for its trust funds  in  excess
27    of  $500,000  as  soon as may be practical.   The Comptroller
28    shall have the right to disqualify the trustee upon the  same
29    grounds  as  for  refusing  to  grant  or  revoking a license
30    hereunder.  Upon notice to the Comptroller,  the  seller  may
31    change the trustee of the trust fund.
32        (c)  The   trustee   may  rely  upon  certifications  and
33    affidavits made to it under the provisions of this  Act,  and
 
                            -79-           LRB9112160STsbam01
 1    shall not be liable to any person for such reliance.
 2        (d)  A  trustee  shall  be  allowed  to withdraw from the
 3    trust funds maintained pursuant to this Act, payable   solely
 4    from  the income earned on such trust funds, a reasonable fee
 5    for all usual and customary services for the operation of the
 6    trust fund, including,  but  not  limited  to  trustee  fees,
 7    investment  advisor  fees, allocation fees, annual audit fees
 8    and other similar fees. The  maximum  amount  allowed  to  be
 9    withdrawn  for these fees each year shall be the lesser of 3%
10    of the balance of the trust calculated on an annual basis  or
11    the amount of annual income generated therefrom.
12        (e)  The  trust shall be a single-purpose trust fund.  In
13    the  event  of  the  seller's   bankruptcy,   insolvency   or
14    assignment  for  the  benefit  of  creditors,  or  an adverse
15    judgment, the trust funds  shall  not  be  available  to  any
16    creditor  as  assets  of the seller or to pay any expenses of
17    any  bankruptcy  or  similar   proceeding,   but   shall   be
18    distributed to the purchasers or managed for their benefit by
19    the  trustee  holding  the  funds. Except in an action by the
20    Comptroller to revoke a license issued pursuant to  this  Act
21    and  for  creation of a receivership as provided in this Act,
22    the trust  shall  not  be  subject  to  judgment,  execution,
23    garnishment,  attachment,  or  other  seizure  by  process in
24    bankruptcy or otherwise, nor to sale,  pledge,  mortgage,  or
25    other  alienation,  and  shall  not  be  assignable except as
26    approved  by  the  Comptroller.  The  changes  made  by  this
27    amendatory Act of the 91st General Assembly are  intended  to
28    clarify  existing law regarding the inability of licensees to
29    pledge the trust.
30        (f)  Because it is not known at the time of deposit or at
31    the time that income is earned on the trust account  to  whom
32    the   principal   and   the   accumulated  earnings  will  be
33    distributed, for purposes of determining the Illinois  Income
34    Tax  due  on these trust funds, the principal and any accrued
 
                            -80-           LRB9112160STsbam01
 1    earnings or losses relating to each individual account  shall
 2    be  held in suspense until the final determination is made as
 3    to whom the account shall be paid.
 4    (Source: P.A. 91-7, eff. 6-1-99.)

 5        (815 ILCS 390/18) (from Ch. 21, par. 218)
 6        Sec. 18.  Remedies.
 7        (a)  If for any  reason  a  seller  who  has  engaged  in
 8    pre-need  sales  has  refused, cannot or does not comply with
 9    the terms of the pre-need sales contract within a  reasonable
10    time  after  he  is  required  to do so, the purchaser or his
11    heirs or assigns or duly authorized representative shall have
12    the right to a refund of an amount equal to the  sales  price
13    paid  for  undelivered  merchandise,  services or spaces plus
14    undistributed interest amounts held in trust attributable  to
15    such  contract,  within  30  days  of  the  filing of a sworn
16    affidavit with the trustee setting forth the existence of the
17    contract and the fact of breach.  A copy  of  this  affidavit
18    shall  be  filed with the Comptroller and the seller.  In the
19    event a  seller  is  prevented  from  performing  by  strike,
20    shortage  of  materials,  civil disorder, natural disaster or
21    any like occurrence beyond the control  of  the  seller,  the
22    seller's time for performance shall be extended by the length
23    of  such  delay.   Nothing  in this Section shall relieve any
24    person the seller from any liability for  non-performance  of
25    his obligations under the pre-need sales contract.
26        (b)  If  the  purchaser  defaults in making payments, the
27    seller shall have  the  right  to  cancel  the  contract  and
28    withdraw from the trust fund the entire balance to the credit
29    of the defaulting purchaser's account as liquidating damages.
30    In  such event, the trustee shall deliver said balance to the
31    seller  upon  its  certification,  and  upon  receiving  said
32    certification the trustee may rely thereon and shall  not  be
33    liable to anyone for such reliance.
 
                            -81-           LRB9112160STsbam01
 1        (c)  At any time prior to the performance of a service or
 2    delivery  of  merchandise  under  a  pre-need  contract,  any
 3    purchaser,  its  legal  representative,  or all beneficiaries
 4    under  the  contract  After  final  payment  on  a   pre-need
 5    contract,  any  beneficiary  may  upon  written  demand  of a
 6    seller, demand that the pre-need contract with such seller be
 7    terminated.  The seller shall, within  30  days,  initiate  a
 8    refund  to  such  purchaser, its legal representative, or all
 9    beneficiaries under the pre-need contract  in  an  amount  as
10    follows:
11             (1)  100%   of   the   sales   proceeds,   including
12        undistributed  interest earned thereon, if the purchaser,
13        its legal representative,  or  all  beneficiaries  demand
14        termination of the pre-need contract within 30 days after
15        the date of entry into the pre-need contract;
16             (2)  beneficiary  of The entire amount held in trust
17        attributable  to  undelivered  cemetery  merchandise  and
18        underperformed cemetery services, including undistributed
19        interest earned thereon,  if  the  purchaser,  its  legal
20        representative,  or  all beneficiaries demand termination
21        of the pre-need contract more than 30 days after the date
22        of entry into the pre-need contract. Where more than  one
23        beneficiary  is included in a pre-need contract, a seller
24        need not honor  a  demand  for  cancellation  under  this
25        paragraph  unless  all  beneficiaries  assent  and  their
26        signatures are included in written demand for refund.
27    (Source: P.A. 85-805.)

28        (815 ILCS 390/19) (from Ch. 21, par. 219)
29        Sec. 19.  Construction or development of spaces.
30        (a)  The   construction  or  development  of  undeveloped
31    interment, entombment or inurnment spaces shall be  commenced
32    on  that  phase, section or sections of undeveloped ground or
33    section  of   lawn   crypts,   mausoleums,   garden   crypts,
 
                            -82-           LRB9112160STsbam01
 1    columbariums  or  cemetery  spaces  in  which  sales are made
 2    within 3 years of the date of  the  first  such  sale.    The
 3    seller  shall give written notice to the Comptroller no later
 4    than 30 days after the first sale.  Such notice shall include
 5    a description of the project.  Once  commenced,  construction
 6    or  development  shall  be  pursued diligently to completion.
 7    The construction must be completed  within  6  years  of  the
 8    first  sale.  If construction or development is not commenced
 9    or completed within the times specified herein, any purchaser
10    may surrender and cancel the contract and  upon  cancellation
11    shall  be  entitled  to  a  refund of the actual amounts paid
12    toward the purchase price plus interest attributable to  such
13    amount earned while in trust; provided however that any delay
14    caused  by  strike,  shortage  of  materials, civil disorder,
15    natural disaster or any like occurrence beyond the control of
16    the seller shall extend the time  of  such  commencement  and
17    completion by the length of such delay.
18        (b)  At  any  time  within  12  months  of  a purchaser's
19    entering into a pre-need contract for undeveloped  interment,
20    entombment or inurnment spaces, a purchaser may surrender and
21    cancel  his  or  her  contract and upon cancellation shall be
22    entitled to a refund of the sales proceeds paid  towards  the
23    undeveloped  interment,  entombment,  or inurnment spaces the
24    actual amounts paid toward the purchase price  plus  interest
25    attributable   to   such   amount   earned  while  in  trust.
26    Notwithstanding the foregoing, the  cancellation  and  refund
27    rights  specified in this paragraph shall terminate as of the
28    date the seller commences construction or development of  the
29    phase,  section  or  sections  of undeveloped spaces in which
30    sales are made.  After the rights of cancellation and  refund
31    specified  herein have terminated, if a purchaser defaults in
32    making payments under the pre-need contract, the seller shall
33    have the right to cancel the contract and withdraw  from  the
34    trust fund the entire balance to the credit of the defaulting
 
                            -83-           LRB9112160STsbam01
 1    purchaser's  account  as  liquidated damages.  In such event,
 2    the trustee shall deliver said balance to the seller upon its
 3    certification, and  upon  receiving  said  certification  the
 4    trustee  may  rely  thereon and shall not be liable to anyone
 5    for such reliance.
 6        (c)  During the construction or development of interment,
 7    entombment or inurnment spaces, upon the sworn  certification
 8    by  the seller and the contractor to the trustee, the trustee
 9    shall disburse from the trust fund the amount  equivalent  to
10    the  cost  of  performed  labor  or  delivered  materials  as
11    certified.   Said certification shall be substantially in the
12    following form:
13        We, the undersigned, being respectively  the  Seller  and
14    Contractor,   do  hereby  certify  that  the  Contractor  has
15    performed labor or delivered materials or both to (address of
16    property)  ..........,  in  connection  with  a  contract  to
17    .........., and that as of this date the value of  the  labor
18    performed and materials delivered is $.......
19        We  do  further  certify  that  in  connection  with such
20    contract there remains labor to be performed,  and  materials
21    to be delivered, of the value of $........
22        This Certificate is signed (insert date).
23    ............              ............
24       Seller                  Contractor

25        A   person   who   executes  and  delivers  a  completion
26    certificate with actual  knowledge  of  a  falsity  contained
27    therein  shall  be  considered  in  violation of this Act and
28    subject to the penalties contained herein.
29        (d)  Except as  otherwise  authorized  by  this  Section,
30    every  seller  of undeveloped spaces shall provide facilities
31    for  temporary  interment,  entombment   or   inurnment   for
32    purchasers  or  beneficiaries  of  contracts who die prior to
33    completion of the space.  Such temporary facilities shall  be
34    constructed   of   permanent   materials,   and,  insofar  as
 
                            -84-           LRB9112160STsbam01
 1    practical, be landscaped and groomed to the extent  customary
 2    in  the  cemetery  industry  in  that  community.  The heirs,
 3    assigns,  or  personal  representative  of  a  purchaser   or
 4    beneficiary   shall  not  be  required  to  accept  temporary
 5    underground interment  spaces  where  the  undeveloped  space
 6    contracted  for  was  an above ground entombment or inurnment
 7    space.  In the event that temporary facilities  as  described
 8    in this paragraph are not made available, upon the death of a
 9    purchaser  or  beneficiary,  the  heirs, assigns, or personal
10    representative is entitled to a refund of  the  entire  sales
11    price  paid  plus undistributed interest attributable to such
12    amount while in trust.
13        (e)  If the seller delivers a completed space  acceptable
14    to  the  heirs,  assigns  or  personal  representative  of  a
15    purchaser or beneficiary, other than the temporary facilities
16    specified herein, in lieu of the undeveloped space purchased,
17    the   seller  shall  provide  the  trustee  with  a  delivery
18    certificate and all sums deposited under the  pre-need  sales
19    contract,  including  the undistributed income, shall be paid
20    to the seller.
21        (f)  Upon completion of the phase, section or sections of
22    the project as certified to the trustee by the seller and the
23    contractor  and  delivery   of   the   completed   interment,
24    entombment,  or  inurnment  space to the purchaser, the trust
25    fund requirements set forth herein shall  terminate  and  all
26    funds  held in the preconstruction trust fund attributable to
27    the completed phase, section or sections, including  interest
28    accrued thereon, shall be returned to the seller.
29        (g)  This   Section  shall  not  apply  to  the  sale  of
30    undeveloped spaces if there has been any  such  sale  in  the
31    same  phase,  section or sections of the project prior to the
32    effective date of this Act.
33    (Source: P.A. 91-357, eff. 7-29-99.)
 
                            -85-           LRB9112160STsbam01
 1        (815 ILCS 390/20) (from Ch. 21, par. 220)
 2        Sec. 20.  Records.
 3        (a)  Each licensee must keep accurate accounts, books and
 4    records in this State at  the  principal  place  of  business
 5    identified  in  the  licensee's  license  application  or  as
 6    otherwise  approved  by  the  Comptroller  in  writing of all
 7    transactions, copies of  agreements,  dates  and  amounts  of
 8    payments  made  or  received,  the names and addresses of the
 9    contracting parties, the names and addresses of  persons  for
10    whose  benefit funds are received, if known, and the names of
11    the trust depositories. Additionally, for  a  period  not  to
12    exceed  6  months  after  the  performance  of all terms in a
13    pre-need sales contract, the licensee shall  maintain  copies
14    of  each  pre-need  contract  at the licensee branch location
15    where the contract was entered.
16        (b)  Each licensee  must  maintain  such  records  for  a
17    period of 3 years after the licensee shall have fulfilled his
18    or  her  obligation  under  the  pre-need contract or 3 years
19    after any stored merchandise shall have been provided to  the
20    purchaser or beneficiary, whichever is later.
21        (c)  Each   licensee   shall   submit   reports   to  the
22    Comptroller annually, under oath, on forms furnished  by  the
23    Comptroller.   The annual report shall contain, but shall not
24    be limited to, the following:
25             (1)  An accounting  of  the  principal  deposit  and
26        additions of principal during the fiscal year.
27             (2)  An accounting of any withdrawal of principal or
28        earnings.
29             (3)  An  accounting  at the end of each fiscal year,
30        of the total amount of principal and earnings held.
31        (d)  The annual report shall be  filed  by  the  licensee
32    with  the  Comptroller  within  75  days after the end of the
33    licensee's fiscal year.  An extension of up to 60 days may be
34    granted by the Comptroller, upon a showing  of  need  by  the
 
                            -86-           LRB9112160STsbam01
 1    licensee.   Any  other reports shall be in the form furnished
 2    or specified by the Comptroller.   If  a  licensee  fails  to
 3    submit  an  annual  report to the Comptroller within the time
 4    specified in this Section, the Comptroller shall impose  upon
 5    the  licensee  a  penalty  of  $5  for each and every day the
 6    licensee remains delinquent in submitting the annual  report.
 7    Each report shall be accompanied by a check or money order in
 8    the   amount  of  $10  payable  to:   Comptroller,  State  of
 9    Illinois.
10        (e)  On and after the effective date of  this  amendatory
11    Act  of  the 91st General Assembly, a licensee may report all
12    required information concerning  the  sale  of  outer  burial
13    containers  on  the  licensee's  annual report required to be
14    filed under this Act and shall not be required to report that
15    information under the Illinois Funeral or Burial  Funds  Act,
16    as long as the information is reported under this Act.
17    (Source: P.A. 91-7, eff. 1-1-2000.)

18        (815 ILCS 390/22) (from Ch. 21, par. 222)
19        Sec. 22.  Cemetery Consumer Protection Fund.
20        (a)  Every seller engaging in pre-need sales shall pay to
21    the Comptroller $5 for each said contract entered into, to be
22    paid into a special income earning fund hereby created in the
23    State Treasury, known as  the  Cemetery  Consumer  Protection
24    Fund.    The  above  said  fees  shall  be  remitted  to  the
25    Comptroller semi-annually within 30 days  after  the  end  of
26    June and December for all contracts that have been entered in
27    such 6 month period.
28        (b)  All  monies  paid  into  the  fund together with all
29    accumulated undistributed income thereon shall be held  as  a
30    special  fund  in the State Treasury.  The fund shall be used
31    solely for the purpose of providing restitution to  consumers
32    who  have  suffered  pecuniary  loss  arising out of pre-need
33    sales.
 
                            -87-           LRB9112160STsbam01
 1        (c)  The fund shall be applied  only  to  restitution  or
 2    completion  of  the project or delivery of the merchandise or
 3    services, where such has been ordered by the Circuit Court in
 4    a lawsuit brought under this Act by the Attorney  General  of
 5    the  State  of  Illinois  on behalf of the Comptroller and in
 6    which it has been determined by the Court that the obligation
 7    is non-collectible from  the  judgment  debtor.   Restitution
 8    shall  not  exceed  the  amount  of the sales price paid plus
 9    interest at the statutory rate.  The fund shall not  be  used
10    for the payment of any attorney or other fees.
11        (d)  Whenever  restitution  is paid by the fund, the fund
12    shall be subrogated to the amount of  such  restitution,  and
13    the  Comptroller shall request the Attorney General to engage
14    in all reasonable post judgment collection steps  to  collect
15    said  restitution  from the judgment debtor and reimburse the
16    fund.
17        (e)  The fund shall not be applied toward any restitution
18    for losses in any lawsuit initiated by the  Attorney  General
19    or  Comptroller or with respect to any claim made on pre-need
20    sales which occurred prior to the effective date of this Act.
21        (f)  The fund may not be allocated for any purpose  other
22    than that specified in this Act.
23        (g)  Notwithstanding any other provision of this Section,
24    the payment of restitution from the fund shall be a matter of
25    grace and not of right and no purchaser shall have any vested
26    rights  in  the fund as a beneficiary or otherwise.  Prior to
27    seeking restitution from the fund, a purchaser or beneficiary
28    seeking payment of restitution shall apply for restitution on
29    a form provided by the Comptroller. The  form  shall  include
30    any  information  the  Comptroller  may reasonably require in
31    order  for  the  Court  to  determine  that  restitution   or
32    completion  of  the  project  or  delivery  of merchandise or
33    service is appropriate.
34        (h)  Annually, the status of the fund shall  be  reviewed
 
                            -88-           LRB9112160STsbam01
 1    by  the  Comptroller,  and  if  he  determines  that the fund
 2    together with all accumulated income earned  thereon,  equals
 3    or   exceeds   $10,000,000  and  that  the  total  number  of
 4    outstanding claims filed against the fund is less than 10% of
 5    the fund's current balance, then payments to the  fund  shall
 6    be  suspended  until  such  time  as the fund's balance drops
 7    below $10,000,000 or the total number of  outstanding  claims
 8    filed against the fund is more than 10% of the fund's current
 9    balance,  but  on  such  suspension,  the  fund  shall not be
10    considered inactive.
11    (Source: P.A. 84-239.)

12        (815 ILCS 390/23) (from Ch. 21, par. 223)
13        Sec. 23. Violations and penalties.
14        (a)  Any person intentionally violating any provision  of
15    this Act is guilty of a Class 4 felony.
16        (b)  If  any person violates this Act or fails or refuses
17    to comply with any order  of  the  Comptroller  or  any  part
18    thereof which to such person has become final and is still in
19    effect,  the  Comptroller  may,  after  notice and hearing at
20    which it is determined that a violation of this Act  or  such
21    order  has  been  committed,  further  order that such person
22    shall forfeit and pay to the State of Illinois a sum  not  to
23    exceed  $10,000  $5,000  for  each violation.  Such liability
24    shall be enforced in  an  action  brought  in  any  court  of
25    competent  jurisdiction by the Comptroller in the name of the
26    people of the State of Illinois.
27        (c)  Whenever a license is revoked by the Comptroller, or
28    the Comptroller determines that  any  person  is  engaged  in
29    pre-need  sales  without  a  license,  he  shall apply to the
30    circuit court of the county where such person is located  for
31    a receiver to administer the business of such person.
32        (d)  Whenever  a  licensee  fails  or  refuses  to make a
33    required report or whenever it  appears  to  the  Comptroller
 
                            -89-           LRB9112160STsbam01
 1    from  any  report  or  examination  that  such  licensee  has
 2    committed a violation of law or that the trust funds have not
 3    been   administered   properly   or  that  it  is  unsafe  or
 4    inexpedient for such licensee or the  trustee  of  the  trust
 5    funds  of  such licensee to continue to administer such funds
 6    or that any officer of such licensee or of the trustee of the
 7    trust funds of such licensee has abused his trust or has been
 8    guilty of misconduct or  breach  of  trust  in  his  official
 9    position injurious to such licensee or that such licensee has
10    suffered  as  to  its  trust funds a serious loss by larceny,
11    embezzlement,  burglary,  repudiation   or   otherwise,   the
12    Comptroller  shall,  by  order,  direct the discontinuance of
13    such illegal, unsafe  or  unauthorized  practices  and  shall
14    direct strict conformity with the requirements of the law and
15    safety  and security in its transactions and may apply to the
16    circuit court of the county where such licensee is located to
17    prevent any disbursements or expenditures  by  such  licensee
18    until the trust funds are in such condition that it would not
19    be  jeopardized thereby and the Comptroller shall communicate
20    the facts to the Attorney General of the  State  of  Illinois
21    who  shall  thereupon  institute such proceedings against the
22    licensee or its trustee or the officers of either or both  as
23    the nature of the case may require.
24        (e)  In  addition  to  the  other  penalties and remedies
25    provided in this Act,  the  Comptroller  may  bring  a  civil
26    action  in  the  county  of  residence of the licensee or any
27    person engaging in pre-need sales, to enjoin any violation or
28    threatened violation of this Act.
29        (e-5)  Any person that violates any provision of this Act
30    or fails to comply with an order of the Comptroller is liable
31    for a  civil  penalty  of  not  to  exceed  $10,000  for  the
32    violation  and  an  additional civil penalty of not to exceed
33    $1,000 for each day during  which  the  violation  continues.
34    These  penalties are in addition to any penalties that may be
 
                            -90-           LRB9112160STsbam01
 1    issued  under  the  Consumer  Fraud  and  Deceptive  Business
 2    Practices Act for knowing violations of this Act.  The  civil
 3    penalties provided for in this subsection may be recovered in
 4    a civil action.
 5        (f)  The powers vested in the Comptroller by this Section
 6    are  additional  to  any  and  all  other powers and remedies
 7    vested  in  the  Comptroller  by  law,  and  nothing   herein
 8    contained   shall   be   construed   as  requiring  that  the
 9    Comptroller shall employ the powers conferred herein  instead
10    of  or  as a condition precedent to the exercise of any other
11    power or remedy vested in the Comptroller.
12    (Source: P.A. 88-477.)

13        (815 ILCS 390/27.1 new)
14        Sec. 27.1.  Sales; liability of purchaser  for  shortage.
15    In  the  event  of a sale or transfer of all or substantially
16    all of the assets of the licensee, the sale  or  transfer  of
17    the  controlling  interest  of  the  corporate  stock  of the
18    licensee if the  licensee  is  a  corporation,  the  sale  or
19    transfer  of  the  controlling interest of the partnership if
20    the  licensee  is  a  partnership,  or   sale   pursuant   to
21    foreclosure  proceedings,  the  purchaser  is  liable for any
22    shortages existing before or after  the  sale  in  the  trust
23    funds required to be maintained in a trust under this Act and
24    shall honor all pre-need contracts and trusts entered into by
25    the  licensee.  Any  shortages  existing  in  the trust funds
26    constitute a prior lien in favor of the trust for  the  total
27    value  of  the  shortages,  and  notice  of that lien must be
28    provided in all sales instruments.
29        In  the  event  of  a  sale  or  transfer   of   all   or
30    substantially  all of the assets of the licensee, the sale or
31    transfer of the controlling interest of the  corporate  stock
32    of the licensee if the licensee is a corporation, or the sale
33    or transfer of the controlling interest of the partnership if
 
                            -91-           LRB9112160STsbam01
 1    the  licensee  is a partnership, the licensee shall, at least
 2    21  days  prior  to  the  sale  or   transfer,   notify   the
 3    Comptroller,  in  writing,  of  the  pending  date of sale or
 4    transfer so as to permit the Comptroller to audit  the  books
 5    and  records  of  the  licensee.  The audit must be commenced
 6    within 10 business days after the receipt of the notification
 7    and completed within the 21-day  notification  period  unless
 8    the Comptroller notifies the licensee during that period that
 9    there  is  a  basis  for  determining a deficiency which will
10    require additional time to finalize.  The  sale  or  transfer
11    may not be completed by the licensee unless and until:
12             (i)  the  Comptroller has completed the audit of the
13        licensee's books and records;
14             (ii) any delinquency existing in the trust funds has
15        been paid by the licensee, or  arrangements  satisfactory
16        to  the Comptroller have been made by the licensee on the
17        sale or transfer for the payment of any delinquency;
18             (iii)  the  Comptroller  issues   a   license   upon
19        application  of  the  new  owner,  which  license must be
20        applied for within 30 days after the anticipated date  of
21        the  sale  or  transfer,  subject  to  the payment of any
22        delinquencies, if any, as stated in item (ii).
23        For  purposes  of   this   Section,   a   person,   firm,
24    corporation,  partnership,  or  institution that acquires the
25    licensee through a real estate foreclosure is subject to  the
26    provisions  of  this  Section.  The  sale  or transfer of the
27    controlling interest of a licensee  to  an  immediate  family
28    member  is  not  subject  to  the license application process
29    required in item (iii) of this Section.

30        Section 50. Severability. If any provision of this Act or
31    its  application  to  any  person  or  circumstance  is  held
32    invalid, the invalidity of that provision or application does
33    not affect other provisions or applications of this Act  that
 
                            -92-           LRB9112160STsbam01
 1    can   be  given  effect  without  the  invalid  provision  or
 2    application.

 3        Section  99.  Effective  date.  This  Act  takes   effect
 4    January 1, 2001.".

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