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Public Act 100-0188 |
HB3528 Enrolled | LRB100 11358 SMS 21742 b |
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AN ACT concerning regulation.
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Be it enacted by the People of the State of Illinois,
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represented in the General Assembly:
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Section 5. The Real Estate License Act of 2000 is amended |
by changing Sections 1-10, 5-5, 5-10, 5-27, 5-28, 5-50, 5-70, |
5-75, 5-80, 20-20, 20-60, 25-10, 30-5, 30-15, 30-20, and 30-25 |
and the heading of Article 30 as follows:
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(225 ILCS 454/1-10)
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(Section scheduled to be repealed on January 1, 2020)
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Sec. 1-10. Definitions. In this Act, unless the context |
otherwise requires:
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"Act" means the Real Estate License Act of 2000.
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"Address of record" means the designated address recorded |
by the Department in the applicant's or licensee's application |
file or license file as maintained by the Department's |
licensure maintenance unit. It is the duty of the applicant or |
licensee to inform the Department of any change of address, and |
those changes must be made either through the Department's |
website or by contacting the Department. |
"Advisory Council" means the Real Estate Education |
Advisory Council created
under Section 30-10 of this Act.
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"Agency" means a relationship in which a broker or |
licensee,
whether directly or through an affiliated licensee, |
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represents a consumer by
the consumer's consent, whether |
express or implied, in a real property
transaction.
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"Applicant" means any person, as defined in this Section, |
who applies to
the Department for a valid license as a managing |
broker, broker, or
leasing agent.
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"Blind advertisement" means any real estate advertisement |
that does not
include the sponsoring broker's business name and |
that is used by any licensee
regarding the sale or lease of |
real estate, including his or her own, licensed
activities, or |
the hiring of any licensee under this Act. The broker's
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business name in the case of a franchise shall include the |
franchise
affiliation as well as the name of the individual |
firm.
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"Board" means the Real Estate Administration and |
Disciplinary Board of the Department as created by Section |
25-10 of this Act.
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"Branch office" means a sponsoring broker's office other |
than the sponsoring
broker's principal office.
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"Broker" means an individual, partnership, limited |
liability company,
corporation, or registered limited |
liability partnership other than a leasing agent who, whether |
in person or through any media or technology, for another and |
for compensation, or
with the intention or expectation of |
receiving compensation, either
directly or indirectly:
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(1) Sells, exchanges, purchases, rents, or leases real |
estate.
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(2) Offers to sell, exchange, purchase, rent, or lease |
real estate.
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(3) Negotiates, offers, attempts, or agrees to |
negotiate the sale,
exchange, purchase, rental, or leasing |
of real estate.
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(4) Lists, offers, attempts, or agrees to list real |
estate for sale,
rent, lease, or exchange.
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(5) Buys, sells, offers to buy or sell, or otherwise |
deals in options on
real estate or improvements thereon.
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(6) Supervises the collection, offer, attempt, or |
agreement
to collect rent for the use of real estate.
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(7) Advertises or represents himself or herself as |
being engaged in the
business of buying, selling, |
exchanging, renting, or leasing real estate.
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(8) Assists or directs in procuring or referring of |
leads or prospects, intended to
result in the sale, |
exchange, lease, or rental of real estate.
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(9) Assists or directs in the negotiation of any |
transaction intended to
result in the sale, exchange, |
lease, or rental of real estate.
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(10) Opens real estate to the public for marketing |
purposes.
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(11) Sells, rents, leases, or offers for sale or lease |
real estate at
auction.
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(12) Prepares or provides a broker price opinion or |
comparative market analysis as those terms are defined in |
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this Act, pursuant to the provisions of Section 10-45 of |
this Act. |
"Brokerage agreement" means a written or oral agreement |
between a sponsoring
broker and a consumer for licensed |
activities to be provided to a consumer in
return for |
compensation or the right to receive compensation from another.
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Brokerage agreements may constitute either a bilateral or a |
unilateral
agreement between the broker and the broker's client |
depending upon the content
of the brokerage agreement. All |
exclusive brokerage agreements shall be in
writing.
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"Broker price opinion" means an estimate or analysis of the |
probable selling price of a particular interest in real estate, |
which may provide a varying level of detail about the |
property's condition, market, and neighborhood and information |
on comparable sales. The activities of a real estate broker or |
managing broker engaging in the ordinary course of business as |
a broker, as defined in this Section, shall not be considered a |
broker price opinion if no compensation is paid to the broker |
or managing broker, other than compensation based upon the sale |
or rental of real estate. |
"Client" means a person who is being represented by a |
licensee.
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"Comparative market analysis" is an analysis or opinion |
regarding pricing, marketing, or financial aspects relating to |
a specified interest or interests in real estate that may be |
based upon an analysis of comparative market data, the |
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expertise of the real estate broker or managing broker, and |
such other factors as the broker or managing broker may deem |
appropriate in developing or preparing such analysis or |
opinion. The activities of a real estate broker or managing |
broker engaging in the ordinary course of business as a broker, |
as defined in this Section, shall not be considered a |
comparative market analysis if no compensation is paid to the |
broker or managing broker, other than compensation based upon |
the sale or rental of real estate. |
"Compensation" means the valuable consideration given by |
one person or entity
to another person or entity in exchange |
for the performance of some activity or
service. Compensation |
shall include the transfer of valuable consideration,
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including without limitation the following:
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(1) commissions;
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(2) referral fees;
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(3) bonuses;
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(4) prizes;
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(5) merchandise;
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(6) finder fees;
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(7) performance of services;
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(8) coupons or gift certificates;
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(9) discounts;
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(10) rebates;
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(11) a chance to win a raffle, drawing, lottery, or |
similar game of chance
not prohibited by any other law or |
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statute;
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(12) retainer fee; or
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(13) salary.
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"Confidential information" means information obtained by a |
licensee from a
client during the term of a brokerage agreement |
that (i) was made confidential
by the written request or |
written instruction of the client, (ii) deals with
the |
negotiating position of the client, or (iii) is information the |
disclosure
of which could materially harm the negotiating |
position of the client, unless
at any time:
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(1) the client permits the disclosure of information |
given by that client
by word or conduct;
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(2) the disclosure is required by law; or
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(3) the information becomes public from a source other |
than the licensee.
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"Confidential information" shall not be considered to |
include material
information about the physical condition of |
the property.
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"Consumer" means a person or entity seeking or receiving |
licensed
activities.
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"Continuing education school" means any person licensed by |
the Department as a school
for continuing education in |
accordance with Section 30-15 of this Act. |
"Coordinator" means the Coordinator of Real Estate created |
in Section 25-15 of this Act.
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"Credit hour" means 50 minutes of classroom instruction in |
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course work that
meets the requirements set forth in rules |
adopted by the Department.
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"Customer" means a consumer who is not being represented by |
the licensee but
for whom the licensee is performing |
ministerial acts.
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"Department" means the Department of Financial and |
Professional Regulation. |
"Designated agency" means a contractual relationship |
between a sponsoring
broker and a client under Section 15-50 of |
this Act in which one or more
licensees associated with or |
employed by the broker are designated as agent of
the client.
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"Designated agent" means a sponsored licensee named by a |
sponsoring broker as
the legal agent of a client, as provided |
for in Section 15-50 of this Act.
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"Dual agency" means an agency relationship in which a |
licensee is
representing both buyer and seller or both landlord |
and tenant in the same
transaction. When the agency |
relationship is a designated agency, the
question of whether |
there is a dual agency shall be determined by the agency
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relationships of the designated agent of the parties and not of |
the sponsoring
broker.
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"Education provider" means a school licensed by the |
Department offering courses in pre-license, post-license, or |
continuing education required by this Act. |
"Employee" or other derivative of the word "employee", when |
used to refer to,
describe, or delineate the relationship |
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between a sponsoring broker and a managing broker, broker, or a |
leasing agent, shall be
construed to include an independent |
contractor relationship, provided that a
written agreement |
exists that clearly establishes and states the relationship.
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All responsibilities of a broker shall remain.
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"Escrow moneys" means all moneys, promissory notes or any |
other type or
manner of legal tender or financial consideration |
deposited with any person for
the benefit of the parties to the |
transaction. A transaction exists once an
agreement has been |
reached and an accepted real estate contract signed or lease
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agreed to by the parties. Escrow moneys includes without |
limitation earnest
moneys and security deposits, except those |
security deposits in which the
person holding the security |
deposit is also the sole owner of the property
being leased and |
for which the security deposit is being held.
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"Electronic means of proctoring" means a methodology |
providing assurance that the person taking a test and |
completing the answers to questions is the person seeking |
licensure or credit for continuing education and is doing so |
without the aid of a third party or other device. |
"Exclusive brokerage agreement" means a written brokerage |
agreement that provides that the sponsoring broker has the sole |
right, through one or more sponsored licensees, to act as the |
exclusive designated agent or representative of the client and |
that meets the requirements of Section 15-75 of this Act.
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"Inoperative" means a status of licensure where the |
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licensee holds a current
license under this Act, but the |
licensee is prohibited from engaging in
licensed activities |
because the licensee is unsponsored or the license of the
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sponsoring broker with whom the licensee is associated or by |
whom he or she is
employed is currently expired, revoked, |
suspended, or otherwise rendered
invalid under this Act.
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"Interactive delivery method" means delivery of a course by |
an instructor through a medium allowing for 2-way communication |
between the instructor and a student in which either can |
initiate or respond to questions. |
"Leads" means the name or names of a potential buyer, |
seller, lessor, lessee, or client of a licensee. |
"Leasing Agent" means a person who is employed by a broker |
to
engage in licensed activities limited to leasing residential |
real estate who
has obtained a license as provided for in |
Section 5-5 of this Act.
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"License" means the document issued by the Department |
certifying that the person named
thereon has fulfilled all |
requirements prerequisite to licensure under this
Act.
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"Licensed activities" means those activities listed in the |
definition of
"broker" under this Section.
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"Licensee" means any person, as defined in this Section, |
who holds a
valid unexpired license as a managing broker, |
broker, or
leasing agent.
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"Listing presentation" means a communication between a |
managing broker or
broker and a consumer in which the licensee |
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is attempting to secure a
brokerage agreement with the consumer |
to market the consumer's real estate for
sale or lease.
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"Managing broker" means a broker who has supervisory |
responsibilities for
licensees in one or, in the case of a |
multi-office company, more than one
office and who has been |
appointed as such by the sponsoring broker.
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"Medium of advertising" means any method of communication |
intended to
influence the general public to use or purchase a |
particular good or service or
real estate.
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"Ministerial acts" means those acts that a licensee may |
perform for a
consumer that are informative or clerical in |
nature and do not rise to the
level of active representation on |
behalf of a consumer. Examples of these acts
include without |
limitation (i) responding to phone inquiries by consumers as to
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the availability and pricing of brokerage services, (ii) |
responding to phone
inquiries from a consumer concerning the |
price or location of property, (iii)
attending an open house |
and responding to questions about the property from a
consumer, |
(iv) setting an appointment to view property, (v) responding to
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questions of consumers walking into a licensee's office |
concerning brokerage
services offered or particular |
properties, (vi) accompanying an appraiser,
inspector, |
contractor, or similar third party on a visit to a property, |
(vii)
describing a property or the property's condition in |
response to a consumer's
inquiry, (viii) completing business or |
factual information for a consumer on an
offer or contract to |
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purchase on behalf of a client, (ix) showing a client
through a |
property being sold by an owner on his or her own behalf, or |
(x)
referral to another broker or service provider.
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"Office" means a broker's place of business where the |
general
public is invited to transact business and where |
records may be maintained and
licenses displayed, whether or |
not it is the broker's principal place of
business.
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"Person" means and includes individuals, entities, |
corporations, limited
liability companies, registered limited |
liability partnerships, and
partnerships, foreign or domestic, |
except that when the context otherwise
requires, the term may |
refer to a single individual or other described entity.
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"Personal assistant" means a licensed or unlicensed person |
who has been hired
for the purpose of aiding or assisting a |
sponsored licensee in the performance
of the sponsored |
licensee's job.
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"Pocket card" means the card issued by the Department to |
signify that the person named
on the card is currently licensed |
under this Act.
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"Pre-license school" means a school licensed by the |
Department offering courses in
subjects related to real estate |
transactions, including the subjects upon
which an applicant is |
examined in determining fitness to receive a license.
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"Pre-renewal period" means the period between the date of |
issue of a
currently valid license and the license's expiration |
date.
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"Proctor" means any person, including, but not limited to, |
an instructor, who has a written agreement to administer |
examinations fairly and impartially with a licensed |
pre-license school or a licensed continuing education provider |
school . |
"Real estate" means and includes leaseholds as well as any |
other interest or
estate in land, whether corporeal, |
incorporeal, freehold, or non-freehold,
including timeshare |
interests, and whether the real estate is situated in this
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State or elsewhere.
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"Regular employee" means a person working an average of 20 |
hours per week for a person or entity who would be considered |
as an employee under the Internal Revenue Service eleven main |
tests in three categories being behavioral control, financial |
control and the type of relationship of the parties, formerly |
the twenty factor test.
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"Secretary" means the Secretary of the Department of |
Financial and Professional Regulation, or a person authorized |
by the Secretary to act in the Secretary's stead. |
"Sponsoring broker" means the broker who has issued a |
sponsor card to a
licensed managing broker, broker, or a |
leasing agent.
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"Sponsor card" means the temporary permit issued by the |
sponsoring broker certifying that the managing broker, broker,
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or leasing agent named thereon is employed by or associated by |
written
agreement with the sponsoring broker, as provided for |
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in Section
5-40 of this Act.
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(Source: P.A. 98-531, eff. 8-23-13; 98-1109, eff. 1-1-15; |
99-227, eff. 8-3-15.)
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(225 ILCS 454/5-5)
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(Section scheduled to be repealed on January 1, 2020)
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Sec. 5-5. Leasing agent license.
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(a) The purpose of this Section is to provide for a limited |
scope license to
enable persons who
wish to engage in |
activities limited to the leasing of residential real
property |
for which a license is
required under this Act, and only those |
activities, to do so by obtaining the
license provided for
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under this Section.
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(b) Notwithstanding the other provisions of this Act, there |
is hereby
created a leasing agent
license that shall enable the |
licensee to engage only in residential leasing
activities for |
which a
license is required under this Act. Such activities |
include without
limitation leasing or renting
residential real |
property, or attempting, offering, or negotiating to lease or
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rent residential real property, or
supervising the collection, |
offer, attempt, or agreement to collect rent for
the use of
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residential real
property. Nothing in this
Section shall be |
construed to require a licensed managing broker or
broker to |
obtain a leasing
agent license in order to perform leasing |
activities for which a license is
required under this Act. |
Licensed leasing agents, including those operating under |
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subsection (d), may engage in activities enumerated within the |
definition of "leasing agent" in Section 1-10 of this Act and |
may not engage in any activity that would otherwise require a |
broker's license, including, but not limited to, selling, |
offering for sale, negotiating for sale, listing or showing for |
sale, or referring for sale or commercial lease real estate.
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Licensed leasing agents must be sponsored and employed by a |
sponsoring broker.
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(c) The Department, by rule and in accordance with this |
Act, shall provide for the
licensing of leasing
agents, |
including the issuance, renewal, and administration of |
licenses.
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(d) Notwithstanding any other provisions of this Act to the |
contrary, a
person may engage in
residential leasing activities |
for which a license is required under this Act,
for a period of |
120
consecutive days without being licensed, so long as the |
person is acting under
the supervision of a
sponsoring broker , |
and the sponsoring broker has notified the Department that the |
person is
pursuing licensure
under this Section , and the person |
has enrolled in the leasing agent pre-license education course |
no later than 60 days after beginning to engage in residential |
leasing activities . During the 120-day 120 day period all |
requirements of Sections
5-10
and 5-65 of this Act
with respect |
to education, successful completion of an examination, and the
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payment of all required
fees must be satisfied. The Department |
may adopt rules to ensure that the provisions of
this |
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subsection are
not used in a manner that enables an unlicensed |
person to repeatedly or
continually engage in
activities for |
which a license is required under this Act.
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(Source: P.A. 99-227, eff. 8-3-15.)
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(225 ILCS 454/5-10)
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(Section scheduled to be repealed on January 1, 2020)
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Sec. 5-10. Requirements for license as leasing agent ; |
continuing education . |
(a) Every applicant for licensure as a leasing agent must |
meet the following qualifications: |
(1) be at least 18 years of age; |
(2) be of good moral
character; |
(3) successfully complete
a 4-year course of study in a |
high school or secondary school or an
equivalent course of
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study approved by the Illinois State Board of Education; |
(4) personally take and pass a written
examination |
authorized by the Department sufficient to demonstrate the |
applicant's
knowledge of the
provisions of this Act |
relating to leasing agents and the applicant's
competence |
to engage in the
activities of a licensed leasing agent; |
(5) provide satisfactory evidence of having completed |
15 hours of
instruction in an approved course of study |
relating to the leasing of residential real property. The |
Board shall recommend to the Department the number of hours |
each topic of study shall require. The
course of study |
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shall, among other topics, cover
the provisions of this Act
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applicable to leasing agents; fair housing issues relating |
to residential
leasing; advertising and marketing issues;
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leases, applications, and credit reports; owner-tenant |
relationships and
owner-tenant laws; the handling of |
funds; and
environmental issues relating
to residential |
real
property; |
(6) complete any other requirements as set forth by |
rule; and
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(7) present a valid application for issuance of an |
initial license accompanied by a sponsor card and the fees |
specified by rule. |
(b) No applicant shall engage in any of the activities |
covered by this Act until a valid sponsor card has been issued |
to such applicant. The sponsor card shall be valid for a |
maximum period of 45 days after the date of issuance unless |
extended for good cause as provided by rule. |
(c) Successfully completed course work, completed pursuant |
to the
requirements of this
Section, may be applied to the |
course work requirements to obtain a managing
broker's or
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broker's license as provided by rule. The Board Advisory |
Council may
recommend through the
Board to the Department and |
the Department may adopt requirements for approved courses, |
course
content, and the
approval of courses, instructors, and |
education providers schools , as well as education provider |
school and instructor
fees. The Department may
establish |
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continuing education requirements for licensed leasing agents, |
by
rule , consistent with the language and intent of this Act , |
with the advice of
the Advisory Council and Board.
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(d) The continuing education requirement for leasing |
agents shall consist of a single core curriculum to be |
established by the Department as recommended by the Board. |
Leasing agents shall be required to complete no less than 6 |
hours of continuing education in the core curriculum for each |
2-year renewal period. |
(Source: P.A. 99-227, eff. 8-3-15.)
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(225 ILCS 454/5-27) |
(Section scheduled to be repealed on January 1, 2020) |
Sec. 5-27. Requirements for licensure as a broker. |
(a) Every applicant for licensure as a broker must meet the |
following qualifications: |
(1) Be at least 21 years of age. The After April 30, |
2011, the minimum age of 21 years shall be waived for any |
person seeking a license as a broker who has attained the |
age of 18 and can provide evidence of the successful |
completion of at least 4 semesters of post-secondary school |
study as a full-time student or the equivalent, with major |
emphasis on real estate courses, in a school approved by |
the Department; |
(2) Be of good moral character; |
(3) Successfully complete a 4-year course of study in a |
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high school or secondary school approved by the Illinois |
State Board of Education or an equivalent course of study |
as determined by an examination conducted by the Illinois |
State Board of Education which shall be verified under oath |
by the applicant; |
(4) (Blank); |
(5) Provide After April 30, 2011, provide satisfactory |
evidence of having completed 90 hours of instruction in |
real estate courses approved by the Department Advisory |
Council , 15 hours of which must consist of situational and |
case studies presented in the classroom or by live, other |
interactive webinar or online distance education courses |
delivery method between the instructor and the students ; |
(6) Personally take and pass a written examination |
authorized by the Department; |
(7) Present a valid application for issuance of a |
license accompanied by a sponsor card and the fees |
specified by rule. |
(b) The requirements specified in items (3) and (5) of |
subsection (a) of this Section do not apply to applicants who |
are currently admitted to practice law by the Supreme Court of |
Illinois and are currently in active standing. |
(c) No applicant shall engage in any of the activities |
covered by this Act until a valid sponsor card has been issued |
to such applicant. The sponsor card shall be valid for a |
maximum period of 45 days after the date of issuance unless |
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extended for good cause as provided by rule. |
(d) All licenses should be readily available to the public |
at their place of business.
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(e) An individual holding an active license as a managing |
broker may return the license to the Department along with a |
form provided by the Department and shall be issued a broker's |
license in exchange. Any individual obtaining a broker's |
license under this subsection (e) shall be considered as having |
obtained a broker's license by education and passing the |
required test and shall be treated as such in determining |
compliance with this Act. |
(Source: P.A. 98-531, eff. 8-23-13; 98-1109, eff. 1-1-15; |
99-227, eff. 8-3-15.) |
(225 ILCS 454/5-28) |
(Section scheduled to be repealed on January 1, 2020) |
Sec. 5-28. Requirements for licensure as a managing broker. |
(a) Every Effective May 1, 2012, every applicant for |
licensure as a managing broker must meet the following |
qualifications: |
(1) be at least 21 years of age; |
(2) be of good moral character; |
(3) have been licensed at least 2 out of the preceding |
3 years as a broker; |
(4) successfully complete a 4-year course of study in |
high school or secondary school approved by the Illinois |
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State Board of Education or an equivalent course of study |
as determined by an examination conducted by the Illinois |
State Board of Education, which shall be verified under |
oath by the applicant; |
(5) provide satisfactory evidence of having completed |
at least 165 hours, 120 of which shall be those hours |
required pre and post-licensure to obtain a broker's |
license, and 45 additional hours completed within the year |
immediately preceding the filing of an application for a |
managing broker's license, which hours shall focus on |
brokerage administration and management and leasing agent |
management and include at least 15 hours in the classroom |
or by live, other interactive webinar or online distance |
education courses delivery method between the instructor |
and the students ; |
(6) personally take and pass a written examination |
authorized by the Department; and |
(7) present a valid application for issuance of a |
license accompanied by a sponsor card, an appointment as a |
managing broker, and the fees specified by rule. |
(b) The requirements specified in item (5) of subsection |
(a) of this Section do not apply to applicants who are |
currently admitted to practice law by the Supreme Court of |
Illinois and are currently in active standing. |
(c) No applicant shall act as a managing broker for more |
than 90 days after an appointment as a managing broker has been |
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filed with the Department without obtaining a managing broker's |
license.
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(Source: P.A. 98-531, eff. 8-23-13; 99-227, eff. 8-3-15.)
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(225 ILCS 454/5-50)
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(Section scheduled to be repealed on January 1, 2020)
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Sec. 5-50. Expiration and renewal of managing broker, |
broker, or
leasing agent license; sponsoring broker;
register |
of licensees; pocket card. |
(a) The expiration date and renewal period for each license |
issued under
this Act shall be set by
rule. Except as otherwise |
provided in this Section, the holder of
a
license may renew
the |
license within 90 days preceding the expiration date thereof by |
completing the continuing education required by this Act and |
paying the
fees specified by
rule.
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(b) An individual whose first license is that of a broker |
received on or after the effective date of this amendatory Act |
of the 100th General Assembly April 30, 2011 , must provide |
evidence of having completed 30 hours of post-license education |
in courses recommended approved by the Board and approved by |
the Department Advisory Council , 15 hours of which must consist |
of situational and case studies presented in a the classroom or |
a live, interactive webinar, online distance education course, |
or home study course. Credit for courses taken through a home |
study course shall require passage of or by other interactive |
delivery method between the instructor and the students, and |
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personally take and pass an examination approved by the |
Department prior to the first renewal of their broker's |
license.
|
(c) Any managing broker, broker, or leasing agent whose |
license under this Act has expired shall be eligible to renew |
the license during the 2-year period following the expiration |
date, provided the managing broker, broker, or leasing agent |
pays the fees as prescribed by rule and completes continuing |
education and other requirements provided for by the Act or by |
rule. Beginning on May 1, 2012, a managing broker licensee, |
broker, or leasing agent whose license has been expired for |
more than 2 years but less than 5 years may have it restored by |
(i) applying to the Department, (ii) paying the required fee, |
(iii) completing the continuing education requirements for the |
most recent pre-renewal period that ended prior to the date of |
the application for reinstatement, and (iv) filing acceptable |
proof of fitness to have his or her license restored, as set by |
rule. A managing broker, broker, or leasing agent whose license |
has been expired for more than 5 years shall be required to |
meet the requirements for a new license.
|
(d) Notwithstanding any other provisions of this Act to the |
contrary, any managing broker, broker, or leasing agent whose |
license expired while he or she was (i) on active duty with the |
Armed Forces of the United States or called into service or |
training by the state militia, (ii) engaged in training or |
education under the supervision of the United States |
|
preliminary to induction into military service, or (iii) |
serving as the Coordinator of Real Estate in the State of |
Illinois or as an employee of the Department may have his or |
her license renewed, reinstated or restored without paying any |
lapsed renewal fees if within 2 years after the termination of |
the service, training or education by furnishing the Department |
with satisfactory evidence of service, training, or education |
and it has been terminated under honorable conditions. |
(e) The Department shall establish and
maintain a register |
of all persons currently licensed by the
State and shall issue |
and prescribe a form of pocket card. Upon payment by a licensee |
of the appropriate fee as prescribed by
rule for engagement in |
the activity for which the licensee is
qualified and holds a |
license for the current period, the
Department shall issue a |
pocket card to the licensee. The
pocket card shall be |
verification that the required fee for the
current period has |
been paid and shall indicate that the person named thereon is |
licensed for the current renewal period as a
managing broker, |
broker, or leasing agent as the
case may be. The pocket card |
shall further indicate that the
person named thereon is |
authorized by the Department to
engage in the licensed activity |
appropriate for his or her
status (managing broker, broker, or |
leasing
agent). Each licensee shall carry on his or her person |
his or
her pocket card or, if such pocket card has not yet been
|
issued, a properly issued sponsor card when engaging in any
|
licensed activity and shall display the same on demand. |
|
(f) The Department shall provide to the sponsoring broker a |
notice of renewal for all sponsored licensees by mailing the |
notice to the sponsoring broker's address of record, or, at the |
Department's discretion, by an electronic means as provided for |
by rule. |
(g) Upon request from the sponsoring broker, the Department |
shall make available to the sponsoring broker, either by mail |
or by an electronic means at the discretion of the Department, |
a listing of licensees under this Act who, according to the |
records of the Department, are sponsored by that broker. Every |
licensee associated with or employed by a broker whose license |
is revoked, suspended, terminated, or expired shall be |
considered as inoperative until such time as the sponsoring |
broker's license is reinstated or renewed, or the licensee |
changes employment as set forth in subsection (c) of Section |
5-40 of this Act. |
(Source: P.A. 98-531, eff. 8-23-13; 99-227, eff. 8-3-15.)
|
(225 ILCS 454/5-70)
|
(Section scheduled to be repealed on January 1, 2020)
|
Sec. 5-70. Continuing education requirement; managing |
broker or broker.
|
(a) The requirements of this Section apply to all managing |
brokers and brokers.
|
(b) Except as otherwise
provided in this Section, each
|
person who applies for renewal of his or her license as a |
|
managing broker or broker must successfully complete 6 hours of |
real estate continuing education
courses recommended by the |
Board and approved by
the Department Advisory Council for each |
year of the pre-renewal period. In addition, beginning with the |
pre-renewal period for managing broker licensees that begins |
after the effective date of this Act, those licensees renewing |
or obtaining a managing broker's license must successfully |
complete a 12-hour broker management continuing education |
course approved by the Department each pre-renewal period. The |
broker management continuing education course must be |
completed in the classroom or by other interactive delivery |
method between the instructor and the students. Successful |
completion of the course shall include achieving a passing |
score as provided by rule on a test developed and administered |
in accordance with rules adopted by the Department. No
license |
may be renewed
except upon the successful completion of the |
required courses or their
equivalent or upon a waiver
of those |
requirements for good cause shown as determined by the |
Secretary
with the
recommendation of the Board Advisory |
Council .
The requirements of this Article are applicable to all |
managing brokers and brokers
except those managing brokers
and |
brokers who, during the pre-renewal period:
|
(1) serve in the armed services of the United States;
|
(2) serve as an elected State or federal official;
|
(3) serve as a full-time employee of the Department; or
|
(4) are admitted to practice law pursuant to Illinois |
|
Supreme Court rule.
|
(c) (Blank). |
(d) A
person receiving an initial license
during the 90 |
days before the renewal date shall not be
required to complete |
the continuing
education courses provided for in subsection (b) |
of this
Section as a condition of initial license renewal.
|
(e) The continuing education requirement for brokers and |
managing brokers shall
consist of a single core
curriculum and |
an elective curriculum, to be recommended established by the |
Board and approved by the Department in accordance with this |
subsection. The core curriculum shall not be further divided |
into subcategories or divisions of instruction. The core |
curriculum shall consist of 4 hours per 2-year Advisory
|
Council . In meeting the
continuing education requirements of |
this Act, at least 3 hours per year or
their equivalent, 6 |
hours for each two-year pre-renewal period on subjects that may |
include, but are not limited to, advertising, agency, |
disclosures, escrow, fair housing, leasing agent management, |
and license law. The amount of time allotted to each of these |
subjects shall be recommended by the Board and determined by |
the Department , shall
be required to be completed in the core |
curriculum . The Department, upon the recommendation of the |
Board, shall review the core curriculum every 4 years, at a |
minimum, and shall revise the curriculum if necessary. However, |
the core curriculum's total hourly requirement shall only be |
subject to change by amendment of this subsection, and any |
|
change to the core curriculum shall not be effective for a |
period of 6 months after such change is made by the Department. |
The Department shall provide notice to all approved education |
providers of any changes to the core curriculum. When |
determining whether revisions of the core curriculum's |
subjects or specific time requirements are necessary
In |
establishing the core curriculum , the Board Advisory Council |
shall consider
subjects that will
educate licensees on recent |
changes in applicable laws , and new laws , and refresh
the |
licensee on areas
of the license law and the Department policy |
that the Board Advisory Council deems appropriate,
and any |
other subject
areas the Board that the Advisory Council deems |
timely and applicable in order to prevent
violations of this |
Act
and to protect the public.
In establishing a recommendation |
to the Department regarding the elective curriculum, the Board |
Advisory Council shall consider
subjects that cover
the various |
aspects of the practice of real estate that are covered under |
the
scope of this Act.
However, the elective curriculum shall |
not include any offerings referred to in
Section 5-85 of this |
Act.
|
(f) The subject areas of continuing education courses |
recommended by the Board and approved by the Department shall |
be meant to protect the professionalism of the industry, the |
consumer, and the public and prevent violations of this Act and
|
Advisory Council may
include without limitation the following:
|
(1) license law and escrow;
|
|
(2) antitrust;
|
(3) fair housing;
|
(4) agency;
|
(5) appraisal;
|
(6) property management;
|
(7) residential brokerage;
|
(8) farm property management;
|
(9) rights and duties of sellers, buyers, and brokers;
|
(10) commercial brokerage and leasing; and
|
(11) real estate financing ; .
|
(12) disclosures; |
(13) leasing agent management; and |
(14) advertising. |
(g) In lieu of credit for those courses listed in |
subsection (f) of this
Section, credit may be
earned for |
serving as a licensed instructor in an approved course of |
continuing
education. The
amount of credit earned for teaching |
a course shall be the amount of continuing
education credit for
|
which the course is approved for licensees taking the course.
|
(h) Credit hours may be earned for self-study programs |
approved by the Department
Advisory Council .
|
(i) A managing broker or broker may earn credit for a |
specific continuing
education course only
once during the |
pre-renewal prerenewal period.
|
(j) No more than 6 hours of continuing education credit may |
be taken in one
calendar day.
|
|
(k) To promote the offering of a uniform and consistent |
course content, the Department may provide for the development |
of a single broker management course to be offered by all |
continuing education providers who choose to offer the broker |
management continuing education course. The Department may |
contract for the development of the 12-hour broker management |
continuing education course with an outside vendor or |
consultant and, if the course is developed in this manner, the |
Department or the outside consultant shall license the use of |
that course to all approved continuing education providers who |
wish to provide the course.
|
(l) Except as specifically provided in this Act, continuing |
education credit hours may not be earned for completion of pre |
or post-license courses. The approved 30-hour post-license |
course for broker licensees shall satisfy the continuing |
education requirement for the pre-renewal period in which the |
course is taken. The approved 45-hour brokerage administration |
and management course shall satisfy the 12-hour broker |
management continuing education requirement for the |
pre-renewal period in which the course is taken. |
(Source: P.A. 98-531, eff. 8-23-13; 99-227, eff. 8-3-15; |
99-728, eff. 1-1-17 .)
|
(225 ILCS 454/5-75)
|
(Section scheduled to be repealed on January 1, 2020)
|
Sec. 5-75. Out-of-state continuing education credit. If a |
|
renewal applicant has earned continuing education hours in |
another state
or territory for which
he or she is claiming |
credit toward full compliance in Illinois, the Board Advisory
|
Council shall review and recommend to the Department whether it |
should ,
approve , or disapprove those hours based upon whether |
the course is one that
would be approved
under Section 5-70 of |
this Act, whether the course meets the basic requirements
for
|
continuing education under
this Act, and any other criteria |
that is provided by statute or rule.
|
(Source: P.A. 91-245, eff. 12-31-99 .)
|
(225 ILCS 454/5-80)
|
(Section scheduled to be repealed on January 1, 2020)
|
Sec. 5-80. Evidence of compliance with continuing |
education requirements.
|
(a) Each renewal applicant shall certify, on his or her |
renewal application,
full compliance with
continuing education |
requirements set forth in Section 5-70. The continuing
|
education provider school shall
retain and submit to the |
Department after the completion of each course evidence of |
those
successfully
completing the course as provided by rule.
|
(b) The Department may require additional evidence |
demonstrating compliance with the
continuing
education |
requirements. The renewal applicant shall retain and produce |
the
evidence of
compliance upon request of the Department.
|
(Source: P.A. 96-856, eff. 12-31-09.)
|
|
(225 ILCS 454/20-20)
|
(Section scheduled to be repealed on January 1, 2020)
|
Sec. 20-20. Grounds for discipline. |
(a) The Department may refuse to issue or renew a license, |
may place on probation, suspend,
or
revoke any
license, |
reprimand, or take any other disciplinary or non-disciplinary |
action as the Department may deem proper and impose a
fine not |
to exceed
$25,000 upon any licensee or applicant under this Act |
or any person who holds himself or herself out as an applicant |
or licensee or against a licensee in handling his or her own |
property, whether held by deed, option, or otherwise, for any |
one or any combination of the
following causes:
|
(1) Fraud or misrepresentation in applying for, or |
procuring, a license under this Act or in connection with |
applying for renewal of a license under this Act.
|
(2) The conviction of or plea of guilty or plea of nolo |
contendere to a felony or misdemeanor in this State or any |
other jurisdiction; or the entry of an administrative |
sanction by a government agency in this State or any other |
jurisdiction. Action taken under this paragraph (2) for a |
misdemeanor or an administrative sanction is limited to a |
misdemeanor or administrative sanction that has as an
|
essential element dishonesty or fraud or involves larceny, |
embezzlement,
or obtaining money, property, or credit by |
false pretenses or by means of a
confidence
game.
|
|
(3) Inability to practice the profession with |
reasonable judgment, skill, or safety as a result of a |
physical illness, including, but not limited to, |
deterioration through the aging process or loss of motor |
skill, or a mental illness or disability.
|
(4) Practice under this Act as a licensee in a retail |
sales establishment from an office, desk, or space that
is |
not
separated from the main retail business by a separate |
and distinct area within
the
establishment.
|
(5) Having been disciplined by another state, the |
District of Columbia, a territory, a foreign nation, or a |
governmental agency authorized to impose discipline if at |
least one of the grounds for that discipline is the same as |
or
the
equivalent of one of the grounds for which a |
licensee may be disciplined under this Act. A certified |
copy of the record of the action by the other state or |
jurisdiction shall be prima facie evidence thereof.
|
(6) Engaging in the practice of real estate brokerage
|
without a
license or after the licensee's license or |
temporary permit was expired or while the license was
|
inoperative.
|
(7) Cheating on or attempting to subvert the Real
|
Estate License Exam or continuing education exam. |
(8) Aiding or abetting an applicant
to
subvert or cheat |
on the Real Estate License Exam or continuing education |
exam
administered pursuant to this Act.
|
|
(9) Advertising that is inaccurate, misleading, or |
contrary to the provisions of the Act.
|
(10) Making any substantial misrepresentation or |
untruthful advertising.
|
(11) Making any false promises of a character likely to |
influence,
persuade,
or induce.
|
(12) Pursuing a continued and flagrant course of |
misrepresentation or the
making
of false promises through |
licensees, employees, agents, advertising, or
otherwise.
|
(13) Any misleading or untruthful advertising, or |
using any trade name or
insignia of membership in any real |
estate organization of which the licensee is
not a member.
|
(14) Acting for more than one party in a transaction |
without providing
written
notice to all parties for whom |
the licensee acts.
|
(15) Representing or attempting to represent a broker |
other than the
sponsoring broker.
|
(16) Failure to account for or to remit any moneys or |
documents coming into
his or her possession that belong to |
others.
|
(17) Failure to maintain and deposit in a special |
account, separate and
apart from
personal and other |
business accounts, all escrow moneys belonging to others
|
entrusted to a licensee
while acting as a broker, escrow |
agent, or temporary custodian of
the funds of others or
|
failure to maintain all escrow moneys on deposit in the |
|
account until the
transactions are
consummated or |
terminated, except to the extent that the moneys, or any |
part
thereof, shall be: |
(A)
disbursed prior to the consummation or |
termination (i) in accordance with
the
written |
direction of
the principals to the transaction or their |
duly authorized agents, (ii) in accordance with
|
directions providing for the
release, payment, or |
distribution of escrow moneys contained in any written
|
contract signed by the
principals to the transaction or |
their duly authorized agents,
or (iii)
pursuant to an |
order of a court of competent
jurisdiction; or |
(B) deemed abandoned and transferred to the Office |
of the State Treasurer to be handled as unclaimed |
property pursuant to the Uniform Disposition of |
Unclaimed Property Act. Escrow moneys may be deemed |
abandoned under this subparagraph (B) only: (i) in the |
absence of disbursement under subparagraph (A); (ii) |
in the absence of notice of the filing of any claim in |
a court of competent jurisdiction; and (iii) if 6 |
months have elapsed after the receipt of a written |
demand for the escrow moneys from one of the principals |
to the transaction or the principal's duly authorized |
agent.
|
The account
shall be noninterest
bearing, unless the |
character of the deposit is such that payment of interest
|
|
thereon is otherwise
required by law or unless the |
principals to the transaction specifically
require, in |
writing, that the
deposit be placed in an interest bearing |
account.
|
(18) Failure to make available to the Department all |
escrow records and related documents
maintained in |
connection
with the practice of real estate within 24 hours |
of a request for those
documents by Department personnel.
|
(19) Failing to furnish copies upon request of |
documents relating to a
real
estate transaction to a party |
who has executed that document.
|
(20) Failure of a sponsoring broker to timely provide |
information, sponsor
cards,
or termination of licenses to |
the Department.
|
(21) Engaging in dishonorable, unethical, or |
unprofessional conduct of a
character
likely to deceive, |
defraud, or harm the public.
|
(22) Commingling the money or property of others with |
his or her own money or property.
|
(23) Employing any person on a purely temporary or |
single deal basis as a
means
of evading the law regarding |
payment of commission to nonlicensees on some
contemplated
|
transactions.
|
(24) Permitting the use of his or her license as a |
broker to enable a
leasing agent or
unlicensed person to |
operate a real estate business without actual
|
|
participation therein and control
thereof by the broker.
|
(25) Any other conduct, whether of the same or a |
different character from
that
specified in this Section, |
that constitutes dishonest dealing.
|
(26) Displaying a "for rent" or "for sale" sign on any |
property without
the written
consent of an owner or his or |
her duly authorized agent or advertising by any
means that |
any property is
for sale or for rent without the written |
consent of the owner or his or her
authorized agent.
|
(27) Failing to provide information requested by the |
Department, or otherwise respond to that request, within 30 |
days of
the
request.
|
(28) Advertising by means of a blind advertisement, |
except as otherwise
permitted in Section 10-30 of this Act.
|
(29) Offering guaranteed sales plans, as defined in |
clause (A) of
this subdivision (29), except to
the extent |
hereinafter set forth:
|
(A) A "guaranteed sales plan" is any real estate |
purchase or sales plan
whereby a licensee enters into a |
conditional or unconditional written contract
with a |
seller, prior to entering into a brokerage agreement |
with the seller, by the
terms of which a licensee |
agrees to purchase a property of the seller within a
|
specified period of time
at a specific price in the |
event the property is not sold in accordance with
the |
terms of a brokerage agreement to be entered into |
|
between the sponsoring broker and the seller.
|
(B) A licensee offering a guaranteed sales plan |
shall provide the
details
and conditions of the plan in |
writing to the party to whom the plan is
offered.
|
(C) A licensee offering a guaranteed sales plan |
shall provide to the
party
to whom the plan is offered |
evidence of sufficient financial resources to
satisfy |
the commitment to
purchase undertaken by the broker in |
the plan.
|
(D) Any licensee offering a guaranteed sales plan |
shall undertake to
market the property of the seller |
subject to the plan in the same manner in
which the |
broker would
market any other property, unless the |
agreement with the seller provides
otherwise.
|
(E) The licensee cannot purchase seller's property |
until the brokerage agreement has ended according to |
its terms or is otherwise terminated. |
(F) Any licensee who fails to perform on a |
guaranteed sales plan in
strict accordance with its |
terms shall be subject to all the penalties provided
in |
this Act for
violations thereof and, in addition, shall |
be subject to a civil fine payable
to the party injured |
by the
default in an amount of up to $25,000.
|
(30) Influencing or attempting to influence, by any |
words or acts, a
prospective
seller, purchaser, occupant, |
landlord, or tenant of real estate, in connection
with |
|
viewing, buying, or
leasing real estate, so as to promote |
or tend to promote the continuance
or maintenance of
|
racially and religiously segregated housing or so as to |
retard, obstruct, or
discourage racially
integrated |
housing on or in any street, block, neighborhood, or |
community.
|
(31) Engaging in any act that constitutes a violation |
of any provision of
Article 3 of the Illinois Human Rights |
Act, whether or not a complaint has
been filed with or
|
adjudicated by the Human Rights Commission.
|
(32) Inducing any party to a contract of sale or lease |
or brokerage
agreement to
break the contract of sale or |
lease or brokerage agreement for the purpose of
|
substituting, in lieu
thereof, a new contract for sale or |
lease or brokerage agreement with a third
party.
|
(33) Negotiating a sale, exchange, or lease of real |
estate directly with
any person
if the licensee knows that |
the person has an exclusive brokerage
agreement with |
another
broker, unless specifically authorized by that |
broker.
|
(34) When a licensee is also an attorney, acting as the |
attorney for
either the
buyer or the seller in the same |
transaction in which the licensee is acting or
has acted as |
a managing broker
or broker.
|
(35) Advertising or offering merchandise or services |
as free if any
conditions or
obligations necessary for |
|
receiving the merchandise or services are not
disclosed in |
the same
advertisement or offer. These conditions or |
obligations include without
limitation the
requirement |
that the recipient attend a promotional activity or visit a |
real
estate site. As used in this
subdivision (35), "free" |
includes terms such as "award", "prize", "no charge",
"free |
of charge",
"without charge", and similar words or phrases |
that reasonably lead a person to
believe that he or she
may |
receive or has been selected to receive something of value, |
without any
conditions or
obligations on the part of the |
recipient.
|
(36) Disregarding or violating any provision of the |
Land Sales
Registration Act of 1989, the Illinois Real |
Estate
Time-Share Act, or the published rules promulgated |
by the Department to enforce
those Acts.
|
(37) Violating the terms of a disciplinary order
issued |
by the Department.
|
(38) Paying or failing to disclose compensation in |
violation of Article 10 of this Act.
|
(39) Requiring a party to a transaction who is not a |
client of the
licensee
to allow the licensee to retain a |
portion of the escrow moneys for payment of
the licensee's |
commission or expenses as a condition for release of the |
escrow
moneys to that party.
|
(40) Disregarding or violating any provision of this |
Act or the published
rules
promulgated by the Department to |
|
enforce this Act or aiding or abetting any individual,
|
partnership, registered limited liability partnership, |
limited liability
company, or corporation in
disregarding |
any provision of this Act or the published rules |
promulgated by the Department
to enforce this Act.
|
(41) Failing to provide the minimum services required |
by Section 15-75 of this Act when acting under an exclusive |
brokerage agreement.
|
(42) Habitual or excessive use or addiction to alcohol, |
narcotics, stimulants, or any other chemical agent or drug |
that results in a managing broker, broker, or leasing |
agent's inability to practice with reasonable skill or |
safety. |
(43) Enabling, aiding, or abetting an auctioneer, as |
defined in the Auction License Act, to conduct a real |
estate auction in a manner that is in violation of this |
Act. |
(44) Permitting any leasing agent or temporary leasing |
agent permit holder to engage in activities that require a |
broker's or managing broker's license. |
(b) The Department may refuse to issue or renew or may |
suspend the license of any person who fails to file a return, |
pay the tax, penalty or interest shown in a filed return, or |
pay any final assessment of tax, penalty, or interest, as |
required by any tax Act administered by the Department of |
Revenue, until such time as the requirements of that tax Act |
|
are satisfied in accordance with subsection (g) of Section |
2105-15 of the Civil Administrative Code of Illinois. |
(c) The Department shall deny a license or renewal |
authorized by this Act to a person who has defaulted on an |
educational loan or scholarship provided or guaranteed by the |
Illinois Student Assistance Commission or any governmental |
agency of this State in accordance with item (5) of subsection |
(a) of Section 2105-15 of the Civil Administrative Code of |
Illinois. |
(d) In cases where the Department of Healthcare and Family |
Services (formerly Department of Public Aid) has previously |
determined that a licensee or a potential licensee is more than |
30 days delinquent in the payment of child support and has |
subsequently certified the delinquency to the Department may |
refuse to issue or renew or may revoke or suspend that person's |
license or may take other disciplinary action against that |
person based solely upon the certification of delinquency made |
by the Department of Healthcare and Family Services in |
accordance with item (5) of subsection (a) of Section 2105-15 |
of the Civil Administrative Code of Illinois. |
(e) In enforcing this Section, the Department or Board upon |
a showing of a possible violation may compel an individual |
licensed to practice under this Act, or who has applied for |
licensure under this Act, to submit to a mental or physical |
examination, or both, as required by and at the expense of the |
Department. The Department or Board may order the examining |
|
physician to present testimony concerning the mental or |
physical examination of the licensee or applicant. No |
information shall be excluded by reason of any common law or |
statutory privilege relating to communications between the |
licensee or applicant and the examining physician. The |
examining physicians shall be specifically designated by the |
Board or Department. The individual to be examined may have, at |
his or her own expense, another physician of his or her choice |
present during all aspects of this examination. Failure of an |
individual to submit to a mental or physical examination, when |
directed, shall be grounds for suspension of his or her license |
until the individual submits to the examination if the |
Department finds, after notice and hearing, that the refusal to |
submit to the examination was without reasonable cause. |
If the Department or Board finds an individual unable to |
practice because of the reasons set forth in this Section, the |
Department or Board may require that individual to submit to |
care, counseling, or treatment by physicians approved or |
designated by the Department or Board, as a condition, term, or |
restriction for continued, reinstated, or renewed licensure to |
practice; or, in lieu of care, counseling, or treatment, the |
Department may file, or the Board may recommend to the |
Department to file, a complaint to immediately suspend, revoke, |
or otherwise discipline the license of the individual. An |
individual whose license was granted, continued, reinstated, |
renewed, disciplined or supervised subject to such terms, |
|
conditions, or restrictions, and who fails to comply with such |
terms, conditions, or restrictions, shall be referred to the |
Secretary for a determination as to whether the individual |
shall have his or her license suspended immediately, pending a |
hearing by the Department. |
In instances in which the Secretary immediately suspends a |
person's license under this Section, a hearing on that person's |
license must be convened by the Department within 30 days after |
the suspension and completed without appreciable delay. The |
Department and Board shall have the authority to review the |
subject individual's record of treatment and counseling |
regarding the impairment to the extent permitted by applicable |
federal statutes and regulations safeguarding the |
confidentiality of medical records. |
An individual licensed under this Act and affected under |
this Section shall be afforded an opportunity to demonstrate to |
the Department or Board that he or she can resume practice in |
compliance with acceptable and prevailing standards under the |
provisions of his or her license. |
(Source: P.A. 98-553, eff. 1-1-14; 98-756, eff. 7-16-14; |
99-227, eff. 8-3-15.)
|
(225 ILCS 454/20-60)
|
(Section scheduled to be repealed on January 1, 2020)
|
Sec. 20-60. Investigations notice and hearing. The |
Department may investigate the actions of any applicant or of |
|
any person or persons rendering or offering to render services |
or any person holding or claiming to hold a license under this |
Act and may notify his or her managing broker and sponsoring |
broker of the pending investigation . The Department shall, |
before revoking,
suspending, placing on probation, |
reprimanding, or taking any other disciplinary action under |
Article 20 of this Act, at least 30 days before the date set |
for the hearing, (i) notify the accused and his or her managing |
broker and sponsoring broker in writing of the charges made and |
the time and place for the hearing on the charges, (ii) direct |
the accused him or her to file a written answer to the charges |
with the
Board under oath within 20 days after the service on |
him or her of the notice, and (iii) inform the accused that if |
he or she fails to answer, default will be taken
against him or |
her or that
his or her license may be suspended, revoked, |
placed on probationary status,
or
other disciplinary
action |
taken with regard to the license, including limiting the scope, |
nature, or extent of his or her practice, as the Department may |
consider proper. At the time and place fixed in the notice, the |
Board shall proceed to hear the charges and the parties or |
their counsel shall be accorded ample opportunity to present |
any pertinent statements, testimony, evidence, and arguments. |
The Board may continue the hearing from time to time. In case |
the person, after receiving the
notice, fails to file an |
answer, his or her license may, in the discretion of the |
Department, be suspended,
revoked, placed on
probationary |
|
status, or the Department may take whatever disciplinary action |
considered
proper, including
limiting the scope, nature, or |
extent of the person's practice or the
imposition of a fine, |
without a
hearing, if the act or acts charged constitute |
sufficient grounds for that
action under this Act. The written |
notice may be served by personal delivery or by certified mail |
to the address specified by the accused in his or her last |
notification with the Department and shall include notice to |
the managing broker and sponsoring broker . A copy of the |
Department's final order shall be delivered to the managing |
broker and sponsoring broker.
|
(Source: P.A. 96-856, eff. 12-31-09.)
|
(225 ILCS 454/25-10)
|
(Section scheduled to be repealed on January 1, 2020)
|
Sec. 25-10. Real Estate Administration and Disciplinary
|
Board;
duties.
There is created the Real Estate Administration |
and Disciplinary Board.
The Board shall be composed of 15 9 |
persons appointed by the Governor. Members
shall be
appointed |
to the Board subject to the following conditions:
|
(1) All members shall have been residents and citizens |
of this State for
at least 6 years
prior to the date of |
appointment.
|
(2) Twelve Six members shall have been actively engaged |
as managing brokers or
brokers or both for
at least the 10 |
years prior to the appointment , 2 of whom must possess an |
|
active pre-license instructor license .
|
(3) Three members of the Board shall be public members |
who represent
consumer
interests.
|
None of these members shall be (i) a person who is licensed |
under this
Act or a similar Act of another jurisdiction, (ii) |
the spouse or family member of a licensee, (iii) a person who |
has an ownership interest in a
real estate brokerage
business, |
or (iv) a person the Department determines to have any other |
connection with a real estate brokerage business or a licensee.
|
The members' terms shall be 4 years or until their |
successor is appointed, and the expiration of their terms shall |
be
staggered. No member shall be reappointed to the Board for a |
term that would cause his or her cumulative service to the |
Board to exceed 12 years.
Appointments to fill vacancies shall |
be for the unexpired portion of the term. Those members of the |
Board that satisfy the requirements of paragraph (2) shall be |
chosen in a manner such that no area of the State shall be |
unreasonably represented.
The membership of the Board should |
reasonably reflect the geographic
distribution of the licensee
|
population in this State. In making the appointments, the |
Governor shall give
due consideration
to the recommendations by |
members and organizations of the profession.
The Governor may |
terminate the appointment of any member for cause that in the
|
opinion of the
Governor reasonably justifies the termination. |
Cause for termination shall
include without limitation
|
misconduct, incapacity, neglect of duty, or missing 4 board |
|
meetings during any
one
calendar year.
Each member of the Board |
may receive a per diem stipend in an amount to be
determined by |
the Secretary. Each member shall be paid his or her necessary |
expenses while
engaged in the
performance of his or her duties. |
Such compensation and expenses shall be paid
out of the Real |
Estate
License Administration Fund.
The Secretary shall |
consider the recommendations of the Board on questions
|
involving
standards of professional conduct, discipline, |
education, and policies and procedures and examination of |
candidates
under this Act. With regard to this subject matter, |
the Secretary may establish temporary or permanent committees |
of the Board and may consider the recommendations of the Board |
on matters that include, but are not limited to, criteria for |
the licensing and renewal of education providers, pre-license |
and continuing education instructors, pre-license and |
continuing education curricula, standards of educational |
criteria, and qualifications for licensure and renewal of |
professions, courses, and instructors. The Department, after |
notifying and considering the recommendations of the Board, if |
any,
may issue rules,
consistent with the provisions of this |
Act, for the administration and
enforcement thereof and may
|
prescribe forms that shall be used in connection therewith. |
Eight Five Board members shall constitute a quorum. A quorum is |
required for all Board decisions.
|
(Source: P.A. 98-1109, eff. 1-1-15; 99-227, eff. 8-3-15.)
|
|
(225 ILCS 454/Art. 30 heading) |
ARTICLE 30. EDUCATION PROVIDERS AND COURSES SCHOOLS AND |
INSTRUCTORS
|
(225 ILCS 454/30-5)
|
(Section scheduled to be repealed on January 1, 2020)
|
Sec. 30-5. Licensing of real estate education providers, |
education provider pre-license schools, school branches, and
|
instructors. |
(a) No person shall operate an education provider entity |
without possessing a valid and active license issued by the |
Department. Only education providers in possession of a valid |
education provider license may provide real estate |
pre-license, post-license, or continuing education courses |
that satisfy the requirements of this Act. Every person that |
desires to obtain an education provider license shall make |
application to the Department in writing on forms prescribed by |
the Department and pay the fee prescribed by rule. In addition |
to any other information required to be contained in the |
application as prescribed by rule, every application for an |
original or renewed license shall include the applicant's |
Social Security number or tax identification number. No person |
shall operate a pre-license school or school branch without
|
possessing a valid
pre-license school or school branch license |
issued by the Department. No person shall
act as a pre-license |
instructor at a pre-license school or school branch
without |
|
possessing
a valid pre-license
instructor license issued by the |
Department. Every person who desires to obtain a
pre-license |
school,
school branch, or pre-license instructor license shall |
make application to the Department
in writing in form
and |
substance satisfactory to the Department and pay the required |
fees prescribed by
rule. In addition to any
other information |
required to be contained in the application, every
application |
for an original license shall include the applicant's Social |
Security number, which shall be retained in the agency's |
records pertaining to the license. As soon as practical, the |
Department shall assign a customer's identification number to |
each applicant for a license. |
Every application for a renewal or restored license shall |
require the applicant's customer identification number. |
The Department
shall issue a pre-license school, school |
branch, or pre-license instructor
license to applicants who |
meet
qualification criteria established by rule. The |
Department may refuse to issue, suspend,
revoke, or otherwise |
discipline a pre-license school, school branch, or
pre-license |
instructor
license or may withdraw
approval of a course offered |
by a pre-license school for good cause.
Disciplinary |
proceedings
shall be conducted by the Board in the same manner |
as other disciplinary
proceedings under this
Act.
|
(b) (Blank). All pre-license instructors must teach at |
least one course within the
period of licensure or
take an |
instructor training program approved by the Department in lieu |
|
thereof. A
pre-license instructor
may teach at more than one |
licensed pre-license school.
|
(c) (Blank). The term of license for pre-license schools, |
branches, and instructors
shall be 2 years as
established by |
rule.
|
(d) (Blank). The Department or the Advisory Council may, |
after notice, cause a pre-license
school to attend an
informal |
conference before the Advisory Council for failure to comply |
with any
requirement for
licensure or for failure to comply |
with any provision of this Act or the rules
for the |
administration
of this Act. The Advisory Council shall make a |
recommendation to the Board as
a result of its
findings at the |
conclusion of any such informal conference.
|
(e) (Blank). For purposes of this Section, the term |
"pre-license" shall also include the 30-hour post-license |
course required to be taken to retain a broker's license. |
(f) To qualify for an education provider license, an |
applicant must demonstrate the following: |
(1) a sound financial base for establishing, |
promoting, and delivering the necessary courses; budget |
planning for the school's courses should be clearly |
projected; |
(2) a sufficient number of qualified, licensed |
instructors as provided by rule; |
(3) adequate support personnel to assist with |
administrative matters and technical assistance; |
|
(4) maintenance and availability of records of |
participation for licensees; |
(5) the ability to provide each participant who |
successfully completes an approved program with a |
certificate of completion signed by the administrator of a |
licensed education provider on forms provided by the |
Department; |
(6) a written policy dealing with procedures for the |
management of grievances and fee refunds; |
(7) lesson plans and examinations, if applicable, for |
each course; |
(8) a 75% passing grade for successful completion of |
any continuing education course or pre-license or |
post-license examination, if required; |
(9) the ability to identify and use instructors who |
will teach in a planned program; instructor selections must |
demonstrate: |
(A) appropriate credentials; |
(B) competence as a teacher; |
(C) knowledge of content area; and |
(D) qualification by experience. |
Unless otherwise provided for in this Section, the |
education provider shall provide a proctor or an electronic |
means of proctoring for each examination; the education |
provider shall be responsible for the conduct of the proctor; |
the duties and responsibilities of a proctor shall be |
|
established by rule. |
Unless otherwise provided for in this Section, the |
education provider must provide for closed book examinations |
for each course unless the Department, upon the recommendation |
of the Board, excuses this requirement based on the complexity |
of the course material. |
(g) Advertising and promotion of education activities must |
be carried out in a responsible fashion clearly showing the |
educational objectives of the activity, the nature of the |
audience that may benefit from the activity, the cost of the |
activity to the participant and the items covered by the cost, |
the amount of credit that can be earned, and the credentials of |
the faculty. |
(h) The Department may, or upon request of the Board shall, |
after notice, cause an education provider to attend an informal |
conference before the Board for failure to comply with any |
requirement for licensure or for failure to comply with any |
provision of this Act or the rules for the administration of |
this Act. The Board shall make a recommendation to the |
Department as a result of its findings at the conclusion of any |
such informal conference. |
(i) All education providers shall maintain these minimum |
criteria and pay the required fee in order to retain their |
education provider license. |
(j) The Department may adopt any administrative rule |
consistent with the language and intent of this Act that may be |
|
necessary for the implementation and enforcement of this |
Section. |
(Source: P.A. 96-856, eff. 12-31-09; 97-400, eff. 1-1-12.)
|
(225 ILCS 454/30-15)
|
(Section scheduled to be repealed on January 1, 2020)
|
Sec. 30-15. Licensing of continuing education providers |
schools ; approval of
courses. |
(a) (Blank). Only continuing education schools in |
possession of a valid continuing
education
school license
may |
provide real estate continuing education courses that will |
satisfy the
requirements of this
Act. Pre-license schools |
licensed to offer pre-license education courses for
brokers,
|
managing brokers, or leasing agents shall qualify for a |
continuing education school license upon completion
of an |
application
and the submission of the required fee. Every |
entity that desires to obtain a
continuing education
school |
license shall make application to the Department in writing in |
forms prescribed by the Department
and pay
the fee prescribed |
by rule. In addition to any other information required to
be |
contained in the
application, every application for an original |
or renewed license shall include
the applicant's Social
|
Security number.
|
(b) (Blank). The criteria for a continuing education |
license
shall include the
following:
|
(1) A sound financial base for establishing, |
|
promoting, and delivering the
necessary
courses. Budget |
planning for the School's courses should be clearly |
projected.
|
(2) A sufficient number of qualified, licensed |
instructors as provided by
rule.
|
(3) Adequate support personnel to assist with |
administrative matters and
technical
assistance.
|
(4) Maintenance and availability of records of |
participation for
licensees.
|
(5) The ability to provide each participant who |
successfully completes an
approved
program with a |
certificate of completion signed by the administrator of a
|
licensed continuing
education school on forms provided by |
the Department.
|
(6) The continuing education school must have a written |
policy dealing
with
procedures for the management of |
grievances and fee refunds.
|
(7) The continuing education school shall maintain |
lesson plans and
examinations for
each course.
|
(8) The continuing education school shall require a 70% |
passing grade for
successful
completion of any continuing |
education course.
|
(9) The continuing education school shall identify and |
use instructors who
will teach
in a planned program. |
Suggested criteria for instructor selections include:
|
(A) appropriate credentials;
|
|
(B) competence as a teacher;
|
(C) knowledge of content area; and
|
(D) qualification by experience.
|
(10) The continuing education school shall provide a |
proctor or an electronic means of proctoring for each |
examination. The continuing education school shall be |
responsible for the conduct of the proctor. The duties and |
responsibilities of a proctor shall be established by rule. |
(11) The continuing education school must provide for |
closed book examinations for each course unless the |
Advisory Council excuses this requirement based on the |
complexity of the course material. |
(c) (Blank). Advertising and promotion of continuing |
education activities must be
carried out in
a responsible |
fashion, clearly showing the educational objectives of the
|
activity, the nature of the
audience that may benefit from the |
activity, the cost of the activity to the
participant and the |
items
covered by the cost, the amount of credit that can be |
earned, and the
credentials of the faculty.
|
(d) (Blank). The Department may or upon request of the |
Advisory Council shall, after notice,
cause a
continuing |
education school to attend an informal conference before the
|
Advisory Council for
failure to comply with any requirement for |
licensure or for failure to comply
with any provision of
this |
Act or the rules for the administration of this Act. The |
Advisory Council
shall make a
recommendation to the Board as a |
|
result of its findings at the conclusion of
any such informal
|
conference.
|
(e) (Blank). All continuing education schools shall |
maintain these minimum criteria
and pay
the required fee in |
order to retain their continuing education school license.
|
(f) All education providers continuing education schools |
shall submit, at the time of initial
application and
with each |
license renewal, a list of courses with course materials that |
comply with the course requirements in this Act to be
offered |
by the education provider continuing
education school . The |
Department may , however, shall establish an online a mechanism |
by which education providers whereby
continuing education
|
schools may submit apply for and obtain approval by the |
Department upon the recommendation of the Board or its designee |
pre-license, post-license, or continuing education for |
continuing education courses that
are submitted
after the time |
of the education provider's initial license application or |
renewal. The Department shall provide to each education |
provider
continuing education
school a certificate for each |
approved pre-license, post-license, or continuing education |
course. All pre-license, post-license, or
continuing education
|
courses shall be valid for the period coinciding with the term |
of license of
the education provider. However, in no case shall |
a course continue to be valid if it does not, at all times, |
meet all of the requirements of the core curriculum established |
by this Act and the Board, as modified from time to time in |
|
accordance with this Act continuing education
school . All |
education providers continuing education schools shall provide |
a copy of the
certificate of the pre-license, post-license, or |
continuing
education course within the course materials given |
to each student or shall
display a copy of the
certificate of |
the pre-license, post-license, or continuing education course |
in a conspicuous place at the
location of the class.
|
(g) Each education provider continuing education school |
shall provide to the Department a monthly report
in a
frequency |
and format determined by the Department, with information |
concerning students who
successfully completed all
approved |
pre-license, post-license, or continuing education courses |
offered by the continuing education provider
school for the |
prior
month .
|
(h) The Department, upon the recommendation of the Board |
Advisory Council , may temporarily
suspend a licensed |
continuing education provider's school's approved courses |
without
hearing and refuse to
accept successful completion of |
or participation in any of these pre-license, post-license, or |
continuing
education courses for
continuing education credit |
from that education provider school upon the failure of that
|
continuing education provider school
to comply with the |
provisions of this Act or the rules for the administration
of |
this Act, until such
time as the Department receives |
satisfactory assurance of compliance. The Department shall |
notify
the continuing
education provider school of the |
|
noncompliance and may initiate disciplinary
proceedings |
pursuant to
this Act. The Department
may refuse to issue, |
suspend, revoke, or otherwise discipline the license
of an a |
continuing
education provider school or may withdraw approval |
of a pre-license, post-license, or continuing education course |
for
good cause.
Failure to comply with the requirements of this |
Section or any other
requirements
established by rule shall
be |
deemed to be good cause. Disciplinary proceedings shall be |
conducted by the
Board in the same
manner as other disciplinary |
proceedings under this Act.
|
(i) Pre-license, post-license, and continuing education |
courses, whether submitted for approval at the time of an |
education provider's initial application for licensure or |
otherwise, must meet the following minimum course |
requirements: |
(1) No continuing education course shall be required to |
be taught in increments longer than 2 hours in duration; |
however, for each 2 hours of course time in each course, |
there shall be a minimum of 100 minutes of instruction. |
(2) All core curriculum courses shall be provided only |
in the classroom or through a live, interactive webinar or |
online distance education format. |
(3) Courses provided through a live, interactive |
webinar shall require all participants to demonstrate |
their attendance in and attention to the course by |
answering or responding to at least one polling question |
|
per 30 minutes of course instruction. In no event shall the |
interval between polling questions exceed 30 minutes. |
(4) All participants in courses provided in an online |
distance education format shall demonstrate proficiency |
with the subject matter of the course through verifiable |
responses to questions included in the course content. |
(5) Credit for courses completed in a classroom or |
through a live, interactive webinar or online distance |
education format shall not require an examination. |
(6) Credit for courses provided through |
correspondence, or by home study, shall require the passage |
of an in-person, proctored examination. |
(j) The Department is authorized to engage a third party as |
the Board's designee to perform the functions specifically |
provided for in subsection (f) of this Section, namely that of |
administering the online system for receipt, review, and |
approval or denial of new courses. |
(k) The Department may adopt any administrative rule |
consistent with the language and intent of this Act that may be |
necessary for the implementation and enforcement of this |
Section. |
(Source: P.A. 99-227, eff. 8-3-15.)
|
(225 ILCS 454/30-20)
|
(Section scheduled to be repealed on January 1, 2020)
|
Sec. 30-20. Fees for continuing education provider school |
|
license; renewal; term. All applications for an a continuing |
education provider school license shall be
accompanied by a
|
nonrefundable application fee in an amount established by rule.
|
All
continuing education providers schools
shall be required to |
submit a renewal application, the required fee as
established |
by rule, and a
listing of the courses to be offered during the |
year in order to renew their continuing
education provider |
school
licenses. The term for an a continuing education |
provider school license shall be 2 years
and
as established by
|
rule .
The fees collected under this Article 30 shall be |
deposited in the Real Estate
License Administration Fund and
|
shall be used to defray the cost of administration of the |
program and per diem
of the Board Advisory
Council as |
determined by the Secretary.
|
(Source: P.A. 96-856, eff. 12-31-09.)
|
(225 ILCS 454/30-25)
|
(Section scheduled to be repealed on January 1, 2020)
|
Sec. 30-25. Licensing of continuing education provider |
instructors.
|
(a) No such person shall act as either a pre-license or |
continuing education instructor at a continuing education |
school or branch without possessing a
valid pre-license or |
continuing
education instructor license and satisfying any |
other qualification criteria established by the Department by |
rule.
|
|
(a-5) Each person that is an instructor for pre-license, |
continuing education core curriculum, or broker management |
education courses shall meet specific criteria established by |
the Department by rule. Those persons who have not met the |
criteria shall only teach continuing education elective |
curriculum courses. |
(b) Every After the effective date of this Act, every |
person who desires to obtain an a continuing education provider |
instructor's license shall attend and successfully complete a |
one-day instructor development workshop, as approved by the |
Department. However, pre-license instructors who have complied |
with subsection (b) of this Section 30-25 shall not be required |
to complete the instructor workshop in order to teach |
continuing education elective curriculum courses. |
(b-5) The term of licensure for a pre-license or continuing |
education instructor shall be 2 years and as established by |
rule. Every person who desires to obtain a pre-license or |
continuing education instructor
license shall make
application |
to the Department in writing on forms prescribed by the |
Department Office , accompanied
by the fee
prescribed by rule. |
In addition to any other information required to be
contained |
in the application,
every application for an original license |
shall include the
applicant's Social Security
number, which |
shall be retained in the agency's records pertaining to the |
license. As soon as practical, the Department shall assign a |
customer's identification number to each applicant for a |
|
license. |
Every application for a renewal or restored license shall |
require the applicant's customer identification number. |
The Department shall issue a pre-license or continuing |
education instructor license to
applicants who meet
|
qualification criteria established by this Act or rule.
|
(c) The Department may refuse to issue, suspend, revoke, or |
otherwise discipline a
pre-license or continuing education
|
instructor for good cause. Disciplinary proceedings shall be |
conducted by the
Board in the same
manner as other disciplinary |
proceedings under this Act. All pre-license instructors must |
teach at least one pre-license or continuing education core |
curriculum course within the period of licensure as a |
requirement for renewal of the instructor's license. All |
continuing
education instructors
must teach at least one course |
within the period of licensure or take an
instructor training |
program
approved by the Department in lieu thereof as a |
requirement for renewal of the instructor's license .
|
(d) Each course transcript submitted by an education |
provider to the Department shall include the name and license |
number of the pre-license or continuing education instructor |
for the course. |
(e) Licensed education provider instructors may teach for |
more than one licensed education provider. |
(f) The Department may adopt any administrative rule |
consistent with the language and intent of this Act that may be |
|
necessary for the implementation and enforcement of this |
Section. |
(Source: P.A. 96-856, eff. 12-31-09; 97-400, eff. 1-1-12.)
|
(225 ILCS 454/5-26 rep.) |
(225 ILCS 454/5-85 rep.) |
(225 ILCS 454/20-78 rep.)
|
(225 ILCS 454/30-10 rep.)
|
Section 10. The Real Estate License Act of 2000 is amended |
by repealing Sections 5-26, 5-85, 20-78, and 30-10.
|
Section 99. Effective date. This Act takes effect January |
1, 2018.
|